TITLE 8. EDUCATION
STATE BOARD OF EDUCATION
Proposed Regulation
Title of Regulation: 8VAC20-131. Regulations
Establishing Standards for Accrediting Public Schools in Virginia (amending 8VAC20-131-5 through 8VAC20-131-120,
8VAC20-131-140 through 8VAC20-131-220, 8VAC20-131-240 through 8VAC20-131-270;
adding 8VAC20-131-51, 8VAC20-131-370 through 8VAC20-131-430; repealing
8VAC20-131-280 through 8VAC20-131-360).
Statutory Authority: §§ 22.1-16 and 22.1-253.13:3
of the Code of Virginia.
Public Hearing Information:
August 9, 2017 - 6:30 p.m. - Old Donation School, 4633 Honeygrove
Road, Virginia Beach, VA 23455
August 23, 2017 - 6:30 p.m. - Park View High School, 205 Park
View Circle, South Hill, VA 23970
Public Comment Deadline: October 6, 2017.
Agency Contact: Dr. Cynthia Cave, Assistant
Superintendent, Policy and Communications, Department of Education, P.O. Box
2120, Richmond, VA 23218-2120, telephone (804) 225-2092, FAX (804) 225-2524, or
email cynthia.cave@doe.virginia.gov.
Basis: The statutory authority for these regulations is
found in §§ 22.1-16 and 22.1-253.13:3 of the Code of Virginia.
In addition, Chapters 720 and 750 of the 2016 Acts of Assembly
direct the Board of Education to promulgate regulations to implement the
Profile of a Virginia Graduate and associated revised graduation requirements.
The legislation further directs the board to submit final regulations to the
Registrar of Regulations no later December 1, 2017. Such regulations are
incorporated into this regulatory action.
Section 22.1-16 of the Code of Virginia authorizes the Board of
Education to promulgate such regulations as may be necessary to carry out its
powers and duties and the provisions of Title 22.1 of the Code of Virginia.
In addition, § 22.1-253.13:3 of the Code of Virginia
authorizes the Board of Education to promulgate regulations establishing
standards for accreditation pursuant to the Administrative Process Act (§
2.2-4000 et seq.), which shall include student outcome measures, requirements
and guidelines for instructional programs and for the integration of
educational technology into such instructional programs, administrative and
instructional staffing levels and positions, including staff positions for
supporting educational technology, student services, auxiliary education
programs such as library and media services, requirements for graduation from
high school, community relations, and the philosophy, goals, and objectives of
public education in Virginia.
Purpose: These regulations provide the foundation for
the provision of a quality public education within a system of accountability
and continual improvement. They are intended to:
1. Provide an essential foundation of educational programs of
high quality in all schools for all students.
2. Encourage and promote school quality and acknowledge
achievement and continuous improvements by schools and school divisions in
multiple areas.
3. Foster public confidence that graduating students have
mastered multiple areas of learning to include academic subjects, workplace
skills, career exploration and planning, and civic and community
responsibility; that is, that they are college-ready, career-ready, and
citizenship-ready.
4. Assure recognition of Virginia's public schools by other
institutions of learning.
5. Establish the means of determining the effectiveness of
schools as prescribed in the Standards of Quality at § 22.1-253.13:3 of the
Code of Virginia, including student learning and progress and student outcomes
for multiple areas affecting school quality.
Substance:
Part I. Definitions - Many definitions have been added or
revised in the proposed Standards of Accreditation (SOA). Several of these
amendments provide additional clarification as to how minimum instructional and
planning time is calculated and implement changes to standard and verified unit
of credit requirements. Other changes provide consistent definitions for
English learner and reporting groups. Definitions for obsolete terms have been
deleted. In addition, technical edits have been made throughout the
definitions. The purpose of the regulations has been expanded to include the
promotion of school quality and continuous improvement of schools and school
divisions. A new provision specifies that the SOA establishes the foundation of
a high quality public education within a system of accountability and continual
improvement.
Part II. Philosophy, Goals, and Objectives - The philosophy,
goals, and objectives of the regulations have been expanded to address factors
affecting school quality and continual improvement and overall goals and
objectives for student learning, achievement, and preparation. Student
preparation is expected to include exploration and understanding of the
opportunities available and knowledge and abilities needed for the next phase
of their lives. Student preparation is also expected to encompass mastery of
creative and critical thinking, analysis and problem solving, and the
development of personal attributes, such as communication and collaboration
skills, dependability, and persistence. Philosophy, goals, and objectives for
schools are expected to reflect the means by which Standards of Learning and
the SOA are met. The board's objective is established to provide an educational
foundation to ensure that students are ready for success in a global economy.
The board recognizes stakeholder concerns that students need to be prepared not
only in content knowledge, but also with soft skills such as critical thinking,
creative thinking, communication, collaboration, and citizenship (the five Cs).
Expectations are added for students, as they progress through the public
education system, to achieve and apply certain knowledge, skills, qualities,
and behaviors related to academic content and technology, and workplace and
civic readiness. As students progress through elementary, middle, and secondary
schools, it is expected that they will be prepared to be ready for college,
career, and to be good citizens at the end of their public school journey.
Part III. Student Achievement - Part III includes those
sections that address student achievement expectations, graduation
requirements, and graduation requirements and waivers for transfer students.
This part requires the school superintendent to certify that the division's
policy for dropping courses ensures that student course schedules are not
changed to avoid taking an end-of-course Standards of Learning (SOL) test. In
addition, students no longer will be required to take an end-of-course SOL test
in an academic subject after they have earned the number of verified credits
required for that academic content area for graduation unless such test is
required to meet federal requirements. Significant changes are made to the
graduation requirements for those students who will enroll in the ninth grade
as of the 2018-2019 school year. Two separate sections specify the changes in
requirements for high school students for those enrolled in the ninth grade
prior to the 2018-2019 school year and those enrolled in the ninth grade as of
the 2018-2019 school year. For students who enroll in the ninth grade as of the
2018-2019 school year, the number of verified credits required for the Standard
and Advanced Studies Diplomas have been reduced to five, and students will be
expected to demonstrate competency in each of the following: critical thinking,
creative thinking, communication, collaboration, and citizenship. Additional
methods of achieving a verified credit are also established, including the use of
authentic performance assessments in certain subjects and expansion of the
subjects for which a locally awarded verified credit may be offered. For
students who transfer into Virginia public schools, amendments clarify whether
the existing or proposed graduation requirements will be applicable. These are
all significant changes that will move the focus in Virginia's public schools
from standardized testing to continuous improvement and academic progress for
all students no matter where they live or their economic status.
Part IV. School Instructional Program - Part IV includes
sections referencing instructional programs, standard and verified units of
credit, college and career preparatory programs, and standard school year and
school day. Language has been added to reflect the Standards of Quality
instructional requirements; to reference the Profile of a Virginia Graduate and
instructional programs; college and career readiness; and critical thinking,
creative thinking, collaboration, communication, and citizenship. Career
exploration is expanded in the proposed regulations by requiring the
development of academic and career planning portfolios to be established and
maintained for each student to document career interests and to be used to
develop the academic and career plan in the seventh grade. All middle school
students would be required to complete a career investigation course that will
be used as the foundation to develop academic and career plans. These are
significant changes that will help assure that Virginia students will be
prepared when they complete their public secondary school education. Virginia
is moving to preparing the whole student to be ready for career, college, and
to be good citizens upon graduation.
Part V. School and Instructional Leadership - Significant
language has been included to clarify and expand the role of the principal and
to clearly lay out what the professional expectations. The principal is
expected to foster the success of all students and provide leadership that results
in acceptable, measurable student academic progress based on established
standards. In addition, language has been added to reflect the Standards of
Quality instructional requirements, to reference the Profile of a Virginia
Graduate and instructional programs, as well as college-readiness,
career-readiness, and citizenship-readiness.
Part VI. School Facilities and Safety - This section addresses
school communications and safety. Language in this part has been revised per
state requirements to require a fire drill at least twice during the first 20
school days and two additional fire drills during the remainder of the school
term. School divisions also must conduct a lock-down drill at least twice
during the first 20 school days and at least two additional lock-down drills
during the remainder of the school term. The requirements fall outside of the
parameters of the Virginia Department of Education and have been required to
ensure the safety of school students and staff.
Part VII. School and Community Communications - This part
includes those regulations that address school and community communications.
The School Performance Report Card is now referred to as the School Quality
Profile. In addition, the regulation specifies certain indicators to be included
in that profile, including accreditation status and absenteeism. These changes
give the stakeholders a more complete picture as to how the schools and school
divisions are performing.
Part VIII. School Accreditation - In this part, all existing
sections have been repealed and replaced. New language establishes the
principles and purpose of school accountability and accreditation systems and
describes the components of such systems. The proposed school accreditation
system is established, which will use several indicators of school quality in
addition to academic achievement. For each school quality indicator, a school
will be designated as having achieved either Level One, Level Two, or Level
Three performance. Each of the three performance levels will correspond to
actions required to be taken to address below standard performance and to
require all schools to continually improve. For schools with indicators at
Level Three, which are those performing below standard, a series of more
intensive actions are established, including state interventions. Accreditation
status is linked to a school's performance levels, and schools that fail to
take the requisite actions for school improvement will be designated
"accreditation denied."
These revisions bring major changes to Virginia's
accountability concepts and include an enhanced process that will provide that
school quality is to be measured for each school using multiple school quality
indicators and focusing on continuous improvement.
Issues: These regulations will positively impact the
public, private citizens, school divisions, students, parents, school staff,
and other constituents.
The advantage of these regulations to the Commonwealth include:
1. Ensuring all students are prepared for success in the twenty-first-century
workplace, for realization of personal goals, and for responsible contributions
to the quality of civic life in our state, nation, and the world.
2. Implementing the Profile of a Virginia Graduate, to ensure
that students not only acquire content knowledge, but also soft skills needed
for success in employment and further education including: critical thinking,
creative thinking, communication, collaboration, and citizenship.
3. Supporting students with additional career exploration and
planning opportunities.
4. Providing an accountability system that will provide a
comprehensive picture of school quality for the public, and drive continuous
improvement for all schools, including state assistance for low performing
schools.
These regulations do not present any disadvantages to the
public or the Commonwealth.
Requirements more restrictive than federal: The Every
Student Succeeds Act of 2015 (ESSA) was signed into law on December 10, 2015.
The new law replaces the No Child Left Behind Act of 2001. Under ESSA, states
will develop new federal accountability systems during the 2016-2017 year, to
be implemented during the 2018-2019 school year. That reauthorization presented
Virginia with an opportunity to align state requirements with federal requirements.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Education (Board) proposes numerous amendments, most prominently adding several
new school quality indicators to be used in determining accreditation. The
proposal includes three defined performance levels for each school quality
indicator and actions to be taken dependent on each performance level.
Additionally, the board proposes to: amend graduation requirements, require that
schools provide additional career exposure and exploration, state that some
rules may be changed via guidance to school divisions, amend other
requirements, and add clarifying language.
Result of Analysis. The benefits likely exceed the costs for
most proposed amendments.
Estimated Economic Impact.
School Quality Indicators. Under the current regulation,
schools receive their accreditation rating based on the pass rates of their
students on statewide examinations, and in the case of high schools their
graduation and completion index (GCI).1 The Board proposes to add
the following additional school quality indicators upon which schools would be
rated, and which would affect accreditation status: Academic Achievement Gaps,
Dropout Rate, Chronic Absenteeism, and the College, Career, and Civic Readiness
Index.
Academic Achievement Gaps. The advent of accountability testing
has resulted in overall improvements in test scores on national assessments,
but has also resulted in some widening in achievement gaps between groups.2
Schools, particularly those in higher socioeconomic areas, can maintain
relatively high assessment pass rates without devoting extra efforts to helping
their most disadvantaged and/or poorest performing students. Schools can most
effectively increase their overall pass rates by focusing their efforts on
students who are close to passing and just need a small improvement, not those
who are farther away from passing. The Board proposes to measure pass rates on
English and mathematics exams for separate reporting groups among the test
takers at each school. Reporting groups are defined in the proposed regulation
as subgroups "of students who are identified as having common
characteristics such as: students identified as belonging to major racial and
ethnic groups, economically disadvantaged students, students with disabilities,
and English language learners." Disaggregating the school population into
separate reporting groups who are each assessed independently for a school
quality indicator would be beneficial in that there would greater incentive to
put forth additional effort in helping a greater range of students, and the
performance of separate reporting groups would become more transparent.
Dropout Rate. Dropping out of high school has long-term
negative social and economic consequences. One must have a high school diploma
to enroll in postsecondary schools and even to obtain many minimum-wage jobs.3
Thus schools that, all other factors being equal, are relatively successful at
limiting or reducing dropping out are better serving their students. Including
dropout rates as a school quality indicator is thus beneficial. Nevertheless,
there currently exists a disincentive for schools to put out effort to retain
students at risk of dropping out since those students' dropping out would in
most cases boost the school's pass rates.4 Students who have dropped
out are not included in testing and consequently academic achievement
indicators. A school whose worst students drop out would have higher assessment
pass rates than a comparable school that has fewer dropouts. Consequently,
including the dropout rate as a school quality indicator is also beneficial in
helping counteract the above described disincentive.
Chronic Absenteeism.5 Research on the technology of
skill formation routinely finds evidence of a direct causal relationship
between character skills and long-run socioeconomic outcomes.6 For
example, character skills such as conscientiousness, motivation, and
self-discipline predict important socioeconomic outcomes such as educational
attainment, employment, earnings, marriage, and crime.7 Attendance
is an objectively measurable behavior that is correlated with character skills
identified by psychologists: attendance is positively associated with conscientiousness8
and negatively associated with neuroticism and low levels of agreeableness.9
Conscientiousness is a character skill that is valued in the labor market10
and regular attendance is highly valued by employers.11 Similarly,
regular school attendance is positively associated with academic achievement12
and negatively associated with grade retention,13 drug use,14
and dropping out of school.15 The overwhelming focus on standardized
tests to the exclusion of other measures is potentially problematic for several
reasons: It may cause teachers and schools to divert resources away from
non-tested topics and skills,16 and it potentially biases estimates
of teacher quality by ignoring teachers' effects on students' character skills
and related behaviors (attendance, study habits, etc.).17 Teachers
have been found to have a statistically significant effect on student absences
that persist over time.18 Additionally, character skills and related
behaviors have been found to be more malleable than cognitive skills,19
and consequently have the potential for significant "bang for the
buck" in terms of positive impact for time and resources expended. Thus,
including chronic absenteeism as a school quality indicator would be beneficial
in that attendance is an objectively measurable behavior that can be affected
by schools and is correlated with character skills that help produce long-run
positive outcomes.
College, Career, and Civic Readiness Index (CCCRI).20
The College, Career, and Civic Readiness Index measures the extent to which a
school's students successfully complete advanced coursework, Career and
Technical Education (CTE) coursework and credentialing, and work- and
service-based learning. Including the CCCRI as a school quality indicator is
beneficial in that it reflects post-graduation preparedness. The currently used
school quality indicators are only indicative of competence in high school
level knowledge.
Performance Levels. Under the Board's proposal, there are three
performance levels for each school quality indicator: Level One for at or above
standard, Level Two for near standard, and Level Three for below standard. The
specifics for the three performance levels for each school quality indicator
are listed in the Appendix. For the most part, Level One is achieved either
through exceeding a set benchmark or by improving upon the previous year's
Level Two performance by more than a set percentage amount. Positively labeling
the performance level for marked improvement can be particularly beneficial for
lower socioeconomic and other disadvantaged schools in that it can provide
reward for realistic strong improvement that the benchmark alone could not
realistically provide in the short run. For the majority of school quality
indicators, Level Two is achieved by exceeding a set benchmark (that is lower
than the Level One benchmark) or by improving upon the previous year's Level
Three performance by more than a set percentage amount. Here again, positively
labeling the performance level for marked improvement can be beneficial in that
seeing that a realistic goal can be potentially met through improvement may
encourage stronger efforts. For most of the indicators, schools cannot receive
a Level Two performance designation for more than four consecutive years. Other
than for the Academic Achievement Gaps school quality indicators, schools are
given the Level Three label if the school does not meet either Level One or
Level Two. For the Academic Achievement Gaps school quality indicators, the
school is listed as Level Three if it has two or more reporting groups
demonstrating Level Three performance.
Accreditation Ratings. Under the proposed regulation, when a
school has each of its school quality indicators at Level One or Level Two, it
shall be "Accredited." When a school has any school quality indicator
at Level Three, it shall be "Accredited with Conditions." If a school
is designated "Accredited with Conditions," and the school or school
division fails to adopt and implement school division or school corrective
action plans with fidelity, it may be designated by the Board as
"Accreditation Denied."
Required Actions Based on Performance Levels and Accreditation
Ratings. In determining required actions for schools and school divisions,
levels of performance would be considered separately for each school quality
indicator. If a school quality indicator is at Level One, the school and its
school division would continue to monitor the indicator and the multi-year
school improvement plan for continuous improvement. If a school quality
indicator is at Level Two, the school and its school division would have primary
responsibility to revise and implement its multi-year school improvement plan.
School divisions with indicators at Level Two may request technical assistance
from the Department of Education (Department).
If any school quality indicator is at Level Three, the school
and school division would be required to work cooperatively and in consultation
with the Department to develop a corrective action plan, which would be
incorporated as a component of the school's comprehensive, unified, long-range
plan. All schools with indicators at Level Three must undergo an academic or
other review, as appropriate, conducted by the Department, or under its
guidance, to further identify required actions to improve student achievement
and the school quality indicators which are at Level Three. The level of
direction and intervention from the Department may include requiring the local
school division superintendent and the state Superintendent of Public
Instruction to enter into an agreement which would delineate the responsibilities
for the school division staff, school staff, and department staff and shall
also include required essential actions to improve student achievement and to
improve performance on school quality indicators.
School divisions that do not demonstrate evidence of progress
in adopting or implementing corrective action plans for a school or schools
with indicators at Level Three would be required to enter into a Memorandum of
Understanding between the local school board and the Board. The Memorandum of
Understanding would delineate responsibilities for the local school board, the
board, school division staff, school staff, and department staff and shall also
include required essential actions to improve student achievement and to
improve performance on school quality indicators.
If a school is designated "Accredited with
Conditions," and the school or school division fails to adopt and
implement corrective action plans with fidelity as specified by this section,
the Superintendent of Public Instruction shall review the school for potential
designation by the board as "Accreditation Denied" and shall present
the results of such review to the board with recommendations. If the Board
determines that any such school is at Level Three on any school quality indicator
due to its failure to adopt and implement corrective action plans with fidelity
as required by this section, the Board shall designate such school as
"Accreditation Denied." The local school board would be given an
opportunity to correct such failure, and if successful in a timely manner, the
school's "Accreditation Denied" designation may be rescinded at the
Board's discretion.
Amendments through Guidance Documents. The Board proposes to
specify in the regulation that it may adjust benchmarks delineating performance
levels through guidance sent to school boards, and adopt special provisions
related to the measurement and use of a school quality indicator. The board
would also be enabled to alter the inclusions and exclusions from the
performance level calculations by providing adequate notice to local school
boards.
Changing benchmarks and performance level calculations without
going through the process statutorily required to amend regulatory language
could potentially be beneficial in that the Board could more quickly make
sensible adjustments. On the other hand, the Governor of Virginia would have
less direct control over details of education policy. The Governor and his
policy staff review and decide on approval of proposed changes of regulations.
Changes to benchmarks and performance level calculations in practical effect
made through the issuance of guidance documents or other notifications could be
done outside of gubernatorial review and with far less public participation
than is required by the Administration Process Act for amending regulatory
language. Further, changing benchmarks and performance level calculations in
practical effect without amending the regulation would cause readers of the
regulation to be misinformed concerning the rules used in practice. Thus it is
not clear that the benefit of being able to relatively quickly adjust rules and
parameters outweigh the disadvantages of doing so outside of the regulatory
process.
Graduation requirements for students who enroll in the ninth
grade as of the 2018-2019 school year, the number of verified credits required
for the Standard and Advanced Studies Diplomas would be reduced to five, and
students would be expected to demonstrate competency in each of: critical
thinking, creative thinking, communication, collaboration, and citizenship.
Additional methods of achieving a verified credit are also established,
including the use of authentic performance assessments in certain subjects, and
expansion of the subjects for which a locally awarded verified credit may be
offered. For students who transfer into Virginia public schools, amendments
clarify whether the existing or proposed graduation requirements will be
applicable. These are all significant changes which will move the focus in
Virginia's public schools from standardized testing to continuous improvement
and academic progress.
Career Exposure and Exploration. Career exploration is expanded
in the proposed regulation by requiring the development of academic and career
planning portfolios to be established and maintained for each student to
document career interests, and to be used to develop the academic and career
plan in the seventh grade. All middle school students would be required to
complete a career investigation course that will be used as the foundation to
develop academic and career plans. Exposing students to career options and what
is needed to reach career goals is beneficial. Adding additional requirements
such as the middle school career investigation course will be an additional
time demand on school hours and will necessitate less time on other subject
matter.
Other. The Board proposes to require secondary schools to
incorporate knowledge of regional workforce needs and opportunities into career
and technical education. This is beneficial in that it may increase the
likelihood that CTE students are prepared for open jobs that exist locally. The
amended regulation states that: 1) students shall not be required to take an
end-of-course Standards of Learning (SOL) test in a subject after they have
earned the number of verified credits required for that academic content area
for graduation, unless the test is necessary in order for the school to meet
federal accountability requirements, and 2) expedited retakes of tests are an exemption
to the prohibition of students taking more than one test in any content area in
each year. Both of these amendments help students without creating bias in the
Academic Achievement Indicator.
The Board also proposes to require that division superintendents
certify that division policy prevents changes in students' course schedules to
avoid end-of-course SOL assessments. This helps keep the integrity of the
Academic Achievement Indicator in that potentially lower-performing students
are not kept out of the testing pool.
Businesses and Entities Affected. The proposed amendments
affect the more than 1,286,000 students in the Commonwealth's K-12 public
schools, the 132 local school divisions, and the Virginia Department of
Education.
Localities Particularly Affected. The proposed amendments do
not disproportionately affect particular localities.
Projected Impact on Employment. In the short run the proposed
amendments are unlikely to significantly affect employment. In the long run,
the increased focus on school quality indicators other than grades that are
linked to long-term success may have a positive impact on the future
employability of Virginia students.
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 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 affect local school
divisions, but in net do not adversely affect localities.
Other Entities: The proposed amendments do not adversely affect
other entities.
_________________________________________________
1GCI = [(# of diploma graduates x 100) + (# of high
school equivalency recipients x 75) + (# of students not graduating but still
in school x 70) + (# of students receiving certificates of completion x 25)] /
[(# of students in ninth-grade cohort four years earlier) + (transfers in) –
(transfers out, deceased students, and incarcerated students)]
2See Hanushek and Raymond (2004)
3See Glennie et al (2012)
4See Figlio and Getzler (2002)
5Chronically absent students are defined as those who
are enrolled in a given school who miss ten percent or more of the school year.
Students receiving homebound instruction are excluded from the chronic
absenteeism rate.
6See Heckman, Stixrud, and Urzua (2006) and Cunha,
Heckman, and Schennach (2010)
7See Jacob (2002), Borghans et al (2008), Almlund et al
(2011), Lundberg (2012, 2013), Heckman and Kautz (2013), and Jackson (2013)
8See Duckworth et al (2007)
9See Lounsbury et al (2004)
10See Heckman and Kautz (2013)
11See Morrison et al (2011), Lerman (2013), and Pritchard
(2013)
12See Gottfried (2009) and Gershenson, Jacknowitz, and
Brannegan (2015)
13See Nield and Balfanz (2006)
14See Hallfors et al (2002)
15See Rumberger and Thomas (2000)
16See Baker et al (2010) and Harris (2011)
17See Heckman (2000)
18See Gershenson (2016)
19See Cunha and Heckman (2008) and Heckman (2000)
20CCCRI = (unduplicated count of students in graduation
cohort who: received credit for advanced coursework, or earned Career and
Technical Education credential and completed a CTE sequence, or completed a
work-based learning experience, or completed a service-based learning
experience) / total number of students in graduation cohort
Agency Response to the Department of Planning and Budget's
Economic Impact Analysis: The agency has reviewed the economic impact
analysis completed by the Department of Planning and Budget and submits the
following corrections and clarifications:
The proposed Academic Achievement school quality indicators are
not the same as the pass rates that are used in the current accreditation system.
The current system accredits schools based upon a minimum percent of students
who pass state assessments. The indicators used in the proposed system for
English and mathematics will recognize the number of students in grades three
through eight who pass as well as the number of students who do not pass and
demonstrate adequate progress toward proficiency in each of those subject
areas. These changes will allow schools that are not meeting the current pass
rate benchmark to be recognized for making significant gains toward
proficiency. The science indicator in the proposed system will continue to use
pass rates as provided in the current system because growth cannot be
calculated in this subject area because science is not assessed annually. In
addition, pass rates for social science and history will not be incorporated
into the proposed system to allow performance based assessments to be
implemented in this subject area.
The proposed College, Career, and Civic Readiness Index school
quality indicator will not be incorporated into the accreditation system until
the 2021-2022 school year, to align with the 2018-2019 ninth-grade cohort that
will be impacted by the revised graduation requirements.
When referring to performance levels, it should be noted that
performance levels are designated in each school quality indicator for each
school. For example, a school is not designated or labeled "Level
Two." Rather, a particular school quality indicator is designated
"Level Two" for a school.
If an Academic Achievement school quality indicator is
designated Level Two, the school will not only be required to revise and
implement school improvement plans, it also will be required to undergo an
academic review conducted by the agency.
While the proposed regulations will permit alterations to
benchmarks and performance levels without a regulatory action through the
Administrative Process Act, there are several reasons to support this
arrangement. The existing regulations already authorize the board to make
certain adjustments to pass rates and other allowances in certain
circumstances. Further, in practice, any proposed changes to proposed
benchmarks and performance levels would always be made in consultation with the
Secretary of Education and the Governor's office. In addition, the board
maintains an overall guidance document as a supplement for these regulations
that is available to the public to explain any such adjustments that the board
has adopted. Finally, the regulations will require school divisions to be
provided adequate notice before adopting any such changes.
The career investigation course that will be required for
middle school students can also be delivered through alternative means that are
equivalent in content and rigor. This addresses some stakeholder's concerns
that adding a new required course for middle school could cause scheduling
problems that might prevent students from being able to take electives, fine
arts, and foreign language courses. Potential alternative means to provide the
course content include: virtual courses, exploratory "wheels," or
weaving the course content into other subject areas.
The agency concurs with the remainder of the Department of
Planning and Budget's analysis and will continue to examine the economic and
administrative impact of the regulations as they progress through the APA
process.
Summary:
The proposed amendments provide for the implementation of
the Profile of a Virginia Graduate as required by Chapters 720 and 750 of the
2016 Acts of Assembly, as well as further policy changes identified by the
board as part of its comprehensive review. Proposed changes include the
following:
1. Revising the philosophy, goals, and objectives of
individual schools to reflect expectations for preparation of a Virginia public
school graduate; recognition of multiple areas affecting school quality; and
provision of continuous improvement and support.
2. Expanding the use of performance assessments and
reducing the number of credits verified by Standards of Learning tests to
satisfy high school graduation requirements.
3. Increasing the emphasis on internships and work-based
learning experiences in high school.
4. Increasing career exposure, exploration, and planning in
elementary, middle, and high school.
5. Emphasizing critical thinking, creative thinking,
collaboration, communication, and citizenship (the five Cs).
6. Implementing the Profile of a Virginia Graduate.
7. Reflecting changes in the School Quality Profile.
8. Establishing a new school accreditation system designed
to provide a comprehensive picture of school quality, drive continuous
improvement, build on the strengths in the existing accreditation system, and
inform areas of technical assistance and support to schools.
Part I
Definitions and Purpose
8VAC20-131-5. Definitions.
The following words and terms apply only to these
regulations this chapter and do not supersede those definitions used
for federal reporting purposes or for the calculation of costs related to the
Standards of Quality (§ 22.1-253.13:1 et seq. of the Code of Virginia). When
used in these regulations this chapter, these words shall have
the following meanings, unless the context clearly indicates otherwise:
"Accreditation" means a process used by the
Virginia Department of Education (hereinafter "department") to
evaluate the educational performance of public schools in accordance
with these regulations this chapter.
"Additional test" means a test, including
substitute tests approved by the Board of Education board that
students may use in lieu of a Standards of Learning test to obtain verified
credit.
"Authentic performance assessment" means a test
that complies with guidelines adopted by the board that requires students to
perform a task or create a product that is typically scored using a rubric. An
authentic performance assessment may be used to confer verified credit in
accordance with the provisions of 8VAC20-131-110 B 4 and B 5.
"Board of Education" or "board" means
the board responsible for the general supervision of the public schools system
in Virginia as prescribed in Section 4 of Article VIII of the Constitution of
Virginia and § 22.1-8 of the Code of Virginia.
"Class period" means a segment of time in during
the school instructional day that is approximately 1/6 of the
instructional day allocated to lessons, courses, testing and
assessments, or other instructional activities and excludes homeroom.
"Combined school" means a public school that
contains any combination of or all of the grade levels from kindergarten
through grade 12. This definition does not include those schools defined as
elementary, middle, or secondary schools.
"Credit accommodations" means adjustments to meet
the standard and verified credit requirements for earning a Standard Diploma
for students with disabilities.
"Department" means the Virginia Department of
Education.
"Elementary school" means a public school with any
grades kindergarten through five 5.
"Eligible students" means the total number of
students of school age enrolled in the school at a grade or course for which a
Standards of Learning test is required unless excluded under the provisions of
8VAC20-131-30 G and 8VAC20-131-280 D relative to limited English proficient
(LEP) students.
"English learner" or "EL" means, as
prescribed in the Elementary and Secondary Education Act (P.L. 89-10, as
amended), an individual:
1. Who is aged three through 21 years;
2. Who is enrolled or preparing to enroll in an elementary
school or secondary school;
3. a. Who was not born in the United States or whose native
language is a language other than English;
b. (1) Who is a Native American or Alaska native, or a
native resident of the outlying areas; and
(2) Who comes from an environment where a language other
than English has had a significant impact on the individual's level of English
language proficiency; or
c. Who is migratory, whose native language is a language
other than English, and who comes from an environment where a language other
than English is dominant; and
4. Whose difficulties in speaking, reading, writing, or
understanding the English language may be sufficient to deny the individual
the:
a. Ability to meet the challenging state academic
standards;
b. Ability to successfully achieve in classrooms where the
language of instruction is English; or
c. Opportunity to participate fully in society.
"Enrollment" means the act of complying with state
and local requirements relative to the registration or admission of a child for
attendance in a school within a local school division. This term also means
registration for courses within the student's home school or within related
schools or programs.
"First time" means the student has not been
enrolled in the school at any time during the current school year (for purposes
of 8VAC20-131-60 with reference to students who transfer in during the school
year).
"Four core areas" or "four core
academic areas" means English, mathematics, science, and history and social
science for purposes of testing for the Standards of Learning.
"Graduate" means a student who has earned a Board
of Education board recognized diploma, which includes the Advanced
Studies Diploma, the Standard Diploma, and the Applied Studies Diploma.
"Homebound instruction" means academic instruction
provided to students who are confined at home or in a health care facility for
periods of time that would prevent normal school attendance,
based upon certification of need by a licensed physician or a licensed clinical
psychologist.
"Instructional day" means all the time in a
standard school day, from the beginning of the first scheduled class period to
the end of the last scheduled class period, including passing time for class
changes and excluding breaks for meals and recess.
"Instructional hours" means the hours in a
standard school day, from the beginning of the first scheduled class period to
the end of the last scheduled class period, including passing time for class
changes and excluding breaks for meals and recess.
"Locally awarded verified credit" means a verified
unit of credit awarded by a local school board in accordance with
8VAC20-131-110 B 3.
"Middle school" means a public school with any
grades 6 through 8.
"Planning period" means one class period per day
or the equivalent a segment of time in middle and secondary schools
during the instructional day that is unencumbered of any teaching or
supervisory duties, is not less than 45 minutes or the equivalent of a class
period, whichever is greater, and that includes passing time for class changes.
"Planning time" means a segment of time for
elementary teachers that provides at least an average of 30 minutes per day for
planning during the student's school week as provided in § 22.1-291.1 of the
Code of Virginia.
"Recess" means a segment of free time exclusive of
time provided for meals during the standard school day in which students are
given a break from instruction.
"Reconstitution" means a process that may be
used to initiate a range of accountability actions to improve pupil
performance, curriculum, and instruction to address deficiencies that caused a
school to be rated Accreditation Denied that may include, but not be limited
to, restructuring a school's governance, instructional program, staff or
student population.
"Reporting group" means a subgroup of students
who are identified as having common characteristics such as students identified
as belonging to major racial and ethnic groups, economically disadvantaged
students, students with disabilities, and English learners.
"School" means a publicly funded institution where
students are enrolled for all or a majority of the instructional day and:
1. Those students are reported in fall membership at the
institution; and
2. At a minimum, the institution meets the preaccreditation
eligibility requirements of these regulations this chapter as
adopted by the Board of Education board.
"Secondary school" means a public school with any
grades 9 through 12.
"Standard school day" means a calendar day that
averages at least five and one-half instructional hours for students in grades
1 through 12, excluding breaks for meals and recess, and a minimum of three
instructional hours for students in kindergarten.
"Standard school year" means a school year of at
least 180 teaching days or a total of at least 990 teaching instructional
hours per year, as specified in § 22.1-98 of the Code of Virginia.
"Standard unit of credit" or "standard
credit" means credit awarded for a course in which the student successfully
completes 140 clock hours of instruction and the requirements of the course.
Local school boards may develop alternatives to the requirement for 140 clock
hours of instruction as provided for in 8VAC20-131-110 and in accordance
with board guidelines.
"Standards of Learning tests" or "SOL
tests" means those criterion referenced assessments approved by the Board
of Education board for use in the Virginia assessment program
Assessment Program that measure attainment of knowledge and skills
required by the Standards of Learning.
"Standards of Quality" means the Standards of
Quality prescribed in Chapter 13.2 (§ 22.1-253.13:1 et seq.) of Title 22.1 of
the Code of Virginia.
"Student" means a person of school age as defined
by § 22.1-1 of the Code of Virginia, a child with disabilities as defined
in § 22.1-213 of the Code of Virginia, and a person with limited English
proficiency for whom English is a second language in accordance with
§ 22.1-5 of the Code of Virginia.
"Student periods" means the number of students a
teacher instructs per class period multiplied by the number of class periods
taught.
"Verified unit of credit" or "verified
credit" means credit awarded for a course in which a student earns a
standard unit of credit and (i) achieves a passing score on a
corresponding end-of-course SOL test or; (ii) achieves a passing
score on an additional test approved by the Board of Education as
defined in this section as part of the Virginia assessment program Assessment
Program; (iii) meets the criteria for the receipt of a locally awarded verified
credit conferred in accordance with board criteria and guidelines as provided
in 8VAC20-131-110 B 3 when the student has not passed a corresponding SOL test
in English, mathematics, laboratory science, or history and social science;
(iv) meets the criteria for the receipt of a verified credit for history and
social science by demonstrating mastery of the content of the associated course
on an authentic performance assessment as provided in 8VAC20-131-110 B 4; or
(v) meets the criteria for the receipt of a verified credit for English
(writing) by demonstrating mastery of the content of the associated course on
an authentic performance assessment, as provided in 8VAC20-131-110 B 5.
"Virginia assessment program Assessment
Program" means a system used to evaluate student achievement that
includes Standards of Learning SOL tests and additional tests
that may be approved from time to time by the Board of Education board.
8VAC20-131-10. Purpose.
The foremost purpose of public education in Virginia is to
provide children with a high quality education giving them opportunities
to meet their fullest potential in life. The standards for the accreditation of
public schools in Virginia are designed to ensure that an effective educational
program is established and maintained in Virginia's public schools. The mission
of the public education system is to educate students in the essential academic
knowledge and skills in order that they may be equipped for citizenship, work,
and a an informed and successful private life that is informed
and free. The accreditation standards:
The Standards of Accreditation provide the foundation for
the provision of a high quality public education within a system of
accountability and continuous improvement. They are intended to:
1. Provide an essential foundation of educational programs of
high quality in all schools for all students.
2. Encourage and promote school quality and acknowledge
achievement and continuous improvement and appraisal of the school
program for the purpose of raising student achievement improvements by
schools and school divisions in multiple areas.
3. Foster public confidence that graduating students have
mastered multiple areas of learning to include academic subjects, workplace
skills, career exploration and planning, and civic and community
responsibility.
4. Assure recognition of Virginia's public schools by other
institutions of learning.
5. Establish a the means of determining the
effectiveness of schools as prescribed in the Standards of Quality at §
22.1-253.13:3 of the Code of Virginia, including student learning and progress
and student outcomes for multiple areas affecting school quality.
Section 22.1-253.13:3 B A of the Code of
Virginia requires the Virginia Board of Education (hereinafter
"board") board promulgate regulations establishing
standards for accreditation, which shall include student outcome measures,
requirements and guidelines for instructional programs and for the integration
of educational technology into such instructional programs, administrative and
instructional staffing levels and positions, including staff positions for
supporting educational technology, student services, auxiliary education
programs such as library and media services, course and credit requirements for
graduation from high school, community relations, and the philosophy, goals,
and objectives of public education in Virginia.
The statutory authority for these regulations this
chapter is delineated in § 22.1-19 of the Code of Virginia, which includes
the requirement that the board shall provide for the accreditation of public
elementary, middle, and secondary schools in accordance with regulations
prescribed by it.
These regulations govern This chapter governs
public schools operated by local school boards providing instruction to
students as defined in 8VAC20-131-5. Other schools licensed under other state
statutes are exempt from these requirements.
Part II
Philosophy, Goals, and Objectives
8VAC20-131-20. Philosophy, goals, and objectives.
A. Achieving school quality and continuous improvement are
accomplishments dependent upon multiple factors, including instruction,
leadership, learning environment, professional staff development, student
supports, parent and community engagement, and continual evaluation of
outcomes. Goals and objectives to be achieved through these and other areas
include student opportunities for learning, closure of achievement gaps,
reduction of the dropout rate, increased graduation rates, and student mastery
beyond minimum requirements.
Preparation of all students should result in graduates who
have explored and understand what opportunities exist for them after high
school and have the knowledge and abilities necessary for the next phase of
their lives as adults. Students should attain essential knowledge and skills in
order that they may be equipped to be responsible citizens, understand and meet
expectations for work, gain and apply knowledge, and plan and achieve personal
life goals. In addition to academic and technical knowledge, their education
should encompass mastery of creative and critical thinking, analysis and
problem solving, and the development of personal attributes such as
communication and collaboration skills, dependability, and persistence.
The philosophy, goals, and objectives of individual
schools should reflect and encompass the means by which the Standards of
Learning and Standards of Accreditation are to be achieved.
The board's objective is to provide an educational
foundation that ensures students are ready to be successful in a global
economy, which includes changing and growing technology. Families, students,
employers, representatives from institutions of higher education, and educators
have all expressed concerns about adequate preparation of Virginia's students
for the future. In addition to appropriate content knowledge, stakeholders have
asked that graduates be prepared with skills and attributes such as critical
thinking, creative thinking, communication, collaboration, and citizenship in
order to be prepared to be successful in life and competitive in the work
world. In response, the board is redesigning the public school experience for
Virginia's students so that they are adequately prepared for the future
challenges they face.
In Virginia, as a student progresses through elementary,
middle, and secondary school, the college-ready, career-ready, and
citizenship-ready student is expected to achieve and apply appropriate academic
and technical knowledge; attain and demonstrate age-appropriate productive
workplace skills, qualities, and behavior; align knowledge, skills, and
personal interests with career and civic opportunities; and attain and
demonstrate knowledge and skills necessary for productive citizenship and
participation in communities and governments.
A. B. Each school shall have a current
philosophy, goals, and objectives that shall serve as the basis for all
policies and practices and shall be developed using the following criteria:
1. The philosophy, goals, and objectives shall be developed
with the advice of professional and lay people who represent the various
populations served by the school and in consideration of the needs of the
community and shall serve as a basis for the creation and review of the
biennial school plan.
2. The school's philosophy, goals, and objectives shall
be consistent with the Standards of Quality.
3. The goals and objectives shall (i) be written in plain
language so as to be understandable to noneducators, including parents; (ii) to
the extent possible, be stated in measurable terms; and (iii) consist primarily
of measurable objectives to raise student and school achievement in the core
academic areas of the Standards of Learning (SOL), to improve student
and staff attendance, to reduce student drop-out dropout rates,
to increase graduation rates, and to increase the quality of instruction
through professional staff development and licensure.
4. The school staff and community representatives shall review
annually the extent to which the school has met its prior goals and objectives,
analyze the school's student performance data, including data by grade
level or academic department as necessary, and report these outcomes to the
division superintendent and the community in accordance with local school board
policy. This report shall be in addition to the school report card quality
profile required by 8VAC20-131-270 B A.
B. C. Copies of the school's philosophy, goals,
and objectives shall be available upon request.
Part III
Student Achievement
8VAC20-131-30. Student achievement expectations.
A. Each student should learn the relevant grade level/course
subject matter before promotion to the next grade. The division superintendent
shall certify to the Department of Education that the division's promotion/retention
promotion and retention policy does not exclude students from membership
in a grade, or participation in a course, in which SOL tests are to be
administered. Each school shall have a process, as appropriate, to identify and
recommend strategies to address the learning, behavior, communication, or
development of individual children who are having difficulty in the educational
setting.
B. In kindergarten through eighth grade, where the
administration of Virginia assessment program Assessment Program
tests are required by the Board of Education board, each student
shall be expected to take the tests students following instruction.
Students who are accelerated shall take the tests of the grade level
enrolled or the tests for the grade level of the content received in
instruction test aligned with the highest grade level, following
instruction in the content. No student shall take more than one test in any
content area in each year, except in the case of expedited retakes as
provided for in this section. Schools shall use the Virginia assessment
program Assessment Program test results in kindergarten through
eighth grade as part of a set of multiple criteria for determining the
promotion or retention of students. Students promoted to high school from
eighth grade should have attained basic mastery of the Standards of Learning in
English, history and social science, mathematics, and science and should be
prepared for high school work. Students shall not be required to retake the
Virginia assessment program Assessment Program tests unless they
are retained in grade and have not previously passed the related tests.
With such funds as may be appropriated by the General
Assembly, the Board of Education The board shall provide the same
criteria for eligibility for an expedited retake of any Standards of
Learning SOL test, with the exception of the writing Standards of
Learning SOL tests, to each student regardless of grade level or
course.
C. In kindergarten through grade 12, students may participate
in a remediation recovery program as established by the board in English (Reading)
(reading) or mathematics or both.
D. The board recommends that students in kindergarten through
grade 8 not be required to attend summer school or weekend remediation classes
solely based on failing a SOL test in science or history/social history
and social science. However, any student who fails to achieve a passing
score on all Standard of Learning assessments for the relevant grade level in
grades 3 through 8 shall be required to attend a remediation program or to
participate in another form of remediation. Further, any student who fails an
end-of-course test required for the award of a verified unit of credit shall be
required to attend a remediation program or to participate in another form of
remediation.
E. Each student in middle and secondary schools shall take
all applicable end-of-course SOL tests following course instruction. The
division superintendent shall certify to the Department of Education that the
division's policy for dropping courses ensures that students' course schedules
are not changed to avoid end-of-course SOL tests. Students who achieve a
passing score on an end-of-course SOL test shall be awarded a verified unit of
credit in that course in accordance with the provisions of 8VAC20-131-110.
Students may earn verified units of credit in any courses for which
end-of-course SOL tests are available. Students shall not be required to
take an end-of-course SOL test in an academic subject after they have earned
the number of verified credits required for that academic content area for
graduation, unless such test is necessary in order for the school to meet
federal accountability requirements. Middle and secondary schools may
consider the student's end-of-course SOL test score in determining the
student's final course grade. However, no student who has failed an
end-of-course SOL test but passed the related course shall be prevented from
taking any other course in a content area and from taking the applicable
end-of-course SOL test. The board may approve additional tests to verify
student achievement in accordance with guidelines adopted for verified units of
credit described in 8VAC20-131-110.
F. Participation in the Virginia assessment program Assessment
Program by students with disabilities shall be prescribed by provisions of
their Individualized Education Program (IEP) or 504 Plan. All students with
disabilities shall be assessed with appropriate accommodations and alternate
assessments where necessary.
G. All students Any student identified as limited
English proficient (LEP) an English Learner (EL) shall participate
in the Virginia assessment program Assessment Program. A
school-based committee shall convene and make determinations regarding the
participation level of LEP EL students in the Virginia assessment
program Assessment Program. In kindergarten through eighth grade, limited
English proficient EL students may be granted a one-time exemption
from SOL testing in the areas of writing, science, and history and
social science.
H. Students identified as foreign exchange students taking
courses for credit shall be required to take the relevant Virginia assessment
program Assessment Program tests, as specified in subsection E of
this section. Foreign exchange students who are auditing courses are not
eligible for academic credit for those courses and who will not receive
a standard unit of credit for such courses shall not be required to take
the Standards of Learning SOL tests for those courses.
8VAC20-131-50. Requirements for graduation (effective for
the students entering ninth grade prior to the 2018-2019 school year).
A. The requirements for a student to earn a diploma and
graduate from a Virginia high school shall be those in effect when that student
enters the ninth grade for the first time. Students shall be awarded a diploma
upon graduation from a Virginia high school.
The Advanced Studies Diploma shall be the recommended diploma
for students pursuing baccalaureate study. Both the Standard Diploma and the
Advanced Studies Diploma shall prepare students for postsecondary education and
the career readiness required by the Commonwealth's economy.
When students below the ninth grade successfully complete
courses offered for credit in grades 9 through 12, credit shall be counted
toward meeting the standard units required for graduation provided the courses
are equivalent in content and academic rigor as those courses offered at the
secondary level. To earn a verified unit of credit for these courses, students
must meet the requirements of 8VAC20-131-110.
The following requirements shall be the only requirements for
a diploma, unless a local school board has prescribed additional requirements
that have been approved by the Board of Education board. All
additional requirements prescribed by local school boards that have been
approved by the Board of Education board remain in effect until
such time as the local school board submits a request to the board to amend or
discontinue them.
B. Requirements for a Standard Diploma.
1. Beginning with the ninth-grade class of 2013-2014 and beyond
through the ninth-grade class of 2017-2018, students shall earn the
required standard and verified units of credit described in subdivision 2 of
this subsection.
2. Credits required for graduation with a Standard Diploma.
Discipline Area
|
Standard Units of Credit Required
|
Verified Credits Required
|
English
|
4
|
2
|
Mathematics1
|
3
|
1
|
Laboratory Science2,6
|
3
|
1
|
History and Social Sciences3,6
|
3
|
1
|
Health and Physical Education
|
2
|
|
Foreign Language, Fine Arts or Career and Technical
Education7
|
2
|
|
Economics and Personal Finance
|
1
|
|
Electives4
|
4
|
|
Student Selected Test5
|
|
1
|
Career and Technical Education Credential8
|
|
|
Total9
|
22
|
6
|
1Courses completed to satisfy this requirement shall
include at least two different course selections from among: Algebra I,
Geometry, Algebra, Functions, and Data Analysis, Algebra II, or other
mathematics courses above the level of Algebra II. The board shall approve
courses to satisfy this requirement. Per the Standards of Quality, a
computer science course credit earned by students may be considered a
mathematics course credit.
2Courses completed to satisfy this requirement shall
include course selections from at least two different science disciplines:
earth sciences, biology, chemistry, or physics, or completion of the sequence
of science courses required for the International Baccalaureate Diploma. The
board shall approve courses to satisfy this requirement. Per the Standards
of Quality, a computer science course credit earned by students may be
considered a science course credit.
3Courses completed to satisfy this requirement shall
include U.S. and Virginia History, U.S. and Virginia Government, and one
course in either world history or geography or both. The board shall approve
courses to satisfy this requirement.
4Courses to satisfy this requirement shall include at
least two sequential electives as required by the Standards of Quality.
5A student may utilize additional tests for earning
verified credit in computer science, technology, career and technical
education, economics or other areas as prescribed by the board in
8VAC20-131-110.
6Students who complete a career and technical
education program sequence and pass an examination or occupational competency
assessment in a career and technical education field that confers
certification or an occupational competency credential from a recognized
industry, or trade or professional association, or acquires a professional
license in a career and technical education field from the Commonwealth of
Virginia may substitute the certification, competency credential, or license
for (i) the student-selected verified credit and (ii) either a science or
history and social science verified credit when the certification, license,
or credential confers more than one verified credit. The examination or
occupational competency assessment must be approved by the Board of
Education board as an additional test to verify student
achievement.
7Pursuant to § 22.1-253.13:4 of the Code of Virginia,
credits earned for this requirement shall include one credit in fine or
performing arts or career and technical education. Per the Standards of
Quality, a computer science course credit earned by students may be
considered a career and technical education course credit.
8Students shall earn a career and technical education
credential approved by the Board of Education, except when a career and
technical education credential in a particular subject area is not readily
available or appropriate or does not adequately measure student competency,
in which case the student shall receive satisfactory competency-based
instruction in the subject area to satisfy the standard diploma requirements.
The career and technical education credential, when required, could include
the successful completion of an industry certification, a state licensure
examination, a national occupational competency assessment, or the Virginia
workplace readiness assessment.
9Students shall successfully complete one virtual
course, which may be a noncredit-bearing course or a required or elective
credit-bearing course that is offered online.
Beginning with first-time
ninth-grade students in the 2016-2017 school year, students shall be trained
in emergency first aid, cardiopulmonary resuscitation, and the use of
automated external defibrillators, including hands-on practice of the skills
necessary to perform cardiopulmonary resuscitation. Students with an
Individualized Education Program (IEP) or 504 Plan which documents that they
cannot successfully complete this training shall be granted a waiver from
this graduation requirement, as provided in 8VAC20-131-350 8VAC20-131-420
B.
|
3. The Board of Education board shall establish,
through guidelines, credit accommodations to the standard and verified credit
requirements for a Standard Diploma. Such credit accommodations for students
with disabilities may include:
a. Approval of alternative courses to meet the standard credit
requirements;
b. Modifications to the requirements for local school
divisions to award locally awarded verified credits;
c. Approval of additional tests to earn a verified credit;
d. Adjusted cut scores required to earn verified credit; and
e. Allowance of work-based learning experiences.
The student's Individualized Education Program (IEP) IEP
or 504 Plan would shall specify any credit accommodations that would
be are applicable for the student.
Students completing the requirements for the Standard Diploma
may be eligible to receive an honor deemed appropriate by the local school
board as described in subsection H of this section.
C. Requirements for an Advanced Studies Diploma.
1. Beginning with the ninth-grade class of 2013-2014 and beyond
through the ninth-grade class of 2017-2018, students shall earn the
required standard and verified units of credit described in subdivision 2 of
this subsection.
2. Credits required for graduation with an Advanced Studies
Diploma.
Discipline Area
|
Standard Units of Credit
Required
|
Verified Credits Required
|
English
|
4
|
2
|
Mathematics1
|
4
|
2
|
Laboratory Science2
|
4
|
2
|
History and Social Sciences3
|
4
|
2
|
Foreign Language4
|
3
|
|
Health and Physical Education
|
2
|
|
Fine Arts or Career and Technical Education5
|
1
|
|
Economics and Personal Finance
|
1
|
|
Electives
|
3
|
|
Student Selected Test5 6
|
|
1
|
Total67
|
26
|
9
|
1Courses completed to satisfy this requirement shall
include at least three different course selections from among: Algebra I,
Geometry, Algebra II, or other mathematics courses above the level of Algebra
II. The board shall approve courses to satisfy this requirement. Per the
Standards of Quality, a computer science course credit earned by students may
be considered a mathematics course credit.
2Courses completed to satisfy this requirement shall
include course selections from at least three different science disciplines
from among: earth sciences, biology, chemistry, or physics or completion of
the sequence of science courses required for the International Baccalaureate
Diploma. The board shall approve additional courses to satisfy this
requirement. Per the Standards of Quality, a computer science course
credit earned by students may be considered a science course credit.
3Courses completed to satisfy this requirement shall
include U.S. and Virginia History, U.S. and Virginia Government, and two
courses in either world history or geography or both. The board shall approve
additional courses to satisfy this requirement.
4Courses completed to satisfy this requirement shall
include three years of one language or two years of two languages.
5 Per the Standards of Quality, a computer science
course credit earned by students may be considered a career and technical
education course credit.
6 A student
may utilize additional tests for earning verified credit in computer science,
technology, career or technical education, economics or other areas as
prescribed by the board in 8VAC20-131-110.
6 7Students
shall successfully complete one virtual course, which may be a
noncredit-bearing course, or may be a course required to earn this diploma
that is offered online.
|
Students completing the requirements for the Advanced Studies
Diploma may be eligible to receive an honor deemed appropriate by the local
school board as described in subsection H of this section.
Beginning with first-time ninth-grade students in the 2016-2017
school year, students shall be trained in emergency first aid, cardiopulmonary
resuscitation, and the use of automated external defibrillators, including
hands-on practice of the skills necessary to perform cardiopulmonary
resuscitation. Students with an Individualized Education Program (IEP) IEP
or 504 Plan which that documents that they cannot successfully
complete this training shall be granted a waiver from this graduation
requirement, as provided in 8VAC20-131-350 8VAC20-131-420 B.
D. In accordance with the requirements of the Standards of
Quality, students with disabilities who complete the requirements of their Individualized
Education Program (IEP) IEP and do not meet the requirements for
other diplomas shall be awarded Applied Studies Diplomas.
E. In accordance with the requirements of the Standards of
Quality, students who complete prescribed programs of studies defined by the
local school board but do not qualify for a Standard Diploma, an Advanced
Studies Diploma, or an Applied Studies Diploma shall be awarded Certificates of
Program Completion. The requirements for Certificates of Program Completion are
developed by local school boards in accordance with the Standards of Quality.
F. In accordance with the provisions of the compulsory attendance
law and 8VAC20-30, Regulations Governing Adult High School Programs, students
who do not qualify for diplomas may earn a high school equivalency credential.
G. At a student's request, the local school board shall
communicate or otherwise make known to institutions of higher education,
potential employers, or other applicable third parties, in a manner that the
local school board deems appropriate, that a student has attained the state's
academic expectations by earning a Virginia diploma and that the value of such
a diploma is not affected in any way by the accreditation status of the
student's school.
H. Awards for exemplary student performance. Students who
demonstrate academic excellence and/or or outstanding achievement
may be eligible for one or more of the following awards:
1. Students The Governor's Seal shall be awarded to
students who complete the requirements for an Advanced Studies Diploma with
an average grade of "B" or better, and successfully complete
college-level coursework that will earn the student at least nine transferable
college credits in Advanced Placement (AP), International Baccalaureate (IB),
Cambridge, or dual enrollment courses shall receive the Governor's Seal on
the diploma.
2. Students The Board of Education Seal shall be
awarded to students who complete the requirements for a Standard Diploma or
an Advanced Studies Diploma with an average grade of "A" shall
receive a Board of Education Seal on the diploma.
3. The Board of Education's Career and Technical Education
Seal will shall be awarded to students who earn a Standard
Diploma or an Advanced Studies Diploma and complete a prescribed sequence of
courses in a career and technical education concentration or specialization
that they choose and maintain a "B" or better average in those
courses; or (i) pass an examination or an occupational competency assessment in
a career and technical education concentration or specialization that confers
certification or occupational competency credential from a recognized industry,
trade or professional association or (ii) acquire a professional license in
that career and technical education field from the Commonwealth of Virginia.
The Board of Education board shall approve all professional
licenses and examinations used to satisfy these requirements.
4. The Board of Education's Seal of Advanced Mathematics and
Technology will shall be awarded to students who earn either a
Standard Diploma or an Advanced Studies Diploma and (i) satisfy all of the
mathematics requirements for the Advanced Studies Diploma (four units of credit
including Algebra II; two verified units of credit) with a "B"
average or better; and (ii) either (a) pass an examination in a career and technical
education field that confers certification from a recognized industry, or
trade, or professional association; (b) acquire a professional license
in a career and technical education field from the Commonwealth of Virginia; or
(c) pass an examination approved by the board that confers college-level credit
in a technology or computer science area. The Board of Education board
shall approve all professional licenses and examinations used to satisfy these
requirements.
5. The Board of Education's Seal for Excellence in Civics
Education will shall be awarded to students who earn either a
Standard Diploma or an Advanced Studies Diploma and (i) complete Virginia and
United States History history and Virginia and United States Government
government courses with a grade of "B" or higher; (ii) have
good attendance and no disciplinary infractions as determined by local school
board policies; and (iii) complete 50 hours of voluntary participation in
community service or extracurricular activities. Activities that would
satisfy the requirements of clause (iii) of this subdivision include: (a)
volunteering for a charitable or religious organization that provides services
to the poor, sick, or less fortunate; (b) participating in Boy Scouts, Girl
Scouts, or similar youth organizations; (c) participating in JROTC; (d)
participating in political campaigns or government internships, or Boys State,
Girls State, or Model General Assembly; or (e) participating in
school-sponsored extracurricular activities that have a civics focus. Any student
who enlists in the United States military prior to graduation will shall
be deemed to have met this community service requirement.
6. The Board of Education's Seal of Biliteracy will shall
be awarded to students who demonstrate proficiency in English and at least one
other language and meet additional criteria established by the board. Such seal
will shall be awarded to eligible students graduating from public
high schools in the Commonwealth beginning in 2016.
7. Students may receive other seals or awards for exceptional
academic, career and technical, citizenship, or other exemplary performance in
accordance with criteria defined by the local school board.
I. Students completing graduation requirements in a summer
school program shall be eligible for a diploma. The last school attended by the
student during the regular session shall award the diploma unless otherwise
agreed upon by the principals of the two schools.
J. Students who complete Advanced Placement courses,
college-level courses, or courses required for an International Baccalaureate
Diploma shall be deemed to have completed the requirements for graduation under
these standards provided they have earned the standard units of credit and
earned verified units of credit in accordance with the requirements for the
Standard Diploma and the Advanced Studies Diploma, as specified in subsections
B and C of this section.
K. Students shall be counseled annually regarding the
opportunities for using additional tests for earning verified credits, as
provided in accordance with the provisions of 8VAC20-131-110, and the
consequences of failing to fulfill the obligations to complete the requirements
for verified units of credit.
8VAC20-131-51. Requirements for graduation (effective with
the students who enter the ninth grade in the 2018-2019 school year).
A. The requirements for a student to earn a diploma and
graduate from a Virginia high school shall be those in effect when that student
enters the ninth grade for the first time. Students shall be awarded a diploma
upon graduation from a Virginia high school.
Both the Standard Diploma and the Advanced Studies Diploma
shall provide multiple paths toward college, career, and citizenship readiness
for students to follow in the later years of high school. Each such pathway
shall provide meaningful and rigorous opportunities tied to instruction to
achieve workplace and citizenship skills through internships, externships,
credentialing, and blended learning, which may be offered for credit toward
high school graduation, in accordance with department guidelines.
In accordance with the Profile of a Virginia Graduate
approved by the board, the instructional program leading to a Standard Diploma
or Advanced Studies Diploma shall ensure that students (i) attain the
knowledge, skills, competencies, and experiences necessary to be successful in
the evolving global economy whether immediately entering the world of work or
pursuing a postsecondary education and (ii) acquire and be able to demonstrate
foundational skills in critical thinking, creative thinking, collaboration,
communication, and citizenship.
When students below the ninth grade successfully complete
courses offered for credit in grades 9 through 12, credit shall be counted
toward meeting the standard units required for graduation provided the courses
are equivalent in content and academic rigor as those courses offered at the
secondary level. To earn a verified unit of credit for these courses, students
must meet the requirements of 8VAC20-131-110.
The requirements in this section shall be the only
requirements for a diploma, unless a local school board has prescribed
additional requirements that have been approved by the board. All additional
requirements prescribed by local school boards that have been approved by the
board remain in effect until such time as the local school board submits a
request to the board to amend or discontinue them.
B. Requirements for a Standard Diploma.
1. Beginning with the ninth-grade class of 2018-2019 and
beyond, students shall earn the required standard and verified units of credit
described in subdivision 2 of this subsection.
2. Credits required for graduation with a Standard Diploma.
A "standard unit of credit" or "standard
credit" is a credit awarded for a course in which the student successfully
completes 140 clock hours of instruction and the requirements of the course.
Local school boards may develop alternatives to the requirement for 140 clock
hours of instruction as provided for in 8VAC20-131-110 and in accordance with
board guidelines.
A "verified unit of credit" or "verified
credit" is a credit awarded for a course in which a student earns a
standard unit of credit and (i) achieves a passing score on a corresponding
end-of-course SOL test; (ii) achieves a passing score on an additional test, as
defined in 8VAC20-131-5 as part of the Virginia Assessment Program; (iii) meets
the criteria for the receipt of a locally awarded verified credit conferred in
accordance with board criteria and guidelines as provided in 8VAC20-131-110 B 3
when the student has not passed a corresponding SOL test in English,
mathematics, laboratory science, or history and social science; (iv) meets the
criteria for the receipt of a verified credit for history and social science by
demonstrating mastery of the content of the associated course on an authentic
performance assessment, as provided in 8VAC20-131-110 B 4; or (v) meets the
criteria for the receipt of a verified credit for English (writing) by
demonstrating mastery of the content of the associated course on authentic
performance assessments as provided in 8VAC20-131-110 B 5.
No more than one locally awarded verified credit may be
used to satisfy these requirements, except as provided in subdivision 3 of this
subsection for credit accommodations for students with disabilities.
Discipline Area
|
Standard Units of Credit Required
|
Verified Credits Required
|
|
English (reading and writing)
|
4
|
2
|
|
Mathematics
|
3
|
1
|
|
Laboratory Science
|
3
|
1
|
|
History and Social Science
|
3
|
1
|
|
Health and Physical Education
|
2
|
|
|
World Language, Fine Arts or Career and Technical
Education
|
2
|
|
|
Economics and Personal Finance
|
1
|
|
|
Electives
|
4
|
|
|
Total
|
22
|
5
|
|
|
|
Discipline Area
|
Specifications
|
English (reading and writing)
|
The board shall approve courses to satisfy this
requirement.
|
Mathematics
|
Courses completed to satisfy this requirement shall
include at least two different course selections from among: algebra I,
geometry, algebra functions, and data analysis, algebra II, or other
mathematics courses approved by the board to satisfy this requirement. Per
the Standards of Quality, a computer science course credit earned by students
may be considered a mathematics course credit.
|
Laboratory Science
|
Courses completed to satisfy this requirement shall
include course selection from at least two different science disciplines:
earth sciences, biology, chemistry, or physics, or completion of the sequence
of science courses required for the International Baccalaureate Diploma and
shall include interdisciplinary courses that incorporate Standards of
Learning content from multiple academic areas. The board shall approve
courses to satisfy this requirement. Per the Standards of Quality, a computer
science course credit earned by students may be considered a science course
credit.
|
History and Social Science
|
Courses completed to satisfy this requirement shall
include Virginia and U.S. history, Virginia and U.S. government, and one
course in either world history or geography or both. The board shall approve
courses to satisfy this requirement.
|
Laboratory Science, and History and Social Science
|
Students who complete a career and technical education
program sequence and pass an examination or occupational competency
assessment in a career and technical education field that confers
certification or an occupational competency credential from a recognized
industry, or trade or professional association, or acquires a professional
license in a career and technical education field from the Commonwealth of
Virginia may substitute the certification, competency credential, or license
for either a laboratory science or history and social science verified credit
when the certification, license, or credential confers more than one verified
credit. The examination or occupational competency assessment must be
approved by the board as an additional test to verify student achievement.
|
World Language, Fine Arts or Career and Technical
Education
|
Per the Standards of Quality, credits earned for this
requirement shall include one credit in fine or performing arts or career and
technical education. Per the Standards of Quality, a computer science course
credit earned by students may be considered a career and technical course
credit.
|
Electives
|
Courses to satisfy this requirement shall include at
least two sequential electives as required by the Standards of Quality.
|
|
Additional Requirements for Graduation
|
Advanced Placement, Honors, or International Baccalaureate
Course or Career and Technical Education Credential
|
In accordance with the Standards of Quality, students
shall either (i) complete an Advanced Placement, honors, or International
Baccalaureate course, or (ii) earn a career and technical education
credential approved by the board, except when a career and technical
education credential in a particular subject area is not readily available or
appropriate or does not adequately measure student competency, in which case
the student shall receive satisfactory competency-based instruction in the
subject area to satisfy the standard diploma requirements. The career and
technical education credential, when required, could include the successful
completion of an industry certification, a state licensure examination, a
national occupational competency assessment, or the Virginia workplace
readiness assessment.
|
Virtual Course
|
Students shall successfully complete one virtual course,
which may be a non-credit-bearing course or a required or elective credit-bearing
course that is offered online.
|
Training in emergency first aid, cardiopulmonary
resuscitation (CPR), and the use of automated external defibrillators (AED)
|
Students shall be trained in emergency first aid, CPR,
and the use of AED, including hands-on practice of the skills necessary to
perform cardiopulmonary resuscitation. Students with an IEP or 504 Plan that
documents that they cannot successfully complete this training shall be
granted a waiver from this graduation requirement, as provided in
8VAC20-131-420 B.
|
Demonstration of the five Cs
|
Students shall acquire and demonstrate foundational
skills in critical thinking, creative thinking, collaboration, communication,
and citizenship in accordance with the Profile of a Virginia Graduate
approved by the board.
|
|
|
|
|
|
3. The board shall establish through guidelines credit
accommodations to the standard and verified credit requirements for a Standard
Diploma. Such credit accommodations for students with disabilities may include:
a. Approval of alternative courses to meet the standard
credit requirements;
b. Modifications to the requirements for local school
divisions to award locally awarded verified credits;
c. Approval of additional tests to earn a verified credit;
d. Adjusted cut scores required to earn verified credit;
and
e. Allowance of work-based learning experiences.
The student's IEP or 504 Plan shall specify any credit
accommodations applicable for the student.
Students completing the requirements for the Standard
Diploma may be eligible to receive an honor deemed appropriate by the local
school board as described in subsection H of this section.
C. Requirements for an Advanced Studies Diploma.
1. Beginning with the ninth-grade class of 2018-2019 and
beyond, students shall earn the required standard and verified units of credit
described in subdivision 2 of this subsection.
2. Credits required for graduation with an Advanced Studies
Diploma.
A "standard unit of credit" or "standard
credit" is a credit awarded for a course in which the student successfully
completes 140 clock hours of instruction and the requirements of the course.
Local school boards may develop alternatives to the requirement for 140 clock
hours of instruction as provided for in 8VAC20-131-110 and in accordance with
board guidelines.
A "verified unit of credit" or "verified
credit" is a credit awarded for a course in which a student earns a
standard unit of credit and (i) achieves a passing score on a corresponding
end-of-course SOL test; (ii) achieves a passing score on an additional test, as
defined in 8VAC20-131-5, as part of the Virginia Assessment Program; (iii)
meets the criteria for the receipt of a locally awarded verified credit
conferred in accordance with board criteria and guidelines as provided in
8VAC20-131-110 B 3 when the student has not passed a corresponding SOL test in
English, mathematics, laboratory science, or history and social science; (iv)
meets the criteria for the receipt of a verified credit for history and social
science by demonstrating mastery of the content of the associated course on an
authentic performance assessment, as provided in 8VAC20-131-110 B 4; or (v)
meets the criteria for the receipt of a verified credit for English (writing)
by demonstrating mastery of the content of the associated course on an
authentic performance assessment, as provided in 8VAC20-131-110 B 5.
No more than one locally awarded verified credit may be
used to satisfy these requirements.
Discipline Area
|
Standard Units of Credit Required
|
Verified Credits Required
|
English (reading and writing)
|
4
|
2
|
Mathematics
|
4
|
1
|
Laboratory Science
|
4
|
1
|
History and Social Science
|
4
|
1
|
World Language
|
3
|
|
Health and Physical Education
|
2
|
|
Fine Arts or Career and Technical Education
|
1
|
|
Economics and Personal Finance
|
1
|
|
Electives
|
3
|
|
Total
|
26
|
5
|
|
Discipline Area
|
Specifications
|
English (reading and writing)
|
The board shall approve courses to satisfy this
requirement.
|
Mathematics
|
Courses completed to satisfy this requirement shall
include at least three different course selections from among: algebra I,
geometry, algebra II, or other mathematics courses above the level of algebra
II. The board shall approve courses to satisfy this requirement. Per the
Standards of Quality, a computer science course credit earned by students may
be considered a mathematics course credit.
|
Laboratory Science
|
Courses completed to satisfy this requirement shall
include course selections from at least three different science disciplines
from among: earth sciences, biology, chemistry, or physics or completion of
the sequence of science courses required for the International Baccalaureate
Diploma and shall include interdisciplinary courses that incorporate Standards
of Learning content from multiple academic areas. The board shall approve
additional courses to satisfy this requirement. Per the Standards of Quality,
a computer science course credit earned by students may be considered a
science course credit.
|
History and Social Science
|
Courses completed to satisfy this requirement shall
include Virginia and U.S. history, Virginia and U.S. government, and two
courses in either world history or geography or both. The board shall approve
additional courses to satisfy this requirement.
|
World Language
|
Courses completed to satisfy this requirement shall
include three years of one language or two years of two languages.
|
Fine Arts or Career and Technical Education
|
Per the Standards of Quality, a computer science course
credit earned by students may be considered a career and technical credit.
|
|
Additional Requirements for Graduation
|
Advanced Placement, Honors, or International
Baccalaureate Course or Career and Technical Education Credential
|
In accordance with the Standards of Quality, students
shall either (i) complete an Advanced Placement, honors, or International
Baccalaureate course or (ii) earn a career and technical education credential
approved by the board, except when a career and technical education
credential in a particular subject area is not readily available or
appropriate or does not adequately measure student competency, in which case
the student shall receive satisfactory competency-based instruction in the
subject area to satisfy the advanced studies diploma requirements. The career
and technical education credential, when required, could include the
successful completion of an industry certification, a state licensure
examination, a national occupational competency assessment, or the Virginia
workplace readiness assessment.
|
Virtual Course
|
Students shall successfully complete one virtual course,
which may be a non-credit-bearing course or a required or elective
credit-bearing course that is offered online.
|
Training in emergency first aid, cardiopulmonary
resuscitation (CPR), and the use of automated external defibrillators (AED).
|
Students shall be trained in emergency first aid, CPR,
and the use of AED, including hands-on practice of the skills necessary to
perform cardiopulmonary resuscitation. Students with an IEP or 504 Plan that
documents that they cannot successfully complete this training shall be
granted a waiver from this graduation requirement, as provided in
8VAC20-131-420 B.
|
Demonstration of the five Cs
|
Students shall acquire and demonstrate foundational
skills in critical thinking, creative thinking, collaboration, communication,
and citizenship in accordance with the Profile of a Virginia Graduate
approved by the board.
|
D. Requirements for an Applied Studies Diploma. In
accordance with the requirements of the Standards of Quality, a student with
disabilities who completes the requirements of the student's IEP and does not
meet the requirements for other diplomas shall be awarded Applied Studies
Diplomas in accordance with state and federal laws and regulations regarding
special education.
Students who pursue an Applied Studies Diploma shall be
allowed to pursue a Standard Diploma or an Advanced Studies Diploma at any time
during high school. Such students shall not be excluded from courses or tests
required to earn these diplomas.
E. Requirements for Certificates of Program Completion. In
accordance with the requirements of the Standards of Quality, students who
complete prescribed programs of studies defined by the local school board but
do not qualify for a Standard Diploma, an Advanced Studies Diploma, or an
Applied Studies Diploma shall be awarded Certificates of Program Completion.
The requirements for Certificates of Program Completion are developed by local
school boards in accordance with the Standards of Quality.
F. In accordance with the provisions of the compulsory
attendance law and 8VAC20-30, Regulations Governing Adult High School Programs,
students who do not qualify for diplomas may earn a high school equivalency
credential. The requirements for the General Achievement Diploma are provided
in 8VAC20-20.
G. At a student's request, the local school board shall
communicate or otherwise make known to institutions of higher education,
potential employers, or other applicable third parties, in a manner that the
local school board deems appropriate, that a student has attained the state's
academic expectations by earning a Virginia diploma and that the value of such
a diploma is not affected in any way by the accreditation status of the
student's school.
H. Awards for exemplary student performance. Students who
demonstrate academic excellence and outstanding achievement may be eligible for
one or more of the following awards:
1. The Governor's Seal shall be awarded to students who
complete the requirements for an Advanced Studies Diploma with an average grade
of "B" or better and successfully complete college-level coursework
that shall earn the student at least nine transferable college credits in Advanced
Placement (AP), International Baccalaureate (IB), Cambridge, or dual enrollment
courses.
2. The Board of Education Seal shall be awarded to students
who complete the requirements for a Standard Diploma or an Advanced Studies
Diploma with an average grade of "A."
3. The Board of Education's Career and Technical Education
Seal shall be awarded to students who earn a Standard Diploma or an Advanced
Studies Diploma and complete a prescribed sequence of courses in a career and
technical education concentration or specialization that they choose and
maintain a "B" or better average in those courses or (i) pass an
examination or an occupational competency assessment in a career and technical
education concentration or specialization that confers certification or
occupational competency credential from a recognized industry, trade, or
professional association or (ii) acquire a professional license in that career
and technical education field from the Commonwealth of Virginia. The board
shall approve all professional licenses and examinations used to satisfy these
requirements.
4. The Board of Education's Seal of Advanced Mathematics
and Technology shall be awarded to students who earn either a Standard Diploma
or an Advanced Studies Diploma and (i) satisfy all of the mathematics
requirements for the Advanced Studies Diploma with a "B" average or
better and (ii) pass an examination in a career and technical education field
that confers certification from a recognized industry, or trade or professional
association; acquire a professional license in a career and technical education
field from the Commonwealth of Virginia; or pass an examination approved by the
board that confers college-level credit in a technology or computer science
area. The board shall approve all professional licenses and examinations used
to satisfy these requirements.
5. The Board of Education's Seal for Excellence in Civics
Education shall be awarded to students who earn either a Standard Diploma or an
Advanced Studies Diploma and (i) complete Virginia and United States history
and Virginia and United States government courses with a grade of "B"
or higher; (ii) have good attendance and no disciplinary infractions as
determined by local school board policies; and (iii) complete 50 hours of
voluntary participation in community service or extracurricular activities.
Activities that satisfy the requirements of clause (iii) of this subdivision
include (a) volunteering for a charitable or religious organization that
provides services to the poor, sick, or less fortunate; (b) participating in
Boy Scouts, Girl Scouts, or similar youth organizations; (c) participating in
JROTC; (d) participating in political campaigns or government internships, or
Boys State, Girls State, or Model General Assembly; or (e) participating in
school-sponsored extracurricular activities that have a civics focus. Any
student who enlists in the United States military prior to graduation shall be
deemed to have met this community service requirement.
6. The Board of Education's Seal of Biliteracy shall be
awarded to students who demonstrate proficiency in English and at least one
other language and meet additional criteria established by the board.
7. The Board of Education's Seal for Excellence in Science
and the Environment shall be awarded to students who earn either a Standard
Diploma or Advanced Studies Diploma and (i) complete at least three different
first-level board-approved laboratory science courses and at least one rigorous
advanced-level or postsecondary-level laboratory science course, each with a
grade of "B" or higher; (ii) complete laboratory or field-science
research and present that research in a formal, juried setting; and (iii)
complete at least 50 hours of voluntary participation in community service or
extracurricular activities that involve the application of science such as
environmental monitoring, protection, management, or restoration.
8. Students may receive other seals or awards for
exceptional academic, career and technical, citizenship, or other exemplary
performance in accordance with criteria defined by the local school board.
I. Students completing graduation requirements in a summer
school program shall be eligible for a diploma. The last school attended by the
student during the regular session shall award the diploma unless otherwise
agreed upon by the principals of the two schools.
J. Students who complete Advanced Placement courses,
college-level courses, or courses required for an International Baccalaureate
Diploma shall be deemed to have completed the course requirements for
graduation under these standards provided they have earned the total number of
standard units of credit and verified units of credit in each discipline area
in accordance with the requirements for the Standard Diploma and the Advanced
Studies Diploma, as specified in subsections B and C of this section.
K. Students shall be counseled annually regarding the
opportunities for using additional tests for earning verified credits, as
provided in accordance with the provisions of 8VAC20-131-110, and the
consequences of failing to fulfill the obligations to complete the requirements
for verified units of credit.
8VAC20-131-60. Transfer students.
A. The provisions of this section pertain generally to
students who transfer into Virginia high schools. Students transferring in
grades K-8 kindergarten through 8 from Virginia public schools or
nonpublic schools accredited by one of the approved accrediting constituent
members of the Virginia Council for Private Education (VCPE) shall be
given recognition for all grade-level work completed. The academic record of
students transferring from all other schools shall be evaluated to determine
appropriate grade placement in accordance with policies adopted by the local
school board. The State Testing Identifier (STI) for students who transfer into
a Virginia public school from another Virginia public school shall be retained
by the receiving school.
B. For the purposes of this section, the term
"beginning" means within the first 20 hours of instruction per
course. The term "during" means after the first 20 hours of
instruction per course.
C. Standard or verified units of credit earned by a student
in a Virginia public school shall be transferable without limitation regardless
of the accreditation status of the Virginia public school in which the credits
were earned. Virginia public schools shall accept standard and verified units
of credit from other Virginia public schools, Virginia's virtual learning
program, Virtual Virginia, and state-operated programs. Standard units of
credit also shall be accepted for courses satisfactorily completed in
accredited colleges and universities when prior written approval of the
principal has been granted or the student has been given credit by the previous
school attended.
D. A secondary school shall accept credits toward graduation
received from Virginia nonpublic schools accredited by one of the approved
accrediting constituent members of the Virginia Council for Private
Education (VCPE) VCPE. The Board of Education will board
shall maintain contact with the VCPE and may periodically review its
accrediting procedures and policies as part of its policies under this section.
Nothing in these standards shall prohibit a public school
from accepting standard units of credit toward graduation awarded to students
who transfer from all other schools when the courses for which the student
receives credit generally match the description of or can be substituted for
courses for which the receiving school gives standard credit, and the school from
which the child transfers certifies that the courses for which credit is given
meet the requirements of 8VAC20-131-110 A.
Students transferring into a Virginia public school shall
be required to meet the requirements prescribed in 8VAC20-131-50 to receive a
Standard Diploma or an Advanced Studies Diploma, except as provided by
subsection G of this section. To receive an Applied Studies Diploma or
Certificate of Program Completion, a student must meet the requirements
prescribed by the Standards of Quality.
E. The academic record of a student transferring from other
Virginia public schools shall be sent directly to the school receiving the
student upon request of the receiving school in accordance with the provisions
of the 8VAC20-150, Management of the Student's Scholastic Record in the
Public Schools of Virginia. The State Testing Identifier (STI) for students who
transfer into a Virginia public school from another Virginia public school
shall be retained by the receiving school.
F. The academic record of a student transferring into
Virginia public schools from other than a Virginia public school shall be
evaluated to determine the number of standard units of credit that have been
earned, including credit from schools outside the United States, and the number
of verified units of credit needed to graduate in accordance with subsection G
of this section. Standard units of credit also shall be accepted for courses
satisfactorily completed in accredited colleges and universities when the
student has been given credit by the previous school attended.
Students transferring above the tenth grade from schools or
other education programs that do not require or give credit for health and
physical education shall not be required to take these courses to meet graduation
requirements.
Students transferring into a Virginia public school from
other than a Virginia public school shall earn no fewer than the number of
verified units listed in subdivision G 1 or G 2 of this section. The school
division shall accept the following tests from the sending state, country,
private school, or Department of Defense Educational Activity school for the
purpose of awarding verified units of credit in courses previously completed at
another school or program of study, for the purpose of awarding a Virginia high
school diploma:
1. End-of-course tests required for graduation by the
sending state;
2. Exit tests required for graduation by the sending state;
and
3. National norm-referenced achievement tests. When
students transfer to a Virginia public school from a state that requires a
national norm-referenced achievement test, and that state education agency has
set a "cut score" or passing score for the purpose of graduation, the
school division shall accept the test for the purpose of awarding a verified
credit if the test includes some content in a subject for which a verified
credit may be awarded. If that state education agency has not set a cut score
for the norm-referenced test, the test may not be used for the purpose of
awarding a verified credit or earning a high school diploma.
Any substitute test approved by the board for verified
credit shall be accepted in lieu of the applicable SOL tests if the applicable
standard credit has been earned by the student.
The sending state's test must include content in the
subjects for which verified credit is awarded. The test does not have to be
comparable to a Virginia SOL test, so long as the test includes some content in
the subject area. If the test includes some content from more than one subject,
verified credits shall be awarded for every subject area covered by the test.
G. Students entering a Virginia public high school for the
first time after the tenth grade shall earn as many credits as possible toward
the prescribed graduation requirements prescribed in 8VAC20-131-50.
However, schools may substitute courses required in other states in the same
content area if the student is unable to meet the specific content requirements
of 8VAC20-131-50 or 8VAC20-131-51, respectively, without taking a
heavier than normal course load in any semester, by taking summer school, or by
taking courses after the time when he the student otherwise would
have graduated. In any event, no such student shall earn fewer than the
following number of verified units, nor shall such students be required to take
SOL tests or additional tests as defined in 8VAC20-131-110 for verified units
of credit in courses previously completed at another school or program of
study, unless necessary to meet the requirements listed in subdivisions 1 and 2
of this subsection:
The graduation requirements for students transferring into
a Virginia high school for the first time shall be as follows:
1. For a Standard Diploma:
a. Students entering a Virginia high school for the first time
at the beginning of or during the ninth grade or at the beginning of
the tenth grade prior to the 2018-2019 school year shall earn
credit as meet the graduation requirements prescribed in 8VAC20-131-50;.
Students entering a Virginia high school for the first time at the beginning of
or during the ninth grade in the 2018-2019 school year or thereafter shall meet
the graduation requirements prescribed in 8VAC20-131-51.
b. Students entering a Virginia high school for the first time
at the beginning of or during the tenth grade prior to the 2019-2020
school year or at the beginning of the eleventh grade prior to the
2020-2021 school year shall meet the graduation requirements prescribed
in 8VAC20-131-50, except that such students shall only be required to earn
a minimum of four verified units of credit: one each in English, mathematics,
history, and science. Students who complete a career and technical
education program sequence may substitute a certificate, occupational
competency credential or license for either a science or history and social
science verified credit pursuant to 8VAC20-131-50; and entering a
Virginia high school for the first time at the beginning of or during the tenth
grade in the 2019-2020 school year or thereafter or at the beginning of the
eleventh grade in the 2020-2021 school year or thereafter, shall meet the
graduation requirements prescribed in 8VAC20-131-51.
c. Students entering a Virginia high school for the first time
during the eleventh grade prior to the 2020-2021 school year or at the
beginning of the twelfth grade prior to the 2021-2022 school year shall meet
the graduation requirements prescribed in 8VAC20-131-50, except that such
students shall only be required to earn a minimum of two verified units of
credit: one in English and one in mathematics if participation in
mathematics testing is required by federal law, otherwise, such verified credit
may be of the student's own choosing. Students entering a Virginia high school
for the first time during the eleventh grade in the 2020-2021 school year or
thereafter, or at the beginning of twelfth grade in the 2021-2022 school year
or thereafter, shall meet the graduation requirements prescribed in
8VAC20-131-51, except that such students shall only be required to earn a
minimum of two verified units of credit: one in English and one in mathematics
if participation in mathematics testing is required by federal law, otherwise,
such verified credit may be of the student's own choosing.
d. Students transferring after 20 instructional hours per
course of their senior or twelfth grade year shall be given every opportunity
to earn a diploma following the graduation requirements prescribed in
8VAC20-131-50 for students entering prior to the 2021-2022 school year, or
following the graduation requirements prescribed in 8VAC20-131-51 for students
entering in the 2021-2022 school year or thereafter. If it is not possible for
the student to meet the requirements for a diploma, arrangements should be made
for the student's previous school to award the diploma. If these arrangements
cannot be made, a waiver of the verified unit of credit requirements may be
available to the student. The Department of Education may grant such waivers
upon request by the local school board in accordance with guidelines prescribed
by the board.
2. For an Advanced Studies Diploma:
a. Students entering a Virginia high school for the first time
at the beginning of or during the ninth grade or at the beginning of
the tenth grade prior to the 2018-2019 school year shall earn credit
as prescribed in 8VAC20-131-50;. Students entering a Virginia high
school for the first time at the beginning of or during the ninth grade in the
2018-2019 school year or thereafter shall earn credit as prescribed in
8VAC20-131-51.
b. Students entering a Virginia high school for the first time
at the beginning of or during the tenth grade prior to the 2019-2020
school year or at the beginning of the eleventh grade prior to the
2020-2021 school year shall meet the graduation requirements prescribed
in 8VAC20-131-50, except that such students shall only be required to
earn a minimum of six verified units of credit: two in English and one
each in mathematics, history, and science and one of the student's own choosing;
and. Students entering a Virginia high school for the first time during
the tenth grade in the 2019-2020 school year or thereafter or at the beginning
of the eleventh grade in the 2020-2021 school year or thereafter shall earn
credit as prescribed in 8VAC20-131-51.
c. Students entering a Virginia high school for the first time
during the eleventh grade prior to the 2020-2021 school year or at the
beginning of the twelfth grade prior to the 2021-2022 school year shall meet
the graduation requirements prescribed in 8VAC20-131-50, except that such
students shall only be required to earn a minimum of four verified units of
credit: one in English and three, one in mathematics if required
participation in mathematics testing is required by federal law, otherwise such
verified credit may be of the student's own choosing, and two additional
verified credits of the student's own choosing. Students entering a
Virginia high school for the first time during the eleventh grade in the
2020-2021 school year or thereafter, or at the beginning of the twelfth grade
in the 2021-2022 school year or thereafter, shall meet the graduation
requirements prescribed in 8VAC20-131-51, except that such students shall only
be required to earn a minimum of two verified units of credit: one in English,
and one in mathematics if required participation in mathematics testing is
required by federal law, otherwise such verified credit may be of the student's
own choosing.
d. Students transferring after 20 instructional hours per
course of their senior or twelfth grade year shall be given every opportunity
to earn a diploma following the graduation requirements prescribed in
8VAC20-131-50 for students entering prior to the 2021-2022 school year, or
following the graduation requirements prescribed in 8VAC20-131-51 for students
entering in the 2021-2022 school year or thereafter. If it is not possible for
the student to meet the requirements for a diploma, arrangements should be made
for the student's previous school to award the diploma. If these arrangements
cannot be made, a waiver of the verified unit of credit requirements may be
available to the student. The Department of Education may grant such waivers
upon request by the local school board in accordance with guidelines prescribed
by the board.
3. For an Applied Studies Diploma: In accordance with the
requirements of the Standards of Quality, students with disabilities who
complete the requirements of their Individualized Education Plan and do not
meet the requirements for other diplomas shall be awarded Applied Studies
Diplomas in accordance with state and federal laws and regulations regarding
special education.
Students who pursue an Applied Studies Diploma shall be
allowed to pursue a Standard Diploma or an Advanced Studies Diploma at any time
during high school. Such students shall not be excluded from courses or tests
required to earn these diplomas.
4. For a Certificate of Program Completion: In accordance
with the requirements of the Standards of Quality, students who complete
prescribed programs of studies defined by the local school board, but do not
qualify for a Standard Diploma, an Advanced Studies Diploma, or an Applied
Studies Diploma shall be awarded Certificates of Program Completion. The
requirements for Certificates of Program Completion are developed by local
school boards in accordance with the Standards of Quality.
H. Students entering a Virginia high school for the first
time after the first semester of their eleventh grade year must meet the
requirements of subdivision G 1 c or G 2 c of this section. Students
transferring after 20 instructional hours per course of their senior or twelfth
grade year shall be given every opportunity to earn a Standard Diploma or an
Advanced Studies Diploma. If it is not possible for the student to meet the
requirements for a diploma, arrangements should be made for the student's
previous school to award the diploma. If these arrangements cannot be made, a
waiver of the verified unit of credit requirements may be available to the
student. The Department of Education may grant such waivers upon request by the
local school board in accordance with guidelines prescribed by the Board of
Education.
I. H. Any local school division receiving
approval to increase its course credit requirements for a diploma may not deny
either the Standard Diploma or the Advanced Studies Diploma to any transfer
student who has otherwise met the requirements contained in these standards if
the transfer student can only meet the division's additional requirements by
taking a heavier than normal course load in any semester, by taking summer
school, or by taking courses after the time when he the student
otherwise would have graduated.
J. I. The transcript of a student who graduates
or transfers from a Virginia secondary school shall conform to the requirements
of 8VAC20-160, Regulations Governing Secondary School Transcripts.
K. J. The accreditation status of a high school
shall not be included on the student transcript provided to colleges, universities,
or employers. The board expressly states that any student who has met the
graduation requirements established in 8VAC20-131-50 and has received a
Virginia diploma holds a diploma that should be recognized as equal to any
other Virginia diploma of the same type, regardless of the accreditation status
of the student's high school. It is the express policy of the board that no
student shall be affected by the accreditation status of the student's school.
The board shall take appropriate action, from time to time, to ensure that no
student is affected by the accreditation status of the student's school.
Part IV
School Instructional Program
8VAC20-131-70. Program of instruction and learning objectives.
A. As required by the Standards of Quality, each local
school board shall develop and implement a program of instruction for grades
kindergarten through 12 that is aligned to the Standards of Learning and meets
or exceeds the requirements of the board. The program of instruction shall
emphasize reading, writing, speaking, mathematical concepts and computations,
proficiency in the use of computers and related technology, computer science
and computational thinking, including computer coding, and scientific concepts
and processes; essential skills and concepts of citizenship, including
knowledge of Virginia history and world and United States history, economics,
government, foreign languages, international cultures, health and physical
education, environmental issues, and geography necessary for responsible participation
in American society and in the international community; fine arts, which may
include music and art, and practical arts; knowledge and skills needed to
qualify for further education, gainful employment, or training in a career or
technical field; and development of the ability to apply such skills and
knowledge in preparation for eventual employment and lifelong learning and to
achieve economic self-sufficiency.
B. As described in 8VAC20-131-51 and in accordance with
the Profile of a Virginia Graduate approved by the board, the instructional
program and learning objectives shall ensure that students (i) attain the
knowledge, skills, competencies, and experiences necessary to be successful in
the evolving global economy whether immediately entering the world of work or
pursuing a postsecondary education and (ii) acquire and be able to demonstrate
foundational skills in critical thinking, creative thinking, collaboration,
communication, and citizenship. Consistent with the Profile of a Virginia Graduate,
the instructional program and learning objectives shall ensure that, as age
appropriate, during the kindergarten through grade 12 experience, students
achieve and apply appropriate career development and technical knowledge.
During the elementary and middle school years, students shall explore personal
interests, be exposed to different types of careers, and plan for career
development. In the later school years students are to attain and demonstrate
productive workplace skills, qualities, and behaviors; align knowledge, skills,
and personal interests with career opportunities; and understand and
demonstrate civic responsibility and community engagement.
A. C. Each school shall provide a program of
instruction that promotes individual student academic achievement in the
essential academic disciplines and shall provide additional instructional
opportunities that meet the abilities, interests, and educational needs of
students. Each school shall establish learning objectives to be achieved by
students at successive grade levels that meet or exceed the knowledge and
skills contained in the Standards of Learning for English, mathematics,
science, and history/social history and social science adopted by
the board and shall continually assess the progress of each student in relation
to the objectives.
B. D. Instruction shall be designed to
accommodate all students, including those identified with disabilities in
accordance with the Individuals with Disabilities Education Act or § 504 of the
Rehabilitation Act, as amended, those identified as gifted/talented gifted
or talented, and those who have limited English proficiency are
ELs. Each school shall provide students identified as gifted/talented
with instructional programs taught by teachers with special training or
experience in working with gifted/talented students. Students with
disabilities shall have the opportunity to receive a full continuum of
education services, in accordance with 8VAC20-80 8VAC20-81,
Regulations Governing Special Education Programs for Children with Disabilities
in Virginia and other pertinent federal and state laws and regulations.
8VAC20-131-80. Instructional program in elementary schools.
A. The elementary school shall provide each student a program
of instruction that corresponds to the Standards of Learning for English,
mathematics, science, and history/social history and social
science. In addition, each school shall provide instruction in art, music, and
physical education and health and shall require students to participate in a program
of physical fitness during the regular school year in accordance with
guidelines established by the Board of Education board. In
addition, each school shall provide instruction in career exploration in
accordance with the provisions of 8VAC20-131-140.
B. In kindergarten through grade 3, reading, writing,
spelling, and mathematics shall be the focus of the instructional program.
Schools shall maintain an early skills and knowledge achievement record in
reading and mathematics for each student in grades kindergarten through grade
3 to monitor student progress and to promote successful achievement on the
third grade SOL tests. This record shall be included with the student's records
if the student transfers to a new school.
In accordance with the Standards of Quality, local school
boards shall implement early identification, diagnosis, and assistance for
students with reading and mathematics problems and provide instructional
strategies and reading and mathematics practices that benefit the development of
reading and mathematics skills for all students.
C. To provide students with sufficient opportunity to learn,
a minimum of 75% of the annual instructional time of 990 hours shall be given
to instruction in the disciplines of English, mathematics, science, and history/social
history and social science. Students who are not successfully
progressing in early reading proficiency or who are unable to read with
comprehension the materials used for instruction shall receive additional
instructional time in reading, which may include summer school.
In accordance with the Standards of Quality, local school
divisions shall provide reading intervention services to students in grades
kindergarten through 3 who demonstrate deficiencies based on their individual
performance on the SOL reading test or any reading diagnostic test that meets
criteria established by the Department of Education. The local school division,
in its discretion, shall provide such reading intervention services prior to
promoting a student from grade 3 to grade 4.
D. Elementary schools are encouraged to provide instruction
in foreign world languages.
8VAC20-131-90. Instructional program in middle schools.
A. The middle school shall provide each student a program of
instruction which that corresponds to the Standards of Learning
for English, mathematics, science, and history/social history and
social science. In addition, each school shall provide instruction in art,
music, foreign world language, physical education and health, and
career and technical exploration and shall require students to participate in a
program of physical fitness during the regular school year in accordance with
guidelines established by the Board of Education board. Each
middle school shall provide a course in career investigation in accordance with
the provisions of 8VAC20-131-140. School divisions may seek alternate means of
delivering the career investigation course content provided it is equivalent in
content and rigor and provides the foundation students to develop their
academic and career plans as described in 8VAC20-131-140 C 2. Possible
alternative means to deliver the career investigation course content could
include online methods, middle school exploratory course options, and
delivering the course content through other courses.
B. The middle school shall provide a minimum of eight courses
to students in the eighth grade. English, mathematics, science, and history/social
history and social science shall be required. Four elective courses
shall be available: level one of a foreign world language, one in
health and physical education, one in fine arts, and one in career and
technical exploration.
C. Level one of a foreign world language and an
Algebra I course shall be available to all eighth grade students. For any high
school credit-bearing course taken in middle school, parents may request that
grades be omitted from the student's transcript and the student not earn high
school credit for the course in accordance with policies adopted by the local
school board. Notice of this provision must be provided to parents with a
deadline and format for making such a request. Nothing in these regulations
this chapter shall be construed to prevent a middle school from offering
any other credit-bearing courses for graduation.
D. To provide students a sufficient opportunity to learn,
each student shall be provided 140 clock a total of 560 instructional
hours per year of instruction in each of in the four academic
disciplines of English, mathematics, science, and history/social history
and social science. Sixth grade students may receive an alternative
schedule of instruction provided each student receives at least 560 total clock
hours of instruction in the four academic disciplines.
E. Each school shall ensure that students who are unable to
read with comprehension the materials used for instruction receive additional
instruction in reading, which may include summer school.
F. In accordance with the Standards of Quality each school
shall ensure that students in grades 6 through 8 who need targeted mathematics
remediation and intervention, including remediation or intervention for
computational deficiencies as demonstrated by their individual performance on
any diagnostic test or grade-level SOL mathematics test, shall receive
additional instruction in mathematics, which may include summer school.
Students in grades 6 through 8 who are at-risk of failing the algebra I
end-of-course test shall be provided algebra readiness intervention services.
8VAC20-131-100. Instructional program in secondary schools.
A. The secondary school, in accordance with the Profile of
a Virginia Graduate approved by the board, shall provide a program of
instruction to ensure that students (i) attain the knowledge, skills,
competencies, and experiences necessary to be successful in the evolving global
economy whether immediately entering the world of work or pursuing a
postsecondary education and (ii) acquire and be able to demonstrate
foundational skills in critical thinking and creative thinking, collaboration,
communication, and citizenship in accordance with 8VAC20-131-70 and the Profile
of a Virginia Graduate.
The secondary school shall provide each student a program of
instruction in the four core academic areas of English, mathematics,
science, and history/social history and social science that identifies
the knowledge and skills that students should attain, giving due consideration
to critical thinking, creative thinking, collaboration, communication, and
citizenship, in the early years of high school and enables
each student to meet the prescribed graduation requirements described
in 8VAC20-131-50 and. The secondary school shall offer opportunities
for students each student to pursue a program of studies in
foreign languages, fine arts, and career and technical areas including include:
1. Career and technical education choices that incorporate
knowledge of regional workforce needs and opportunities; prepare
the student as a career and technical education program completer in one of
three or more occupational areas; and that prepare the student for technical or
preprofessional postsecondary programs;
2. Coursework and experiences that prepare the student for
college-level studies including access to at least three Advanced Placement
(AP) courses, college-level courses for degree credit, International
Baccalaureate (IB) courses, Cambridge courses, or any combination thereof;
3. Preparation for college admissions tests; and
4. Opportunities to study and explore Study and
exploration of the fine arts and foreign world languages;
and
5. Participation in internships, externships, and other
work-based learning experiences, and to attaining workforce and career
readiness and industry credentials.
B. Minimum course offerings for each secondary school shall
provide opportunities for students to meet the graduation requirements stated
in 8VAC20-131-50 this chapter and must include:
English
|
4
|
Mathematics
|
4
|
Science (Laboratory)
|
4
|
History and Social Sciences Science
|
4
|
Foreign World Language
|
3
|
Electives
|
4
|
Career and Technical Education
|
11
|
Fine Arts
|
2
|
Health and Physical Education
|
2
|
Economics and Personal Finance
|
1
|
Total Units
|
39
|
C. Classroom driver education may count for 36 class periods,
or the equivalent in minutes, of health education. Students shall not be
removed from classes other than health and physical education for the in-car
phase of driver education.
D. Each school shall ensure that students who are unable to
read with comprehension the materials used for instruction receive additional
instruction in reading, which may include summer school.
E. In accordance with the Standards of Quality, each
school shall ensure that students who need targeted mathematics remediation and
intervention, including remediation or intervention for computational
deficiencies as demonstrated by their individual performance on any diagnostic
test or grade-level SOL mathematics test shall receive additional instruction
in mathematics, which may include summer school. Students in grade 9 who are
at-risk of failing the algebra I end-of-course test, as demonstrated by their
individual performance on any diagnostic test that has been approved by the
department, shall be provided algebra readiness intervention services.
8VAC20-131-110. Standard and verified units of credit.
A. The standard unit of credit for graduation shall be
based on a minimum of 140 clock hours of instruction and successful completion
of the requirements of the course. A "standard unit of credit"
or "standard credit" is a credit awarded for a course in which the
student successfully completes 140 clock hours of instruction and the
requirements of the course. A school division may waive the requirement that a
student receive 140 clock hours of instruction to earn a standard credit,
effective with students enrolled in the 2015-2016 school year, as prescribed in
the Standards of Quality and board guidelines. When credit is awarded in
less than whole units, the increment awarded must be no greater than the
fractional part of the 140 hours of instruction provided. If a school division
elects to award credit on a basis other than the 140 clock hours of instruction
required for a standard unit of credit defined in this subsection, the local
school division shall provide the Board of Education board with
satisfactory proof, based on board guidelines, that the students for whom the
140-clock-hour requirement is waived have learned the content and skills
included in the relevant Standards of Learning. In addition, the local school
division shall develop a written policy approved by the superintendent and
school board that ensures:
1. That the content of the course for which credit is awarded
is comparable to 140 clock hours of instruction; and
2. That upon completion, the student will have met the
aims and objectives of the course have been met.
B. A verified unit of credit for graduation shall be based
on a minimum of 140 clock hours of instruction, successful completion of the
requirements of the course, and the achievement by the student of a passing
score on the end-of-course SOL test for that course or additional tests as
described in this subsection. A student may also earn a verified unit of credit
by the following methods A "verified unit of credit" or
"verified credit" is a credit awarded for a course in which a student
earns a standard unit of credit:
1. Achieves a passing score on a corresponding
end-of-course SOL test. In accordance with the provisions of the Standards
of Quality, students may earn a standard and verified unit of credit for any
elective course in which the core academic SOL Standards of Learning
course content has been integrated and the student passes the related
end-of-course SOL test. Such course and test combinations must be approved by
the Board of Education board.
2. Upon waiver of the 140-clock-hour requirement
according to Board of Education board guidelines, qualified
students who have received a standard unit of credit will shall
be permitted to sit for the relevant SOL test to earn a verified credit without
having to meet the 140-clock-hour requirement.
2. Achieves a passing score on an additional test, as
defined in 8VAC20-131-5, as a part of the Virginia Assessment Program.
3. Meets the criteria for the receipt of a locally awarded
verified credit when the student has not passed a corresponding SOL test.
a. Students who enter the ninth grade for the first
time prior to the 2018-2019 school year and do not pass Standards of
Learning SOL tests in science or history and social science may
receive locally awarded verified credits from the local school board in
accordance with criteria established in guidelines adopted by the Board of
Education board. Credit accommodations for students with disabilities
may be used to confer locally awarded verified credits as provided in
8VAC20-131-50 B 3.
b. Students who enter the ninth grade for the first time in
the 2018-2019 school year or thereafter and do not pass SOL tests in English,
mathematics, laboratory science, or history and social science may receive
locally awarded verified credits from the local school board in accordance with
criteria established in guidelines adopted by the board. No more than one
locally awarded verified credit may be used to satisfy graduation requirements,
except as provided in 8VAC20-131-51 B 3 for students with disabilities seeking
a standard diploma.
4. Meets the criteria for the receipt of a verified credit
in history and social science by demonstrating mastery of the content of the
associated course on an authentic performance assessment that complies with
guidelines adopted by the board. Such students shall not also be required to
take the corresponding SOL test in history and social science.
5. Meets the criteria for the receipt of a verified credit
in English (writing) by demonstrating mastery of the content of the associated
course on an authentic performance assessment, that complies with guidelines
adopted by the board. Such students shall not also be required to take the
corresponding SOL test in English (writing).
C. The Board of Education board may from time
to time approve additional tests for the purpose of awarding verified credit.
Such additional tests, which enable students to earn verified units of credit,
must, at a minimum, meet the following criteria:
1. The test must be standardized and graded independently of
the school or school division in which the test is given;
2. The test must be knowledge based;
3. The test must be administered on a statewide
multistate or international basis, or administered as part of another state's
accountability assessment program; and
4. To be counted in a specific academic area, the test must
measure content that incorporates or exceeds the SOL Standards of
Learning content in the course for which verified credit is given.
The Board of Education will board shall set the
score that must be achieved to earn a verified unit of credit on the additional
test options.
D. With such funds as are appropriated by the General
Assembly, the Board of Education will board shall provide
opportunities for students who meet criteria adopted by the board to have an
expedited retake of a SOL test to earn verified credit.
8VAC20-131-120. Summer school.
A. The courses offered and the quality of instruction in the
summer school program shall be comparable to that offered during the regular
school term. At the middle and secondary school levels, credit for courses
taken for credit toward graduation other than a repeat course shall be awarded
in accordance with the requirements of 8VAC20-131-110. Students must also meet
the requirements for SOL testing if appropriate.
B. At the middle and secondary school levels, credit for
repeat courses ordinarily will be granted on the same basis as that for new
courses; however, with prior approval of the principal, students may be allowed
to enroll in repeat courses to be completed in no less than 70 clock hours of
instruction per unit of credit. Students must also meet the requirements for
SOL testing if appropriate.
C. B. Summer school instruction at any level,
which is provided as part of a state-funded remedial program, shall be designed
to improve specific identified student deficiencies. Such programs shall be
conducted in accordance with regulations adopted by the board.
8VAC20-131-140. College and career preparation programs readiness;
career exposure, exploration, and planning; and opportunities for
postsecondary credit.
Each middle and secondary school shall provide for the
early identification and enrollment of students in a college preparation
program with a range of educational and academic experiences in and outside the
classroom, including an emphasis on experiences that will motivate
disadvantaged and minority students to attend college.
Beginning in the middle school years, students shall be
counseled on opportunities for beginning postsecondary education and
opportunities for obtaining industry certifications, occupational competency
credentials, or professional licenses in a career and technical education field
prior to high school graduation. Such opportunities shall include access to at
least three Advanced Placement courses or three college-level courses for degree
credit pursuant to 8VAC20-131-100. Students taking advantage of such
opportunities shall not be denied participation in school activities for which
they are otherwise eligible. Wherever possible, students shall be encouraged
and afforded opportunities to take college courses simultaneously for high
school graduation and college degree credit (dual enrollment), under the
following conditions:
1. Written approval of the high school principal prior to
participation in dual enrollment must be obtained;
2. The college must accept the student for admission to the
course or courses; and
3. The course or courses must be given by the college for
degree credits (no remedial courses will be accepted).
Schools that comply with this standard shall not be
penalized in receiving state appropriations.
Beginning with the 2013-2014 academic year, all schools
shall begin development of a personal Academic and Career Plan for each
seventh-grade student with completion by the fall of the student's eighth-grade
year. Students who transfer from other than a Virginia public school into the
eighth grade shall have the Plan developed as soon as practicable following
enrollment. Beginning with the 2014-2015 academic year, students who transfer
into a Virginia public school after their eighth-grade year shall have an
Academic and Career Plan developed upon enrollment. The components of the Plan
shall include, but not be limited to, the student's program of study for high
school graduation and a postsecondary career pathway based on the student's
academic and career interests. The Academic and Career Plan shall be developed
in accordance with guidelines established by the Board of Education and signed
by the student, student's parent or guardian, and school official(s) designated
by the principal. The Plan shall be included in the student's record and shall
be reviewed and updated, if necessary, before the student enters the ninth and
eleventh grades. The school shall have met its obligation for parental
involvement if it makes a good faith effort to notify the parent or guardian of
the responsibility for the development and approval of the Plan. Any personal
academic and career plans prescribed by local school boards for students in
grades 7 through 12 and in effect as of June 30, 2009, are approved to continue
without further action by the board.
A. Each middle and secondary school shall provide for the
early identification and enrollment of students in a program with a range of
educational and academic experiences related to college and career readiness in
and outside the classroom, including an emphasis on experiences that will
motivate disadvantaged and minority students to prepare for a career or
postsecondary education.
B. Beginning with the 2013-2014 academic year and through
the 2017-2018 academic year:
1. All schools shall begin development of a personal
Academic and Career Plan (ACP) for each seventh-grade student with completion
by the fall of the student's eighth-grade year. Students who transfer from
other than a Virginia public school into the eighth grade shall have the plan
developed as soon as practicable following enrollment. Beginning with the
2014-2015 academic year, students who transfer into a Virginia public school
after their eighth-grade year shall have an ACP developed upon enrollment. The
components of the ACP shall include the student's program of study for high
school graduation and a postsecondary career pathway based on the student's
academic and career interests. The ACP shall be developed in accordance with
guidelines established by the board and signed by the student, student's parent
or guardian, and school official or officials designated by the principal. The
ACP shall be included in the student's record and shall be reviewed and
updated, if necessary, before the student enters the ninth and eleventh grades.
The school shall have met its obligation for parental involvement if it makes a
good faith effort to notify the parent or guardian of the responsibility for
the development and approval of the ACP. Any personal ACPs prescribed by local
school boards for students in grades 7 through 12 and in effect as of June 30,
2009, are approved to continue without further action by the board.
2. Beginning in the middle school years, students shall be
counseled on opportunities for beginning postsecondary education and
opportunities for obtaining industry certifications, occupational competency
credentials, or professional licenses in a career and technical education field
prior to high school graduation. Such opportunities shall include access to at
least three Advanced Placement (AP), International Baccalaureate (IB), or
Cambridge courses or three college-level courses for degree credit pursuant to
8VAC20-131-100. Students taking advantage of such opportunities shall not be
denied participation in school activities for which they are otherwise
eligible. Wherever possible, students shall be encouraged and afforded
opportunities to take college courses simultaneously for high school graduation
and college degree credit (dual enrollment), under the following conditions:
a. Written approval of the high school principal prior to
participation in dual enrollment must be obtained;
b. The college must accept the student for admission to the
course or courses; and
c. The course or courses must be given by the college for
degree credits (no remedial courses will be accepted).
Schools that comply with this standard shall not be
penalized in receiving state appropriations.
C. Beginning with the 2018-2019 academic year:
1. Each elementary, middle, and secondary school shall
provide for the identification by all students of personal interests and
abilities to support planning for postsecondary opportunities and career
preparation. Such support shall include provision of information concerning
exploration of career cluster areas in elementary schools, and course
information and planning for college preparation programs, opportunities for
educational and academic experiences in and outside the classroom, including
internships and work-based learning, and the multiple pathways to college and
career readiness in middle and high school.
2. Beginning in the elementary school years, students are
to explore the different occupations associated with career clusters and select
an area or areas of interest. Students shall begin the development of an
academic and career plan portfolio (ACPP) in elementary grades to include
information about interests, values such as dependability and responsibility,
and skills supporting decisions about their future interests and goals. The
ACPP is a repository for planning notes, class projects, interest inventory
results, awards and recognitions, and other information related to academic and
career plans and preparation. The ACPP is student led and updated and revised
as the student continues to plan for the student's future throughout school
years. The information contained in the ACPP shall serve as the foundation for
creating the ACP in grade 7.
In middle school, students are to complete a locally selected
career interest inventory and select a career pathway. To support development
of the ACP, students shall complete a career investigations course selected
from the career and technical education state-approved list, or a school
division-provided alternative means of delivering the career investigations
course content, provided that the alternative is equivalent in content and
academic rigor. The course, or its alternative, shall address, at a minimum,
planning for academic courses, work-based learning opportunities, completion of
industry certifications, possible independent projects, and postsecondary
education. The course, or its alternative, shall include demonstration of
personal, professional, and technical workplace readiness skills.
All schools shall continue development of a personal ACP
with each seventh-grade student with completion by the end of the student's
seventh-grade year. Students who transfer from other than a Virginia public
school into the eighth grade shall have the ACP developed as soon as
practicable following enrollment. Students who transfer into a Virginia public
school after their eighth-grade year shall have an ACP developed upon
enrollment. The components of the ACP shall include the student's program of
study for high school graduation and a postsecondary career pathway based on
the student's academic and career interests. In high school, a career-related
learning experience shall be chosen by the student and documented in the ACP.
3. The ACP shall be developed in accordance with guidelines
established by the board and signed by the student, student's parent or
guardian, and school official or officials designated by the principal. The ACP
shall be included in the student's record and shall be reviewed and updated
annually.
4. Beginning in the middle school years, students shall be
counseled on opportunities for beginning postsecondary education and
opportunities for obtaining industry certifications, occupational competency
credentials, or professional licenses in a career and technical education field
prior to high school graduation. Such opportunities shall include access to at
least three Advanced Placement (AP), International Baccalaureate (IB), or
Cambridge courses or three college-level courses for degree credit pursuant to
8VAC20-131-100. Students taking advantage of such opportunities shall not be
denied participation in school activities for which they are otherwise
eligible. Wherever possible, students shall be encouraged and afforded
opportunities to take college courses simultaneously for high school graduation
and college degree credit (dual enrollment), under the following conditions:
a. Written approval of the high school principal prior to
participation in dual enrollment must be obtained;
b. The college must accept the student for admission to the
course or courses; and
c. The course or courses must be given by the college for
degree credits (no remedial courses will be accepted).
8VAC20-131-150. Standard school year and school day.
A. The standard school year shall be 180 instructional days or
990 instructional hours. The standard school day for students in grades 1
through 12 shall average at least 5-1/2 instructional hours, including
passing time for class changes and excluding breaks for meals
and recess, and a minimum of three hours for kindergarten.
B. All students in grades 1 through 12 shall maintain a full
day schedule of classes (5-1/2 hours), unless a waiver is granted in accordance
with policies defined by the local school board.
8VAC20-131-170. Family Life Education.
Each school may implement the Standards of Learning for the
Family Life Education program promulgated by the Board of Education board
or a Family Life Education program consistent with the guidelines developed by
the board, which shall have the goals of reducing the incidence of pregnancy
and sexually-transmitted diseases and substance abuse among teenagers.
8VAC20-131-180. Off-site instruction.
A. Homebound instruction shall be made available to students
who are confined at home or in a health care facility for periods that would
prevent normal school attendance based upon certification of need by a licensed
physician or licensed clinical psychologist. For students eligible for special
education or related services, the Individualized Education Program (IEP)
committee must revise the IEP, as appropriate. Credit for the work shall be
awarded when it is done under the supervision of a licensed teacher, a person
eligible to hold a Virginia license, or other appropriately licensed
professional employed by the local school board, and there is evidence that the
instructional time requirements or alternative means of awarding credit adopted
by the local school board in accordance with the provisions of 8VAC20-131-110
have been met.
B. Schools are encouraged to pursue alternative means to
deliver instruction to accommodate student needs through virtual courses,
emerging technologies, and other similar means. Students may enroll in and
receive a standard and verified unit of credit for supervised correspondence
courses virtual courses with prior approval of the principal. Standard
units of credit shall be awarded for the successful completion of such courses
when the course is equivalent to that offered in the regular school program and
the work is done under the supervision of a licensed teacher, or a person
eligible to hold a Virginia license, approved by the local school board.
Verified units of credit may be earned when the student has passed the SOL test
associated with the correspondence course completed. The local school board
shall develop policies governing this method of delivery of instruction in
accordance with that shall include the provisions of 8VAC
20-131-110 8VAC20-131-110 and the administration of required SOL
tests prescribed by 8VAC20-131-30. C. Schools are encouraged to pursue
alternative means to deliver instruction to accommodate student needs through
emerging technologies and other similar means. Standard For courses
offered for possible high school credit, standard units of credit shall be
awarded for successful completion of such courses when the course is equivalent
to that offered in the regular school program and the work is done under the
supervision of a licensed teacher, or a person eligible to hold a Virginia
teaching license and approved by the local school board. Verified units A
verified unit of credit may be earned when the student has successfully
completed the requirements and passed the SOL test associated with the
course. The local school board shall develop policies governing this method of
delivery of instruction that shall include the provisions of 8VAC20-131-110 and
the administration of required SOL tests prescribed by 8VAC20-131-30 specified
in 8VAC20-131-110.
8VAC20-131-190. Library media, materials, and equipment.
A. Each school shall maintain an organized library media
center as the resource center of the school and provide a unified program of
media services and activities for students and teachers before, during, and
after school. The library media center shall contain hard copy, electronic
technological resources, materials, and equipment that are sufficient to meet
research, inquiry, and reading requirements of the instructional program and
general student interest.
B. Each school shall provide a variety of materials,
resources, and equipment to support the instructional program.
8VAC20-131-200. Extracurricular and other school activities;
recess.
A. School sponsored extracurricular activities shall be under
the direct supervision of the staff and shall contribute to the educational
objectives of the school. Extracurricular activities must be organized to avoid
interrupting the instructional program. Extracurricular activities shall not be
permitted to interfere with the student's required instructional activities.
Extracurricular activities and eligibility requirements shall be established
and approved by the superintendent and the school board.
B. Competitive sports of a varsity nature (scheduled league
games) shall be prohibited as a part of the elementary school program.
C. Each elementary school shall provide students with a daily
recess during the regular school year as determined appropriate by the school.
D. A program of physical fitness shall be available to all
students with a goal of at least 150 minutes per week on average during the
regular school year. Effective beginning with the 2018-2019 school year, local
school boards shall provide a program of physical activity for all students in
grades kindergarten through 5 consisting of at least 20 minutes per day or an
average of 100 minutes per week during the regular school year and available to
all students in grades 6 through 12 with a goal of at least 150 minutes per
week on average during the regular school year.
Part V
School and Instructional Leadership
8VAC20-131-210. Role of the principal.
A. The principal is recognized as the instructional leader and
manager of the school and is responsible for effective school management
that promotes positive student achievement, a safe and secure environment in
which to teach and learn, and efficient use of resources.:
1. Fostering the success of all students by facilitating
the development, communication, implementation, and evaluation of a shared
vision of teaching and learning that leads to student academic progress and
school improvement;
2. Fostering the success of all students by developing,
advocating, and sustaining an academically rigorous, positive, and safe school
climate for all stakeholders;
3. Fostering effective human resources management by
appropriately assigning, selecting, inducting, supporting, evaluating, and
retaining quality instructional and support personnel;
4. Fostering the success of all students by communicating
and collaborating effectively with stakeholders;
5. Fostering the success of all students by demonstrating
professional standards and ethics, engaging in continuous professional
development, and contributing to the profession;
6. Providing leadership that results in acceptable,
measurable student academic progress based on established standards.
As a matter of policy, the board, through these standards,
recognizes the critically important role of principals to the success of public
schools and the students who attend those schools and recommends that local
school boards provide principals with the maximum authority available under law
in all matters affecting the school, including, but not limited to,
instruction and personnel instructional leadership, school climate,
human resources management, organizational management, communication and
community relations, and student academic progress, in a manner that allows
the principal to be held accountable in a fair and consistent manner for
matters under his the principal's direct control.
B. As the instructional leader, the principal is responsible
for ensuring that students are provided an opportunity to learn and shall:
1. Protect the academic instructional time from unnecessary
interruptions and disruptions and enable the professional teaching staff to
spend the maximum time possible in the teaching/learning process by keeping to
a minimum clerical responsibility and the time students are out of class Lead
the collaborative development and sustainment of a student-centered shared
vision for educational improvement and work collaboratively with staff,
students, parents, and other stakeholders to develop a mission and programs for
effective teaching and learning, consistent with the division's strategic plan
and school's goals;
2. Ensure that the school division's student code of
conduct is enforced and seek to maintain a safe and secure school environment
Collaboratively plan, implement, support, monitor, and evaluate
instructional programs that enhance teaching and student academic progress, and
lead to school improvement;
3. Analyze the school's test scores annually current
academic achievement data and instructional strategies and monitor and evaluate
the use of diagnostic, formative, and summative assessment, by grade and by
discipline, to:
a. Direct Make appropriate educational decisions to
improve classroom instruction, increase student achievement, and improve
overall school effectiveness; provide timely and accurate feedback to students
and parents and to inform instructional practices; and direct and require
appropriate prevention, intervention, and/or or remediation to
those students performing below grade level or not meeting expectations,
including passing the SOL tests;
b. Involve the staff of the school in identifying the types
of staff and evaluating professional development needed to improve
student achievement and provide professional development opportunities and
ensure that the staff participate in those activities; and
c. Analyze Evaluate and improve classroom
practices and methods for improvement of instruction; and
d. Seek to ensure students' successful attainment of
knowledge and skills set forth in the Standards of Learning;
4. Ensure that students' records are maintained and that
criteria used in making placement and promotion decisions, as well as any
instructional interventions used to improve the student's performance, are
included in the record;
5. Monitor and evaluate the quality of instruction, provide
staff development, provide support that is designed to improve instruction, and
seek to ensure the successful attainment of the knowledge and skills required
for students by the SOL tests; Protect the academic instructional time
from unnecessary interruptions and disruptions and provide collaborative
leadership for the design and implementation of effective and efficient
schedules that protect and maximize instructional time;
6. Involve students, staff, parents, and the community to
create and sustain a positive, safe, and healthy learning environment that
enforces state, division, and local rules, policies, and procedures and
consistently model and collaboratively promote high expectations, mutual
respect, care, and concern for students, staff, parents, and the community.
7. Create a culture of shared accountability and continuous
school improvement;
8. Involve students, families, staff, and other
stakeholders to promote community engagement;
6. 9. Maintain records of students who drop out
of school, including their reasons for dropping out and actions taken to
prevent these students from dropping out;
7. 10. Notify the parents of rising
eleventh-grade and twelfth-grade students of:
a. The number of standard and verified units of credit
required for graduation; and
b. The remaining number of such units of credit the individual
student requires for graduation; and
8. 11. Notify the parent or guardian of students
removed from class for disciplinary reasons for two or more consecutive days in
whole or in part. The school shall have met its obligation if it makes a good faith
effort to notify the parent or guardian.
C. As the school manager, the principal shall:
1. Support, manage, and oversee the school's organization,
operation, and use of resources;
2. Demonstrate and communicate a knowledge and
understanding of Virginia public education rules, regulations, laws, and school
division policies and procedures;
3. Work with staff to create an atmosphere of mutual
respect and courtesy and to facilitate constructive communication by
establishing and maintaining a current handbook of personnel policies and
procedures;
4. Ensure the use of data systems and technology to support
goals;
2. Work 5. Disseminate information to staff,
parents, and other stakeholders in a timely manner through multiple channels
and sources;
6. Work with the community to involve parents and
citizens in the educational program and facilitate;
7. Facilitate communication with parents by maintaining
and disseminating a current student handbook of policies and procedures that
includes the school division's standards of student conduct and procedures for
enforcement, along with other matters of interest to parents and students;
8. Manage the supervision and research-based evaluation of
staff in accordance with local and state requirements;
3. 9. Maintain a current record of licensure,
endorsement, staff's licenses and endorsements to ensure compliance
and in-service training professional development completed by
staff; and
10. Follow local and state laws and policies with regard to
finances, school accountability, and reporting;
4. 11. Maintain records of receipts and
disbursements of all funds handled. These records, which shall
be audited annually by a professional accountant approved by the local school
board.; and
12. Ensure the security of all tests administered to
students, including those required by the board and the local school division.
This includes:
a. The requirement that all schools adhere to a policy that
prohibits students' cell phones and other electronic devices with texting or
camera capabilities to be in the room where a SOL test is being administered;
b. The requirement that, to the extent possible, the
teacher should not administer the SOL test associated with the grade level
content or class taught;
c. Notification to teachers of the penalties for breaching
security on SOL tests, including actions against the teacher's license and
civil penalties; and
d. Establishment of penalties for students who breach
security on SOL tests.
8VAC20-131-220. Role of professional teaching staff.
The professional teaching staff shall be responsible for
providing instruction that is educationally sound in an atmosphere of mutual
respect and courtesy, which is conducive to learning, and in which all students
are expected to achieve the objectives of the Standards of Learning for the
appropriate grade level or course. The staff shall:
1. Serve as role models for effective oral and written
communication with special attention to the correct use of language and
spelling the use of standard English;
2. Strive to strengthen the basic skills of students in all
subjects and to close any achievement gaps among groups of students in the
school;
3. Establish teaching objectives to achieve the following:
a. Identify what students are expected to learn; and
b. Inform students of the achievement expected and keep them
engaged in learning tasks;
4. Provide for individual differences of students through the
use of differentiated instruction, varied materials, and activities suitable to
their interests and abilities; and
5. Assess the progress of students and report promptly and
constructively to them and their parents.
8VAC20-131-240. Administrative and support staff; staffing
requirements.
A. Each school shall have at a minimum the staff as specified
in the Standards of Quality with proper licenses and endorsements for the
positions they hold.
B. The principal of each middle and secondary school shall be
employed on a 12-month basis.
C. Each elementary, middle, and secondary school with
350 or more students and each middle school with 400 or more students shall
employ at least one member of the guidance staff for 11 months school
counseling staff as prescribed by the Standards of Quality. Guidance
School counseling shall be provided for students to ensure that a
program of studies contributing to the student's academic achievement and
meeting the graduation requirements specified in 8VAC20-131-50 is this
chapter being followed.
D. The counseling program for elementary, middle, and
secondary schools shall provide a minimum of 60% of the time for each member of
the guidance school counseling staff devoted to counseling of
students.
E. The middle school classroom teacher's standard load
shall be based on teaching no more than 5/6 of the instructional day with no more
than 150 student periods per day or 30 class periods per week. A middle
school classroom teacher's standard load shall be based on teaching no more
than 5/6 of the instructional day minus one planning period per day
or the equivalent with no more than 150 student periods per day students
or 25 class periods per week. If a middle school classroom teacher
teaches more than 150 students or 25 class periods per week, an appropriate
contractual arrangement and compensation shall be provided.
F. The secondary classroom teacher's standard load shall be
based on teaching no more than 5/6 of the instructional day minus one
planning period per day or the equivalent with no more than 150 student
periods per day students or 25 class periods per week. Teachers
of block programs that encompass more than one class period with no more than
120 student periods per day may teach 30 class periods per week. Teachers who
teach very small classes may teach 30 class periods per week, provided the
teaching load does not exceed 75 student periods per day. If a secondary
school classroom teacher teaches 30 class periods per week with more
than 75 student periods per day more than 150 students or 25 class
periods per week, an appropriate contractual arrangement and compensation
shall be provided.
G. Middle or secondary school teachers shall teach no more
than 750 student periods 150 students per week; however, physical
education and music teachers may teach 1,000 student periods 200
students per week. If a middle or secondary school physical education or
music teacher teaches more than 200 students per week, an appropriate
contractual arrangement and compensation shall be provided.
H. Notwithstanding the provisions of subsections E, F, and
G, each Each elementary classroom teacher shall be provided at least an
average of 30 minutes per day during the students' school week as planning
time. Each full-time middle and secondary classroom teacher shall be
provided one planning period per day or the equivalent, as defined in
8VAC20-131-5, unencumbered of any teaching or supervisory duties.
I. Staff-student ratios in special education and
career and technical education classrooms shall comply with regulations of the Board
of Education board.
J. Student services personnel support positions
as defined in the Standards of Quality shall be available as necessary to
promote academic achievement and to provide support services to the students
in the school.
Part VI
School Facilities and Safety
8VAC20-131-260. School facilities and safety.
A. Each school shall be maintained in a manner ensuring
compliance with the Virginia Statewide Building Code (13VAC5-63). In addition,
the school administration shall:
1. Maintain a physical plant that is accessible, barrier free,
safe, and clean;
2. Provide for the proper outdoor display of flags of the
United States and of the Commonwealth of Virginia;
3. Provide suitable space for classrooms, administrative
staff, pupil personnel services, library and media services, and for the needs
and safety of physical education;
4. Provide adequate, safe, and properly-equipped laboratories
to meet the needs of instruction in the sciences, technology, fine arts, and
career and technical programs;
5. Provide facilities for the adequate and safe administration
and storage of student medications; and
6. Carry out the duties of the threat assessment team
established by the division superintendent and implement policies established
by the local school board related to threat assessment, pursuant to
§ 22.1-79.4 of the Code of Virginia.
B. Each school shall maintain records of regular safety,
health, and fire inspections that have been conducted and certified by local
health and fire departments. The frequency of such inspections shall be
determined by the local school board in consultation with the local health and
fire departments. In addition, the school administration shall:
1. Equip all exit doors with panic hardware as required by the
Virginia Statewide Building Code (13VAC5-63);
2. Conduct a fire drills drill at least once
a week during the first month twice during the first 20 days of
school and conduct at least once each month for two additional
fire drills during the remainder of the school term. Evacuation routes for
students shall be posted in each room; and
3. Conduct at least two simulated lock-down drills and
crisis emergency evacuation activities each school year, one in September and
one in January a lock-down drill at least twice during the first 20 days
of school and conduct at least two additional lock-down drills during the
remainder of the school term.
C. Each school shall have contingency plans for emergencies
that include staff certified in cardiopulmonary resuscitation (CPR), the
Heimlich maneuver, and emergency first aid.
Each school building with instructional or administrative
staff of 10 or more shall have at least three employees with current
certification or training in emergency first aid, cardiopulmonary
resuscitation, and the use of an automated external defibrillator. If one or
more students diagnosed as having diabetes attend such school, at least two
employees shall have been trained in the administration of insulin and
glucagon.
Each school building with instructional or administrative
staff fewer than 10 shall have at least two employees with current
certification or training in emergency first aid, cardiopulmonary
resuscitation, and the use of an automated external defibrillator. If one or
more students diagnosed as having diabetes attend such school, at least one
employee shall have been trained in the administration of insulin and glucagon.
D. In addition, the school administration shall ensure that
the school has:
1. Written procedures to follow in emergencies such as fire,
injury, illness, allergic reactions, and violent or threatening behavior. This
shall include school board policies for the possession and administration of
epinephrine in every school, to be administered by any school nurse, employee
of the school board, employee of a local governing body, or employee of a local
health department who is authorized by a prescriber and trained in the
administration of epinephrine to any student believed to be having an
anaphylactic reaction. The plan shall be outlined in the student handbook and
discussed with staff and students during the first week of each school year;
2. Space for the proper care of students who become ill;
3. A written procedure, in accordance with guidelines established
by the local school board, for responding to violent, disruptive, or
illegal activities by students on school property or during a school sponsored
activity; and
4. Written procedures to follow for the safe evacuation of
persons with special physical, medical, or language needs who may need
assistance to exit a facility.
Part VII
School and Community Communications
8VAC20-131-270. School and community communications.
A. Each school shall promote communication and foster mutual
understanding with parents and the community. Each school shall:
1. Involve parents, citizens, community agencies, and
representatives from business and industry in developing, disseminating, and
explaining the biennial school plan; on advisory committees; in curriculum
studies; and in evaluating the educational program.
2. Provide annually to the parents and the community the
School Performance Report Card Quality Profile in a manner
prescribed by the board. The information contained therein will be School
Quality Profile shall include designated information for the most recent
three-year period. Such information shall be designated by the board to
include but not be limited to indicators of the following:
accountability, assessments, enrollment and demographics, college and career
readiness, finance, learning environment, and teacher quality. Specific
indicators shall include:
a. Virginia assessment program Assessment Program
results by percentage of participation and proficiency and disaggregated by
student subgroups reporting groups.
b. The accreditation rating earned by the school Accreditation
status.
c. Attendance rates and absenteeism for
students.
d. Information related to school safety to include, but not
limited to, incidents of crime and violence.
e. Information related to qualifications and educational
attainment of the teaching staff.
f. In addition, secondary schools' School Performance
Report Cards Quality Profiles shall include the following:
(1) Advanced Placement (AP) information to include percentage
of students who take AP courses and percentage of students who take AP tests;
(2) International Baccalaureate (IB) and Cambridge course
information to include percentage of students who are enrolled in IB or
Cambridge programs and percentage of students who receive IB or Cambridge
Diplomas;
(3) College-level course information to include percentage of
students who take college-level courses including dual enrollment courses;
(4) Number and percentage of (i) graduates by diploma type as
prescribed by the Board of Education board, (ii) certificates
awarded to the senior class including high school equivalency preparation
program credentials approved by the board, and (iii) students who do not
complete high school;
(5) As a separate category on the school report card School
Quality Profile, the number of students obtaining board-approved industry
certifications, and passing state licensure examinations, national occupational
competency assessments and Virginia workplace readiness skills assessments
while still in high school and the number of career and technical education
completers who graduated; and
(6) Number and percentage of drop-outs dropouts.
3. Cooperate with business and industry in formulating career
and technical educational programs and conducting joint enterprises involving
personnel, facilities, training programs, and other resources.
4. Encourage and support the establishment and/or or
continuation of a parent-teacher association or other organization and work
cooperatively with it.
B. At the beginning of each school year, each school shall
provide to its students' parents or guardians information on the availability
of and source for receiving:
1. The learning objectives developed in accordance with the
provisions of 8VAC20-131-70 to be achieved at their child's grade level or, in
high school, a copy of the syllabus for each of their child's courses, and a
copy of the school division promotion, retention, and a copy of the
school division promotion, retention, and remediation policies;
2. The Standards of Learning applicable to the child's grade
or course requirements and the approximate date and potential impact of the
child's next SOL testing; and
3. An annual notice to students in all grade levels of all
requirements for Standard Diploma and Advanced Studies Diploma, and the board's
policies on promotion and retention as outlined in 8VAC20-131-30.
The division superintendent shall report to the department
compliance with this subsection through the preaccreditation eligibility
procedures in 8VAC20-131-290 as required by 8VAC20-131-390 A.
Part VIII
School Accreditation
8VAC20-131-280. Expectations for school accountability. (Repealed.)
A. Schools will be accredited annually based on compliance
with preaccreditation eligibility requirements and achievement of the school
accountability requirements of 8VAC20-131-300 C.
B. Each school shall be accredited based, primarily, on
achievement of the criteria established in 8VAC20-131-30 and in 8VAC20-131-50
as specified below:
1. The percentage of students passing the Virginia
assessment program tests in the four core academic areas administered in the
school with the accreditation rating calculated on a trailing three-year
average that includes the current year scores and the scores from the two most
recent years in each applicable academic area, or on the current year's scores,
whichever is higher.
2. The percentage of students graduating from or completing
high school based on a graduation and completion index prescribed by the Board
of Education. The accreditation rating of any school with a twelfth grade shall
be determined based on achievement of required SOL pass rates and percentage
points on the board's graduation and completion index. School accreditation
shall be determined by the school's current year index points or a trailing
three-year average of index points that includes the current year and the two
most recent years, whichever is higher. The Board of Education's graduation and
completion index shall include weighted points for diploma graduates (100
points), recipients of high school equivalency credentials approved by the
board (75 points), students not graduating but still in school (70 points), and
students earning certificates of program completion (25 points).
The graduation and completion index calculation for a
school shall be increased by three points for each student who obtains both a
diploma and an industry certification, industry pathway certification, a state
licensure, or an occupational competency credential in a career and technical
education program, when such certification, licensure, or credential is
approved by the Board of Education as student-selected verified credit;
however, the additional three points shall not be used to obtain a higher
accreditation rating.
The Board of Education's graduation and completion index
shall account for all students in the graduating class's ninth-grade cohort,
plus students transferring in, minus students transferring out, deceased
students, and students who fail to graduate because they are in the custody of
the Department of Corrections, the Department of Juvenile Justice, or local law
enforcement. Those students who are not included in one of the preceding
categories will also be included in the index.
For the purposes of the Standards of Accreditation, the
Board of Education shall use a graduation rate formula that excludes any
student who fails to graduate because such student is in the custody of the
Department of Corrections, the Department of Juvenile Justice, or local law
enforcement.
3. The number of students who successfully complete a
remediation recovery program.
4. Schools, with grade configurations that do not house a
grade or offer courses for which SOL tests or additional tests approved by the
Board of Education as outlined in 8VAC20-131-110 are administered, will be
paired with another school in the division housing one or more of the grades in
which SOL tests are administered. The pairing of such schools will be made upon
the recommendation of the local superintendent. The schools should have a
"feeder" relationship and the grades should be contiguous.
C. Subject to the provisions of 8VAC20-131-350, the
governing school board of special purpose schools such as those provided for in
§ 22.1-26 of the Code of Virginia, Governor's schools, special education
schools, alternative schools, or career and technical schools that serve as the
student's school of principal enrollment may seek approval of an alternative
accreditation plan from the Board of Education. Schools offering alternative
education programs and schools with a graduation cohort of 50 or fewer students
as defined by the graduation rate formula adopted by the board may request that
the board approve an alternative accreditation plan to meet the graduation and
completion index benchmark. Special purpose schools with alternative
accreditation plans shall be evaluated on standards appropriate to the programs
offered in the school and approved by the board prior to August 1 of the school
year for which approval is requested. Any student graduating from a special
purpose school with a Standard Diploma or an Advanced Studies Diploma must meet
the requirements prescribed in 8VAC20-131-50.
In addition, pursuant to § 22.1-253.13:3 of the Code of
Virginia, any school board, on behalf of one or more of its schools, may
request the Board of Education for approval of an Individual School
Accreditation Plan for the evaluation of the performance of one or more of its
schools as authorized for special purpose schools.
D. When calculating the passing rates on Virginia
assessment program tests for the purpose of school accreditation, the following
tolerances for limited English proficient (LEP) and transfer students will
apply:
1. The scores of LEP students enrolled in Virginia public
schools fewer than 11 semesters may be removed from the calculation used for
the purpose of school accreditation required by subsection B of this section
and 8VAC20-131-300 C. Completion of a semester shall be based on school
membership days. Membership days are defined as the days the student is
officially enrolled in a Virginia public school, regardless of days absent or
present. For a semester to count as a completed semester, a student must have
been in membership for a majority of the membership days of the semester. These
semesters need not be consecutive.
2. In accordance with the provisions of 8VAC20-131-30, all
students who transfer into Virginia public schools are expected to take and
pass all applicable SOL tests in the content areas in which they receive
instruction.
3. All students who transfer within a school division shall
have their scores counted in the calculation of the school's accreditation
rating. Students who transfer into a Virginia school from home instruction, or
from another Virginia school division, another state, or another country, in
grades kindergarten through 8 shall be expected to take all applicable SOL
tests or additional tests approved by the board as outlined in 8VAC20-131-110.
If the transfer takes place after the 20th instructional day following the
opening of school, the scores on these tests may be used in calculating school
accreditation ratings.
4. Students who transfer into a Virginia middle or high
school from home instruction, or from another state or country, and enroll in a
course for which there is an end-of-course SOL test, shall be expected to take
the test or additional tests for that course approved by the board as outlined
in 8VAC20-131-110. If the transfer takes place after 20 instructional hours per
course have elapsed following the opening of school or beginning of the
semester, if applicable, the scores on those tests may be used in calculating
school accreditation ratings in the year the transfer occurs.
5. Students who enroll on the first day of school and
subsequently transfer to a school outside of the division for a total amount of
instructional time equal to or exceeding 50% of a current school year or
semester, whether the transfer was a singular or multiple occurrence, and
return during the same school year shall be expected to take any applicable SOL
test. The scores of those tests may be used in calculating the school
accreditation rating in the year in which the transfers occur.
E. The Board of Education may adopt special provisions
related to the administration and use of any Virginia assessment program test
in a content area. The Board of Education may adopt special provisions related
to the administration and use of the graduation and completion index, as
prescribed by the board. The Board of Education may also alter the inclusions
and exclusions from the accreditation calculations by providing adequate notice
to local school boards. The board may add new tests or discontinue the use of
existing tests in the Virginia Assessment Program by providing adequate notice
to local school boards.
F. As a prerequisite to the awarding of an accreditation
rating as defined in 8VAC20-131-300, each new or existing school shall
document, in a manner prescribed by the board, the following: (i) the
division's promotion/retention policies developed in accordance with the
requirements of 8VAC20-131-30, (ii) compliance with the requirements to offer
courses that will allow students to complete the graduation requirements in
8VAC20-131-50, (iii) the ability to offer the instructional program prescribed
in 8VAC20-131-70 through 8VAC20-131-100, (iv) the leadership and staffing
requirements of 8VAC20-131-210 through 8VAC20-131-240, and (v) the facilities
and safety provisions of 8VAC20-131-260. The division superintendent shall
report to the department compliance with this subsection through the preaccreditation
eligibility procedures in 8VAC20-131-290.
8VAC20-131-290. Procedures for certifying accreditation
eligibility. (Repealed.)
A. Schools will be accredited under these standards
annually based, in part, on compliance with the preaccreditation eligibility
requirements described in 8VAC20-131-280 F.
B. To be eligible for accreditation, the principal of each
school and the division superintendent shall report to the Department of
Education:
1. The extent to which each school continues to meet
standards reported as met in the previous year described in 8VAC20-131-280 F.
2. That the SOL have been fully incorporated into the
school division's curriculum in all accreditation-eligible schools and the SOL
material is being taught to all students eligible to take the SOL tests. This
shall be certified by each school division superintendent as part of the
preaccreditation eligibility determination process.
3. Actions taken to correct any noncompliance issues cited
in the previous year.
4. Compliance with 8VAC20-131-270 B.
The principal of each school and the division
superintendent shall submit preaccreditation eligibility reports in a manner
prescribed by the board to the Department of Education. Failure to submit the
reports on time will constitute grounds for denying accreditation to the
school.
C. In keeping with provisions of the Standards of Quality,
and in conjunction with the long-range comprehensive plan of the division, each
school shall prepare and implement a biennial school plan which shall be available
to students, parents, staff, and the public. Each biennial school plan shall be
evaluated as part of the development of the next biennial plan. Schools may use
other plans to satisfy the requirement for the biennial plan with prior written
approval from the Department of Education.
D. With the approval of the local school board, local
schools seeking to implement experimental or innovative programs, or both, that
are not consistent with these standards shall submit a waiver request, on forms
provided, to the board for evaluation and approval prior to implementation. The
request must include the following:
1. Purpose and objectives of the experimental/innovative
programs;
2. Description and duration of the programs;
3. Anticipated outcomes;
4. Number of students affected;
5. Evaluation procedures; and
6. Mechanisms for measuring goals, objectives, and student
academic achievement.
Except as specified below, the board may grant, for a
period up to five years, a waiver of these regulations that are not mandated by
state or federal law or designed to promote health or safety. The board may
grant all or a portion of the request. Waivers of requirements in
8VAC20-131-30, 8VAC20-131-50, 8VAC20-131-70, and 8VAC20-131-280 through
8VAC20-131-340 shall not be granted, and no waiver may be approved for a
program which would violate the provisions of the Standards of Quality.
8VAC20-131-300. Application of the standards. (Repealed.)
A. Effective no later than the academic year 2016-2017,
schools that meet the preaccreditation eligibility requirements prescribed in
8VAC20-131-280 F shall be assigned one of the following ratings as described in
this section:
1. Fully Accredited
2. Conditionally Accredited: New School
3. Partially Accredited according to criteria in one or
more of the following categories:
a. Approaching Benchmark-within specified margins
(1) Graduation and Completion Index
(2) Pass Rate
b. Improving School-meets criteria for improvement over
previous year or for student growth
(1) Graduation and Completion Index
(2) Pass Rate
c. Warned School
(1) Graduation and Completion Index
(2) Pass Rate
d. Reconstituted School
4. Accreditation Denied
B. Compliance with the student academic achievement
expectations shall be documented to the board directly through the reporting of
the results of student performance on SOL tests and other alternative means of
assessing student academic achievement as outlined in 8VAC20-131-110. To
facilitate accurate reporting of the graduation and completion index, the State
Testing Identifier (STI) for students who transfer into a Virginia public
school from another Virginia public school shall be retained by the receiving
school. Compliance with other provisions of these regulations will be
documented in accordance with procedures prescribed by the Board of Education.
C. Accreditation ratings defined. Accreditation ratings
awarded in an academic year are based upon Virginia assessment program scores
from the academic year immediately prior to the year to which the accreditation
rating applies and on graduation and completion indexes (for schools with
twelfth grade) established for the current year. Effective no later than the
academic year 2016-2017, accreditation ratings are defined as follows:
1. Fully Accredited.
a. A school will be rated Fully Accredited when its eligible
students meet the pass rate of 75% in English and the pass rate of 70% in
mathematics, science, and history and social science. Additionally, each school
with a graduating class shall achieve a minimum of 85 percentage points on the
Board of Education's graduation and completion index, as described in
8VAC20-131-280 B 2, to be rated Fully Accredited.
b. For accreditation purposes, the pass rate will be
calculated as single rates for each of the four core academic areas by
combining all scores of all tests administered in each subject area.
2. Conditionally Accredited: New School. New schools that
are comprised of students from one or more existing schools in the division
will be awarded a Conditionally Accredited: New School status for one year pending
an evaluation of the school's eligible students' performance on SOL tests or
additional tests approved by the Board of Education to be rated Fully
Accredited.
3. Partially Accredited: A school which meets criteria as
prescribed by the Board of Education will be designated as Partially Accredited
according to the specific categories shown below.
a. Approaching Benchmark (within specified margins):
(1) Graduation and Completion Index. Based on components of
the graduation and completion index as described in 8VAC20-131-280 B 2, a
school will be rated as Partially Accredited: Approaching Benchmark-Graduation
and Completion Index when its eligible students meet pass rates required for
full accreditation and its graduation and completion index is within a narrow
margin of the minimum threshold as prescribed by the board. A school may remain
in the Partially Accredited: Approaching Benchmark-Graduation and Completion
Index status for no more than three consecutive years, unless an extension is
granted based on criteria established by the board.
(2) Pass Rate. Based on tests administered in the previous
academic year, a school will be rated as Partially Accredited: Approaching
Benchmark-Pass Rate if the school does not meet the requirements for full
accreditation in all of the four core academic subject areas but the pass rate
in each subject area either (i) meets the pass rate required for full
accreditation or (ii) is within a narrow margin of the pass rate required for
full accreditation, as defined by the board. A school may remain in the
Partially Accredited: Approaching Benchmark-Pass Rate status for no more than
three consecutive years, unless an extension is granted based on criteria
established by the board.
b. Improving School (meets criteria for improvement or
student growth, or both, over previous year):
(1) Graduation and Completion Index. Based on components of
the graduation and completion index as described in 8VAC20-131-280 B 2, a
school will be rated as Partially Accredited: Improving School-Graduation and
Completion Index when its eligible students meet pass rates required for full
accreditation, but its graduation and completion index is not within the
established narrow margin of the minimum threshold prescribed by the board;
however it has achieved sufficient improvement in its graduation and completion
index from the previous year, as prescribed by the board. A school may remain
in the Partially Accredited: Improving School-Graduation and Completion Index
status for no more than three consecutive years, unless an extension is granted
based on criteria established by the board.
(2) Pass Rate. Based on tests administered in the previous
academic year, a school will be rated as Partially Accredited: Improving
School-Pass Rate if the school does not meet the requirements for full
accreditation or for Partially Accredited: Approaching Benchmark-Pass Rate, but
in each of the four core academic subject areas, one of the following criteria
is met: (i) the pass rate meets the benchmark required for full accreditation;
(ii) the pass rate is within a narrow margin of the benchmark required for full
accreditation, as defined by the board; (iii) the school has demonstrated
sufficient improvement in its pass rate from the previous year as defined by
the board; or (iv) the school has demonstrated sufficient student growth, as
defined by the board. A school may remain in the Partially Accredited:
Improving School-Pass Rate status for no more than three consecutive years,
unless an extension is granted based on criteria established by the board.
c. Warned School:
(1) Graduation and Completion Index. A school will be
designated as Partially Accredited: Warned School-Graduation and Completion
Index if it has failed to achieve Fully Accredited, Partially Accredited:
Approaching Benchmark-Graduation and Completion Index, or Partially Accredited:
Improving School-Graduation and Completion Index status. Such a school may
remain in the Partially Accredited: Warned School-Graduation and Completion
Index status for no more than three consecutive years.
(2) Pass Rate. A school will be designated as Partially
Accredited: Warned School-Pass Rate if it has failed to achieve Fully
Accredited, Partially Accredited: Approaching Benchmark-Pass Rate, or Partially
Accredited: Improving School-Pass Rate status. Such a school may remain in the
Partially Accredited: Warned School-Pass Rate status for no more than three
consecutive years.
d. Reconstituted School. A Partially Accredited: Reconstituted
School rating may be awarded to a school that is being reconstituted in
accordance with the provisions of 8VAC20-131-340 upon approval by the Board of
Education. A school awarded this rating under those circumstances will revert
to a status of Accreditation Denied if it fails to meet the requirements to be
rated Fully Accredited by the end of the agreed upon term or if it fails to
have its annual application for such rating renewed.
4. Accreditation Denied. Based on a school's academic
performance or performance for the graduation and completion index, or both, a
school shall be rated Accreditation Denied if it fails to meet the requirements
to be rated Fully Accredited or Partially Accredited for the preceding three
consecutive years or for three consecutive years anytime thereafter.
In any school division in which one-third or more of the
schools have been rated Accreditation Denied, the superintendent shall be
evaluated by the local school board with a copy of such evaluation submitted to
the Board of Education no later than December 1 of each year in which such
condition exists. In addition, the Board of Education may take action against
the local school board as permitted by the Standards of Quality due to the
failure of the local board to maintain accredited schools.
8VAC20-131-310. Action requirements for schools that are
designated Partially Accredited in the following categories: (i) Improving
School-Pass Rate; (ii) Improving School-Graduation and Completion Index; and
(iii) Warned School. (Repealed.)
A. With such funds as are appropriated by the General
Assembly, the Department of Education shall develop a school academic review
process and monitoring plan designed to assist schools rated Partially
Accredited in the following categories: (i) Improving School-Pass Rate; (ii)
Improving School-Graduation and Completion Index; and (iii) Warned School. All
procedures and operations for the academic review process shall be approved and
adopted by the board.
Schools rated Partially Accredited in the following
categories: (i) Improving School-Pass Rate; (ii) Improving School-Graduation
and Completion Index; and (iii) Warned School must undergo an academic review
in accordance with guidelines adopted by the board and prepare a school
improvement plan as required by subsection F of this section.
B. Any school that is rated Partially Accredited: Warned
School-Pass Rate because of pass rates in English or mathematics shall adopt a
research-based instructional intervention that has a proven track record of
success at raising student achievement in those areas as appropriate.
C. The superintendent and principal shall certify in
writing to the Board of Education that such an intervention has been adopted
and implemented.
D. The board shall publish a list of recommended
instructional interventions, which may be amended from time to time.
E. Adoption of instructional interventions referenced in
subsections B and D of this section shall be funded by eligible local, state,
and federal funds.
F. A three-year School Improvement Plan must be developed
and implemented, based on the results of an academic review of each school that
is rated Partially Accredited in the following categories: (i) Improving
School-Pass Rate; (ii) Improving School-Graduation and Completion Index; and
(iii) Warned School, upon receipt of notification of the awarding of this
rating and receipt of the results of the academic review. The plan:
1. Shall be developed with the assistance of parents and
teachers and made available to the public;
2. Must include the components outlined in subsection G of
this section; and
3. Must be approved by the division superintendent and the
local school board and be designed to assist the school in meeting the student
achievement standard to be Fully Accredited as outlined in 8VAC20-131-300.
G. The improvement plan shall include the following:
1. A description of how the school will meet the
requirements to be Fully Accredited, for each of the years covered by the plan;
2. Specific measures for achieving and documenting student
academic improvement;
3. A description of the amount of time in the school day
devoted to instruction in the core academic areas;
4. Instructional practices designed to remediate students
who have not been successful on SOL tests;
5. Intervention strategies designed to prevent further
declines in student performance and graduation rates;
6. Staff development needed;
7. Strategies to involve and assist parents in raising
their child's academic performance;
8. The need for flexibility or waivers to state or local
regulations to meet the objectives of the plan; and
9. A description of the manner in which local, state, and
federal funds are used to support the implementation of the components of this
plan.
As part of its approval of the school improvement plan,
the board may grant a local school board a waiver from the requirements of any
regulations promulgated by the board when such a waiver is available.
H. The school improvement plan and related annual reports
submitted to the board shall provide documentation of the continuous efforts of
the school to achieve the requirements to become rated Fully Accredited. The
board shall adopt and approve all policies and formats for the submission of
annual reports under this section. The reports shall be due no later than
October 1 of the school year.
8VAC20-131-315. Action requirements for schools that are
denied accreditation. (Repealed.)
A. Any school rated Accreditation Denied in accordance
with 8VAC20-131-300 shall be subject to actions prescribed by the Board of
Education and shall provide parents of enrolled students and other interested
parties with the following:
1. Written notice of the school's accreditation rating
within 30 calendar days of the notification of the rating from the Department
of Education;
2. A copy of the school division's proposed corrective
action plan, including a timeline for implementation, to improve the school's
accreditation rating; and
3. An opportunity to comment on the division's proposed
corrective action plan. Such public comment shall be received and considered by
the school division prior to finalizing the school's corrective action plan and
a Board of Education memorandum of understanding with the local school board.
B. Any school rated Accreditation Denied in accordance
with 8VAC20-131-300 shall be subject to actions prescribed by the Board of
Education and affirmed through a memorandum of understanding between the Board
of Education and the local school board. The local school board shall submit a
corrective action plan to the Board of Education for its consideration in
prescribing actions in the memorandum of understanding within 45 days of the
notification of the rating. The memorandum of understanding shall be entered
into no later than November 1 of the academic year in which the rating is
awarded.
The local board shall submit status reports detailing
implementation of actions prescribed by the memorandum of understanding to the
Board of Education. The status reports shall be signed by the school principal,
division superintendent, and the chair of the local school board. The school
principal, division superintendent, and the chair of the local school board may
be required to appear before the Board of Education to present status reports.
The memorandum of understanding may also include but not
be limited to:
1. Undergoing an educational service delivery and
management review. The Board of Education shall prescribe the content of such
review and approve the reviewing authority retained by the school division.
2. Employing a turnaround specialist credentialed by the
state to address those conditions at the school that may impede educational
progress and effectiveness and academic success.
C. As an alternative to the memorandum of understanding
outlined in subsection B of this section, a local school board may choose to
reconstitute a school rated Accreditation Denied and apply to the Board of
Education for a rating of Partially Accredited: Reconstituted School. The
application shall outline specific responses that address all areas of
deficiency that resulted in the Accreditation Denied rating and may include any
of the provisions of subsection B of this section.
If a local school board chooses to reconstitute a school,
it may annually apply for an accreditation rating of Partially Accredited:
Reconstituted School as provided for in 8VAC20-131-300 C 3 d. The Partially
Accredited: Reconstituted School rating may be granted for a period not to
exceed three years if the school is making progress toward a rating of Fully
Accredited in accordance with the terms of the Board of Education's approval of
the reconstitution application. The school will revert to a status of
Accreditation Denied if it fails to meet the requirements to be rated Fully
Accredited by the end of the three-year term or if it fails to have its annual
application for such rating renewed.
D. The local school board may choose to close a school
rated Accreditation Denied or to combine such school with a higher performing
school in the division.
E. A local school board that has any school with the
status of Accreditation Denied shall annually report each school's progress
toward meeting the requirements to be rated Fully Accredited to the Board of
Education. The local board shall submit such report in a manner prescribed by
the Board of Education no later than October 1 of each year. Such reports on
each school's progress shall be included in the Board of Education's annual
report on the condition and needs of public education to the Governor and the
General Assembly submitted on November 15 of each year.
8VAC20-131-325. Recognitions and rewards for school and
division accountability performance. (Repealed.)
A. Schools and divisions may be recognized by the Board of
Education in accordance with guidelines it shall establish for the Virginia
Index of Performance (VIP) incentive program. In order to encourage school
divisions to promote student achievement in science, technology, engineering,
and mathematics (STEM), the board shall take into account in its guidelines a
school division's increase in enrollments and elective course offerings in
these STEM areas. Such recognition may include:
1. Public announcements recognizing individual schools and
divisions;
2. Tangible rewards;
3. Waivers of certain board regulations;
4. Exemptions from certain reporting requirements; or
5. Other commendations deemed appropriate to recognize high
achievement.
In addition to board recognition, local school boards
shall adopt policies to recognize individual schools through public
announcements, media releases, participation in community activities for input
purposes when setting policy relating to schools and budget development, as
well as other appropriate recognition.
B. A school that maintains a passing rate on Virginia
assessment program tests or additional tests approved by the board as outlined
in 8VAC20-131-110 of 95% or above in each of the four core academic areas for
two consecutive years may, upon application to the Department of Education,
receive a waiver from annual accreditation. A school receiving such a waiver
shall be Fully Accredited for a three-year period. However, such school shall
continue to annually submit documentation in compliance with the preaccreditation
eligibility requirements described in 8VAC20-131-280 F.
C. Schools may be eligible to receive the Governor's Award
for Outstanding Achievement. This award will be given to schools rated Fully
Accredited that significantly increase the achievement of students within
student subgroups in accordance with guidelines prescribed by the Board of
Education.
8VAC20-131-340. Special provisions and sanctions. (Repealed.)
A. Any school in violation of these regulations shall be
subject to appropriate action by the Board of Education including, but not
limited to, the withholding or denial of a school's accreditation.
B. A school's accreditation rating may be withheld by
action of the Board of Education for any school found to be in violation of
test security procedures pursuant to § 22.1-19.1 of the Code of Virginia. Withholding
of a school's accreditation rating shall not be considered an interruption of
the three-consecutive-year period for purposes of receiving an Accreditation
Denied status pursuant to 8VAC20-131-300.
C. The Board of Education may exercise its authority to
seek school division compliance with school laws pursuant to relevant
provisions of the Code of Virginia when any school within a division is rated
Accreditation Denied.
8VAC20-131-350. Waivers. (Repealed.)
Waivers of some of the requirements of these regulations
may be granted by the Board of Education based on submission of a request from
the division superintendent and chairman of the local school board. The request
shall include documentation of the need for the waiver. In no event shall
waivers be granted to the requirements of Part III (8VAC20-131-30 et seq.) of
these regulations except that the Board of Education may provide for the waiver
of certain graduation requirements in 8VAC20-131-50 (i) upon the board's
initiative or (ii) at the request of a local school board on a case-by-case
basis. The board shall develop guidelines for implementing these requirements.
8VAC20-131-360. Effective date. (Repealed.)
A. The provisions in 8VAC20-131-30 B relating to double
testing and the provisions in 8VAC20-131-60 C relating to Virtual Virginia
shall become effective July 31, 2009.
B. Graduation requirements prescribed in 8VAC20-131-50 B
and C for the Standard Diploma and the Advanced Studies Diploma shall become
effective with the ninth-grade class of 2013-2014.
C. Schools with a graduating class shall meet prescribed
thresholds on a graduation and completion rate index as prescribed in
8VAC20-131-280 and 8VAC20-131-300 for accreditation ratings earned in 2010-2011
and awarded in 2011-2012.
D. Accreditation ratings prescribed in 8VAC20-131-300 C 1
a shall become effective with tests administered in 2012-2013 for ratings
awarded in 2013-2014 and beyond.
E. The Academic and Career Plan prescribed in
8VAC20-131-140 shall become effective in 2013-2014.
F. Unless otherwise specified, the remainder of these
regulations shall be effective beginning with the 2011-2012 academic year.
G. The revision of the graduation rate formula, for
purposes of the Standards of Accreditation, as described in 8VAC20-131-280 is
effective as of July 1, 2016.
Part VIII
School Accreditation
8VAC20-131-370. Expectations for school accountability and
accreditation.
A. The system of school accountability and accreditation
provides a means of determining the quality and effectiveness of schools for
the purposes of:
1. Building on strengths in schools and addressing specific
areas needing improvement;
2. Driving continuous improvement in school achievement for
all schools;
3. Informing areas for technical assistance and the use of
school improvement resources; and
4. Providing a comprehensive picture of school quality
information to the public.
B. Components of the accountability system, which present
expectations and standards for schools and school divisions, include:
1. The Code of Virginia's Standards of Quality, which
provide the foundational education program to be offered by school divisions,
including priorities for instructional programs supporting the Standards of
Learning and encompassing requirements for assessments and school accreditation;
2. The School Quality Profile, as referenced in
8VAC20-131-270 A 2, which provides information to parents, citizens, the
community, businesses and other agencies, and the general public about school
characteristics and about a comprehensive range of school indicators;
3. The federal accountability provisions required under the
Every Student Succeeds Act of 2015 (P.L. 114-95, as amended) and the
Individuals with Disabilities Education Act (20 USC § 1400 et seq.); and
4. The state accreditation provisions for schools and
school divisions as presented in this part.
C. Each school shall be accredited based on achievement of
the conditions specified in 8VAC20-131-400 and on continuous improvement of
performance levels on measures of selected school quality indicators as
described in 8VAC 20-131-380.
8VAC20-131-380. Measurement of school quality for
accreditation.
A. School quality for the purposes of accreditation shall
be measured for each school using multiple indicators as provided for in this
part. School quality indicators include student academic outcomes and other
factors that are associated with student learning.
Designation of school quality indicators for accreditation
purposes by the board is based on the following criteria:
1. Research demonstrates that the indicator is related to
academic performance;
2. Standardized procedures exist across schools and school
divisions for collection of data used for the indicator;
3. The data about the indicator is reliable and valid;
4. Performance in the indicator can be positively impacted
through division and school-level policies and procedures;
5. The measure meaningfully differentiates among schools
based on progress of all students and student reporting groups;
6. The indicator does not unfairly impact one type or group
of schools or students; and
7. The indicator is moderately to strongly correlated with
school-level pass rates on state assessments.
B. Specific indicators designated by the board for
accreditation purposes and defined in subsection F of this section
include the following:
1. Academic achievement for all students in English
(reading and writing), mathematics, and science as measured through
board-approved assessments, including measures of student growth in English
(reading), mathematics, and English learner (EL) progress;
2. Academic achievement gaps in English (reading and
writing) and mathematics for designated reporting groups, as determined through
the performance of each reporting group against the state standard;
3. Graduation and school progress for schools with a
graduating class as measured by the Graduation Completion Index;
4. Dropout rates in schools with a graduating class;
5. Student participation and engagement as measured by
chronic absenteeism in schools; and
6. College, career, and civic readiness in schools with a
graduating class.
C. When calculating passing rates and student growth on
Virginia Assessment Program tests to measure academic achievement school
quality indicators for the purpose of school accreditation, the following
tolerances for EL and transfer students shall apply:
1. The scores of EL students enrolled in Virginia public
schools fewer than 11 semesters may be removed from the calculation used to
measure academic achievement school quality indicators applied to
accreditation. Completion of a semester shall be based on school membership
days. Membership days are defined as the days the student is officially
enrolled in a Virginia public school, regardless of days absent or present. For
a semester to count as a completed semester, a student must have been in membership
for a majority of the membership days of the semester. These semesters need not
be consecutive.
2. In accordance with the provisions of 8VAC20-131-30, all
students who transfer into Virginia public schools are expected to take and
pass all applicable SOL tests in the content areas in which they receive
instruction.
3. All students who transfer within a school division shall
have their scores counted in the calculation of the school's academic
achievement school quality indicators. Students who transfer into a Virginia
school from home instruction or from another Virginia school division, another
state, or another country in grades kindergarten through 8 shall be expected to
take all applicable SOL tests or additional tests approved by the board as outlined
in 8VAC20-131-110. If the transfer takes place after the 20th instructional day
following the opening of school, the scores on these tests may be used in
calculating academic achievement school quality indicators applied to school
accreditation.
4. Students who transfer into a Virginia middle or high
school from home instruction or from another Virginia school division, another
state, or another country and enroll in a course for which there is an
end-of-course SOL test shall be expected to take the test or additional tests
for that course approved by the board as outlined in 8VAC20-131-30 and
8VAC20-131-110. If the transfer takes place after 20 instructional hours per
course have elapsed following the opening of school or beginning of the semester,
if applicable, the scores on those tests may be used in calculating academic
achievement school quality indicators applied to school accreditation in the
year the transfer occurs.
5. Students who enroll on the first day of school and
subsequently transfer to a school outside of the division for a total amount of
instructional time equal to or exceeding 50% of a current school year or
semester, whether the transfer was a singular or multiple occurrence, and
return during the same school year shall be expected to take any applicable SOL
test. The scores of those tests may be used in measuring the school academic
indicator in the year in which the transfers occur.
D. Performance benchmarks. Each school shall be held
accountable for attainment on each of the school quality indicators adopted by
the board for accreditation purposes, based on measurement against performance
benchmarks. Benchmarks measure actual performance or improvement or decline in
performance over time, or a combination of the two, for each school quality
indicator used for accreditation.
In establishing performance benchmarks, the board shall
use standard analytic protocols to assess the impact on schools. Consideration
is to be given to whether a proposed benchmark reflects the board's values and
expectations, or if the proposed benchmark results in consequences that were
not anticipated.
The board may incorporate additional indicators of school
quality used for accreditation into this chapter according to the criteria in
subsection A of this section, provided that when the board incorporates
additional indicators, the board shall also establish performance benchmarks to
assign performance levels.
E. Performance levels. Performance levels on school
quality indicators are determined through the definition and application of
board-established benchmarks. Performance levels shall be designated for each
indicator as one of the following: (i) Level One: At or Above Standard; (ii)
Level Two; Near Standard; or (iii) Level Three: Below Standard.
The performance levels are described as follows:
1. Level One: At or Above Standard. A school's achievement
on the specific indicator demonstrates acceptable performance or performance
above the benchmark or adequate improvement on the indicator.
2. Level Two: Near Standard. A school's achievement on the
specific indicator, although below Level One: At or Above Standard, is within
specified ranges of performance that either represent: (i) achievement near
Level One or (ii) improvement from Level Three: Below Standard, within a
specified range.
A school quality indicator within the Level Two: Near
Standard range that does not improve to the Level One: At or Above Standard at
the end of four years, with progress evaluated by the end of the second year as
specified in 8VAC20-131-400 C 5, shall be designated as Level Three: Below
Standard, at the end of the four-year period.
3. Level Three: Below Standard. A school's achievement on
the specific indicator is below the performance benchmarks for Level One and Level
Two.
Performance levels illustrate a school's standing for each
school quality indicator. Displaying accountability information in this manner
provides a comprehensive picture of a school's areas of strength, as well as
specific areas where improvement is needed. Areas needing improvement shall be
addressed through a multi-year school improvement plan or corrective action
plan as provided in 8VAC20-131-400 D, which shall include specific
interventions and strategies.
F. School quality indicators for accreditation purposes.
Effective with the 2018-2019 school year, the board shall measure performance
levels on the school quality indicators and apply them to accreditation. As
described in 8VAC20-131-390 B, the year 2018-2019 shall be considered a transition
year, with school accreditation designations evaluated using both the 2017-2018
criteria and the application of performance levels to school quality indicators
according to board guidelines. For 2018-2019 only, a school may achieve
accreditation by meeting the criteria of either the 2017-2018 year or the
criteria effective 2018-2019, whichever benefits it the most.
1. The school quality indicators and performance levels for
each are described in this subdivision:
School Quality Indicator
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Performance Levels
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a. Academic achievement indicator for all students for
English (reading and writing): the academic indicator shall be calculated
based on the rate of (i) students who passed board-approved assessments, (ii)
any additional students who showed growth using board-approved measures, and
(iii) any additional students who are English learners who showed growth
toward English proficiency using board-approved measures.
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Level One: Schools with a current year or three-year
average rate of at least 75%, or schools that were at Level Two the prior
year and decrease the failure rate by 10% or more from the prior year.
Level Two: Schools not meeting Level One performance with
a current year or three-year average rate of at least 66%, or schools with a
prior year rate of at least 50% that decrease the failure rate by 10% or more
from the prior year. A school shall not receive a Level Two performance
designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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b. Academic achievement indicator for all students for
mathematics: the academic indicator shall be calculated based on the rate of
(i) students who passed board-approved assessments and (ii) any additional
students who showed growth using board-approved measures.
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Level One: Schools with a current year or three-year
average rate of at least 70%, or schools that were at Level Two the prior
year and decrease the failure rate by 10% or more from the prior year.
Level Two: Schools not meeting Level One performance with
a current year or three-year average rate of at least 66%, or schools with a
prior year rate of at least 50% that decrease the failure rate by 10% or more
from the prior year. A school shall not receive a Level Two performance
designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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c. Academic achievement indicator for all students for
ccience: the academic indicator shall be calculated based on the rate of
students who passed board-approved assessments.
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Level One: Schools with a current year or three-year
average rate of at least 70%, or schools that were at Level Two the prior
year and decrease the failure rate by 10% or more from the prior year.
Level Two: Schools not meeting Level One performance with
a current year or three-year average rate of at least 66%, or schools with a
prior year rate of at least 50% and decrease the failure rate by 10% or more
from the prior year. A school shall not receive a Level Two performance
designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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d. Academic achievement gaps for English (reading and
writing): A single performance level is assigned for academic achievement
gaps for English (reading and writing), based upon the composite of
performance levels calculated individually for each reporting group using the
same methodology and benchmarks as provided for in the academic achievement
indicators for all students, as provided in subdivision F 1 a of this
subsection.
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Level One: Schools with no more than one reporting group
demonstrating Level Two performance.
Level Two: Schools with two or more reporting groups
demonstrating Level Two performance and no more than one reporting group
demonstrating Level Three performance.
Level Three: Schools with two or more reporting groups
demonstrating Level Three performance.
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e. Academic achievement gaps for mathematics. A single
performance level is assigned for academic achievement gaps for mathematics,
based upon the composite of performance levels calculated individually for
each reporting group using the same methodology and benchmarks as provided
for in the academic achievement indicators for all students, as provided in
subdivision F 1 b of this subsection.
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Level One: Schools with no more than one reporting group
demonstrating Level Two performance.
Level Two: Schools with two or more reporting groups
demonstrating Level Two performance and no more than one reporting group
demonstrating Level Three performance.
Level Three: Schools with two or more reporting groups
demonstrating Level Three performance.
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f. Graduation and completion index (GCI) for schools with
a graduating class: The GCI is the%age of students graduating from or
completing high school based upon a graduation and completion index
prescribed by the board. The board's GCI shall include weighted points for
diploma graduates, recipients of high school equivalency credentials approved
by the board, students not graduating but still in school, and students
earning certificates of program completion.
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Level One: Schools with a current year or three-year
average index of at least 88, or schools that were at Level Two the prior
year and increase the index by 2.5% or more from the prior year.
Level Two: Schools not meeting Level One performance with
a current year or three-year average index of at least 81, or schools that
were at Level Three the prior year and increase the index by 2.5% or more
from the prior year. A school shall not receive a Level Two performance
designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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g. Dropout rate for schools with a graduating class.
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Level One: Schools with a current year or three-year
average rate of no more than 6.0%, or schools that were at Level Two the
prior year and decrease the rate by 10% or more from the prior year.
Level Two: Schools not meeting Level One performance with
a current year or three-year average rate of no more than 9.0%, or schools
that were at Level Three the prior year and decrease the rate by 10% or more
from the prior year. A school shall not receive a Level Two performance
designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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h. Chronic absenteeism: Chronically absent students are
defined as those who are enrolled in a given school who miss 10% or more of
the school year, regardless of reason. Students receiving homebound
instruction, as defined in 8VAC20-131-5, shall be excluded from the chronic
absenteeism rate.
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Level One: Schools with a current year or three-year
average rate of no more than 15%, or schools that were at Level Two the prior
year and decrease the rate by 10% or more from the prior year.
Level Two: Schools not meeting Level One performance with
a current year or three-year average rate of no more than 25%, or schools
that were at Level Three the prior year and decrease the rate by 10% or more
from the prior year. A school shall not receive a Level Two performance
designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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i. College, career, and civic readiness index for schools
with a graduating class: The college, career, and civic readiness index
measures the extent to which a school's students successfully complete
advanced coursework, career and technical education (CTE) coursework and
credentialing, and work-based and service-based learning.
Application of the college, career, and civic readiness
index indicator to performance levels for accreditation purposes shall occur
no later than the 2021-2022 school year.
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Level One: Schools with a current year index of at least
85.
Level Two: Schools not meeting Level One performance with
a current year index of at least 71. A school shall not receive a Level Two
performance designation for more than four consecutive years.
Level Three: Schools not meeting Level One or Level Two
performance.
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2. To focus on continuous improvement for all schools, the
benchmarks delineating the performance levels provided in subdivision 1 of this
subsection may be adjusted as provided in subsection D of this section, through
board-approved guidance. Adequate notice shall be provided to local school
boards of any such adjustment.
3. The board may adopt special provisions related to the
measurement and use of a school quality indicator as prescribed by the board.
The board may also alter the inclusions and exclusions from the performance
level calculations by providing adequate notice to local school boards.
4. The board may add new assessments or discontinue the use
of existing assessments in the Virginia Assessment Program by providing
adequate notice to local school boards. As specified in the Standards of
Quality, the board may adopt special provisions related to the administration
and use of any SOL tests as applied to school quality indicators for any period
during which the Standards of Learning content or assessments in that area are
being revised and phased in. Notice shall be provided to local school boards
regarding the special provisions prior to statewide administration of such
tests.
5. The board may adopt valid and reliable measures of
student growth to be used in calculating the Academic Achievement Indicators
for English and mathematics and in determining the progress of English learners
toward English proficiency.
6. The board shall provide a process for a local school
board to appeal the performance level designation for a specific school quality
indicator for any school in the division. The board shall grant such appeals
only in limited circumstances that warrant special consideration in designating
performance levels. In order to appeal such designation the local school board
shall submit a request to the board, signed by the chairman of the school board
and the school superintendent, explaining why the school board is appealing the
designation and shall include documentation supporting the request to change
the performance level designation.
7. The board may designate and approve additional school
quality indicators, according to its criteria as specified in subsection A of
this section, provided that when the board incorporates additional indicators,
the board shall also establish performance benchmarks to assign performance
levels.
G. To establish performance levels for any of the school
quality indicators that are based on Virginia Assessment Program outcome data
in schools with grade configurations that do not house a grade or offer courses
for which SOL tests or additional tests approved by the board as outlined in
8VAC20-131-110 are administered, such schools shall be paired with another
school in the division housing one or more of the grades in which SOL tests are
administered. The pairing of such schools shall be made upon the recommendation
of the division superintendent. The schools should have a "feeder"
relationship and the grades should be contiguous.
8VAC20-131-390. Accreditation.
A. The board shall accredit schools based on achievement
of the school accountability requirements of this chapter.
The principal of each new or existing school and the
division superintendent shall annually document and report to the Department of
Education, in a manner prescribed by the board, the following:
1. The division's promotion and retention policies have
been developed in accordance with the requirements of 8VAC20-131-30;
2. Compliance with the requirements to offer courses that
shall allow students to complete the graduation requirements in 8VAC20-131-50
and 8VAC2021-131-51, as applicable;
3. The school and school division's ability to offer the instructional
program prescribed in 8VAC20-131-70 through 8VAC20-131-100;
4. The school and school division's offering of history and
social science and English, to include writing, as prescribed in 8VAC20-131-70
C;
5. Compliance with the leadership and staffing requirements
of 8VAC20-131-210 through 8VAC20-131-240;
6. Compliance with the facilities and safety provisions of
8VAC20-131-260;
7. Compliance with the parental notification provisions of
8VAC20-131-270 B;
8. The Standards of Learning have been fully incorporated
into the school division's curriculum in all accreditation-eligible schools,
and the Standards of Learning material is being taught to all students eligible
to take the SOL tests;
9. A comprehensive school plan has been prepared and implemented
as required by the Standards of Quality, in conjunction with the long-range
comprehensive plan of the division. Such plan shall be available to students,
parents, staff, and the public. Each school plan shall be evaluated as part of
the development of the next plan. Schools may use other plans to satisfy this
requirement with prior written approval from the Department of Education.
10. Actions prescribed by 8VAC20-131-400 have been
completed.
11. Each school continues to meet the standards in this chapter
that the school reported that it met in the previous year, and actions taken to
correct any noncompliance issues that the school reported in the previous year.
B. Accreditation ratings. Effective no later than the
academic year 2018-2019, schools that meet the conditions described in
subsection A of this section shall be assigned one of the following
accreditation designations as described in this section.
1. Accredited: When a school has each of its school quality
indicators at Level One or Level Two, it shall be "Accredited." For
the transition year of 2018-2019, when a school meets the accreditation
standards for designation as accredited under either the 2017-2018
accreditation calculation rules or the 2018-2019 rules for multiple school
quality indicators, it shall be designated "Accredited."
2. Accredited with Conditions: When a school has any school
quality indicator at Level Three, it shall be "Accredited with
Conditions."
3. Accreditation Denied: If a school is designated
"Accredited with Conditions," and the school or school division fails
to adopt and implement school division or school corrective action plans with
fidelity as specified by 8VAC20-131-400 D, it may be designated by the board as
"Accreditation Denied" as provided in 8VAC20-131-400 D 4.
C. Any school in violation of this chapter shall be
subject to appropriate action by the board including withholding the school's
accreditation rating.
D. A school's accreditation rating may be withheld by
action of the board for any school found to be in violation of test security
procedures pursuant to § 22.1-19.1 of the Code of Virginia.
E. Review cycles.
1. The board shall review annually the status of the
performance levels for school quality indicators applied to accreditation for
all schools in the Commonwealth.
2. If a school has been designated "Accredited"
for three consecutive years, the board shall review the accreditation status of
the school every three years. However, the board shall review the status of
each school quality indicator used for accreditation each individual year
within that triennial period. If the board finds that the school would have
been accredited every year of the triennial review period, the board shall
accredit the school for another three years. A multi-year accreditation status
shall not relieve any school or division of annual reporting requirements, nor
shall it relieve any school or division of annual review of school quality
indicators used for school accreditation and subsequent actions as appropriate
and provided for in 8VAC20-131-400, depending on performance level.
8VAC20-131-400. Application of the school quality indicator
performance levels to actions.
A. In accordance with the Standards of Quality at §
22.1-253.13:6 D of the Code of Virginia, all schools shall develop a
comprehensive, unified, long-range plan. To develop such plans, schools shall
conduct a comprehensive needs assessment, in collaboration with their school
division staff, to identify needed actions to ensure continuous improvement for
their students. Results of the comprehensive needs assessment shall be used to
develop a multi-year improvement plan, which shall be a component of the school's
comprehensive, unified, long-range plan. The multi-year improvement plan shall
be reviewed and updated as needed on an annual basis. Confirmation of
completion of the actions required by this section shall be provided to meet
requirements of 8VAC20-131-390 A 10.
In determining required actions for schools and school
divisions, levels of performance shall be considered separately for each school
quality indicator. Responses and actions to be taken by school divisions and
schools, under the leadership of division superintendents and school
principals, according to the performance level of each school quality indicator
are as prescribed in subsections B, C, and D of this section.
B. Level One. If a school quality indicator is at Level
One, the school and its school division shall continue to monitor the indicator
and the multi-year school improvement plan for continuous improvement.
C. Level Two. If a school quality indicator is at Level
Two, the school and its school division shall have primary responsibility to
revise and implement its multi-year school improvement plan.
In developing such plan, the school and its school
division shall determine the issues and conditions that are likely contributing
to the school's performance on the indicator and plan and implement essential
actions and research-based strategies designed to improve performance on the
indicator to achieve the Level One standard.
School division and school staff shall:
1. Identify factors related to the school's performance on
the indicator as part of the school's comprehensive needs assessment;
2. Use the results of the comprehensive needs assessment to
develop a multi-year school improvement plan that addresses the factors
identified in the needs assessment that are related to the performance on the
indicator. The school's multi-year improvement plan shall be approved by the
local school board. The department may implement an audit process to ensure
compliance with this provision;
3. Implement the essential actions and research-based strategies
with fidelity;
4. Regularly evaluate evidence of the school's progress in
implementing the plan, monitor changes on the school quality indicator, and
make adjustments as warranted; and
5. Evaluate the progress of the school quality indicators
at Level Two at the end of each year, and assess the results of the school
improvement plan actions at the end of two years. If no progress is made within
the two-year period on such school quality indicators, the plan shall be
revised.
If any of the academic achievement indicators for all
students, as provided in 8VAC20-131-380 F 1 a, 1 b, or 1 c is at Level Two, the
school must undergo an academic review conducted by the department, or under
its guidance, to further identify required actions to improve student
achievement. Review of other indicators by the department, or under its
guidance, may occur based on the school's multi-year school improvement plan.
School improvement plans developed for academic achievement indicators for all
students that are at Level Two shall be reviewed through a
department-established process, which may include peer review by staff from
other school divisions.
School divisions with indicators at Level Two may request
technical assistance from the department.
D. Level Three.
1. Corrective action plans. If any school quality indicator
is at Level Three, the school and school division shall work cooperatively and
in consultation with the department to develop a corrective action plan, which
shall be incorporated as a component of the school's comprehensive, unified,
long-range plan.
In developing such plan, the school and school division, in
consultation with the department, shall determine the issues and conditions
that are likely contributing to the school's performance on the indicator and
plan and implement essential actions and research-based strategies to achieve
improvement to the Level One standard.
All schools with indicators at Level Three must undergo an
academic or other review, as appropriate, conducted by the department, or under
its guidance, to further identify required actions to improve student
achievement and the school quality indicators that are at Level Three.
a. Considerations for the level of direction and
intervention from the department include:
(1) Specific characteristics of the school and school
division;
(2) The number of school quality indicators at Level Three
for the school;
(3) A school's trajectory on the indicators at Level Three;
(4) The length of time the school indicator has been at
Level Three; and
(5) The number of schools in the division with multiple
school quality indicators at Level Three.
b. In consultation with department staff, school division
and school staff shall:
(1) Identify factors related to the school's performance on
the indicators at Level Three as part of the school's comprehensive needs
assessment;
(2) Use the results of the comprehensive needs assessment
to develop a multi-year corrective action plan which addresses the factors
identified in the needs assessment that are related to the performance on the
indicator through essential actions and research-based strategies;
(3) Submit the completed corrective action plan to the
department through the division superintendent for department approval;
(4) Amend the plan, if the department disapproves any
portion thereof, as needed to secure the department's approval;
(5) Implement the approved corrective action plan with
fidelity; and
(6) Meet regularly with department staff to monitor
evidence of the school's progress in implementing the plan, to track
improvement on the indicator, and to identify next steps.
2. Superintendent agreement. The level of direction and
intervention from the department may include requiring the local school
division superintendent and the Superintendent of Public Instruction to enter
into an agreement that shall delineate the responsibilities for the school
division staff, school staff, and department staff and shall also include
required essential actions to improve student achievement and to improve
performance on school quality indicators.
3. Memorandum of understanding. School divisions that do
not demonstrate evidence of progress in adopting or implementing corrective
action plans for a school or schools with indicators at Level Three shall be
required to enter into a memorandum of understanding between the local school
board and the board. The memorandum of understanding shall delineate
responsibilities for the local school board, the board, school division staff,
school staff, and department staff and shall also include required essential
actions to improve student achievement and to improve performance on school
quality indicators.
Department staff shall meet regularly with school division
staff to monitor the memorandum of understanding and corrective action plan, to
track progress on the indicators, and to identify next steps.
School divisions that do not demonstrate evidence of
progress under the memorandum of understanding and the associated corrective
action plan shall be subject to additional actions, which may include more
frequent meetings with department staff, required technical assistance, or
appearance before the board.
4. Denial of accreditation. If a school is designated
"Accredited with Conditions," and the school or school division fails
to adopt and implement corrective action plans with fidelity as specified by
this section, the Superintendent of Public Instruction shall review the school
for potential designation by the board as "Accreditation Denied" and
shall present the results of such review to the board with recommendations. If
the board determines that any such school is at Level Three on any school
quality indicator due to its failure to adopt and implement corrective action
plans with fidelity as required by this section, the board shall designate such
school as "Accreditation Denied." The local school board shall be
given an opportunity to correct such failure, and if successful in a timely
manner, the school's "Accreditation Denied" designation may be
rescinded at the board's discretion.
5. At-risk add-on funds. As provided in the appropriation
act, if the board has required a local school board to submit a corrective
action plan pursuant to § 22.1-253.13:3 A of the Code of Virginia, either for
the school division pursuant to a division level review or for any schools
within its division that have been designated as not meeting the standards as
approved by the board, the Superintendent of Public Instruction shall determine
and report to the board whether each such local school board has met its
obligation to develop and submit such corrective action plan and is making
adequate and timely progress in implementing the plan. Additionally, if an
academic review process undertaken pursuant to § 22.1-253.13:3 A of the
Code of Virginia has identified actions for a local school board to implement,
the Superintendent of Public Instruction shall determine and report to the
board whether the local school board has implemented required actions. If the
Superintendent of Public Instruction certifies that a local school board has
failed or refused to meet any of those obligations, the board shall withhold
payment of some or all at-risk add-on funds otherwise allocated to the affected
division pursuant to this allocation for the pending fiscal year. In
determining the amount of at-risk add-on funds to be withheld, the board shall
take into consideration the extent to which such funds have already been
expended or contractually obligated. The local school board shall be given an
opportunity to correct its failure and, if successful in a timely manner, may
have some or all of its at-risk add-on funds restored at the board's
discretion.
6. Additional remedies. The board may exercise its authority
to seek school division compliance with school laws pursuant to the relevant
provisions of the Code of Virginia when any school within a division receives
an accreditation designation other than "Accredited."
In accordance with the Standards of Quality at §
22.1-253.13:3 A of the Code of Virginia, if the board determines that a school
division has failed or refused, and continues to fail or refuse, to comply with
any of the Standards of Quality, including the requirement for local school
boards to maintain schools designated as "Accredited" as provided in
§ 22.1-253.13:3 A of the Code of Virginia, the board may petition the circuit
court having jurisdiction in the school division to mandate or otherwise
enforce compliance with such standard, including the development or
implementation of any required corrective action plan that a local school board
has failed or refused to develop or implement in a timely manner.
8VAC20-131-410. Recognitions and rewards for school and
division accountability.
A. Schools and divisions may be recognized by the board in
accordance with guidelines it shall establish for the Virginia Index of
Performance (VIP) incentive program. In order to encourage school divisions to
promote student achievement in science, technology, engineering, and
mathematics (STEM), the board shall take into account in its guidelines a
school division's increase in enrollment and elective course offerings in these
STEM areas. Such recognition may include:
1. Public announcements recognizing individual schools and
divisions;
2. Tangible rewards;
3. Waivers of certain board regulations;
4. Exemptions from certain reporting requirements; or
5. Other commendations deemed appropriate to recognize high
achievement.
In addition to board recognition, local school boards
shall adopt policies to recognize individual schools through public
announcements, media releases, and participation in community activities when
setting policy relating to schools and budget development, as well as other
appropriate recognition.
B. Schools and divisions may be designated and recognized
by the board for exemplar performance in accordance with criteria and
guidelines it shall establish for top achievement in one or more school quality
indicators, and the board may include recognition for high performing schools
in specific peer categories, such as schools with high levels of poverty.
8VAC20-131-420. Waivers and alternative accreditation plans.
A. Except as specified in this section, the board may
grant, for a period of up to five years, a waiver of requirements of this
chapter that are not mandated by state or federal law or designed to promote
health or safety. The board may grant all or a portion of the request for a
waiver and designate conditions as appropriate. Waivers of requirements in
8VAC20-131-30, 8VAC20-131-50, 8VAC20-131-51, 8VAC20-131-70, and 8VAC20-131-370
through 8VAC20-131-430 shall not be granted, and no waiver may be approved for
a program that violates the Standards of Quality.
B. Waivers of some of the requirements of this chapter may
be granted by the board based on submission of a request from the division
superintendent and chairman of the local school board. The request shall
include documentation of the justification and need for the waiver. In no event
shall waivers be granted to the requirements of Part III (8VAC20-131-30 et
seq.) of this chapter except that the board may provide for the waiver of
certain graduation requirements in 8VAC20-131-50 and 8VAC20-131-51 upon (i) the
board's initiative or (ii) the request of a local school board on a
case-by-case basis. The board shall develop guidelines for implementing this
chapter.
Any student with a disability whose Individualized
Education Program (IEP) or 504 Plan documents that the student cannot successfully
complete training in emergency first aid, cardiopulmonary resuscitation, or the
use of automated external defibrillators, including hands-on practice of the
skills necessary to perform cardiopulmonary resuscitation, as required for
graduation in 8VAC20-31-50 B 2 and C 2 and 8VAC20-131-51 B 2 and C 2 shall be
granted a waiver from this graduation requirement.
C. Waivers for innovative or school experimental programs.
With the approval of the local school board, schools seeking to implement
experimental or innovative programs, or both, that are not consistent with this
chapter shall submit a waiver request to the board for evaluation and approval
prior to implementation. The request must include the following:
1. Purpose and objectives of the experimental or innovative
programs;
2. Description and duration of the programs;
3. Anticipated outcomes;
4. Number of students affected;
5. Evaluation procedures; and
6. Mechanisms for measuring goals, objectives, and student
academic achievement.
D. Alternative accreditation plans. Subject to the
provisions of subsection B of this section, the governing school board of
special purpose schools such as those provided for in § 22.1-26 of the Code of
Virginia, Governor's schools, special education schools, alternative schools,
or career and technical schools that serve as the student's school of principal
enrollment may seek approval of an alternative accreditation plan from the
board. Schools offering alternative education programs, schools with a
graduation cohort of 50 or fewer students as defined by the graduation rate
formula adopted by the board may request that the board approve an alternative
accreditation plan to meet the graduation and completion index benchmark.
Special purpose schools with alternative accreditation plans shall be evaluated
on standards appropriate to the programs offered in the school and approved by
the board prior to August 1 of the school year for which approval is requested.
Any student graduating from a special purpose school with a Standard Diploma or
an Advanced Studies Diploma must meet the requirements prescribed in
8VAC20-131-50 or 8VAC20-131-51.
As set forth in the Standards of Quality and according to
department procedures, any school board may request the board for release from
state regulations or, on behalf of one or more of its schools, for approval of
an Individual School Accreditation Plan for the evaluation of the performance
of one or more of its schools as authorized for schools enumerated in this
subsection, based on special circumstances.
8VAC20-131-430. Effective dates.
A. Graduation requirements.
1. The graduation requirements for students entering the
ninth grade for the first time in the 2013-2014 school year and prior to the
2018-2019 school year shall be those provided in 8VAC20-131-50.
2. The graduation requirements for students entering the
ninth grade for the first time in the 2018-2019 school year and beyond shall be
those provided in 8VAC20-131-51.
3. The graduation requirements applicable to students
transferring into a Virginia high school for the first time shall be as
determined by 8VAC20-131-60 G.
B. Locally awarded verified credits.
1. Locally awarded verified credits conferred for history
and social science for students entering the ninth grade for the first time
prior to the 2018-2019 school year shall be as provided in 8VAC20-131-110 B 3
a.
2. Locally awarded verified credits conferred for English,
mathematics, laboratory science, and history and social science for students
entering the ninth grade for the first time in 2018-2019 or thereafter shall be
as provided in 8VAC20-131-110 B 3 b.
C. Academic and career planning.
1. The requirements for academic and career planning
prescribed in 8VAC20-131-140 B shall be effective beginning with the 2013-2014
academic year and through the 2017-2018 academic year.
2. The requirements for Academic and Career Plans
prescribed in 8VAC20-131-140 C shall be effective beginning with the 2018-2019
academic year.
D. The application of the college, career, and civic
readiness index as a school quality indicator used for accreditation shall be
made no later than the 2021-2022 school year .
E. Unless otherwise specified, the remainder of this
chapter shall become effective beginning with the 2018-2019 academic year.
VA.R. Doc. No. R13-3789; Filed July 18, 2017, 3:46 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Final Regulation
REGISTRAR'S NOTICE: The
following regulatory action is exempt from Article 2 of the Administrative
Process Act in accordance with § 2.2-4006 A 4 c of the Code of Virginia,
which excludes regulations that are necessary to meet the requirements of
federal law or regulations, provided such regulations do not differ materially
from those required by federal law or regulation. The Department of Medical
Assistance Services will receive, consider, and respond to petitions by any
interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 12VAC30-50. Amount, Duration,
and Scope of Medical and Remedial Care Services (amending 12VAC30-50-160).
12VAC30-60. Standards Established and Methods Used to Assure
High Quality Care (amending 12VAC30-60-70, 12VAC30-60-130).
Statutory Authority: § 32.1-325 of the Code of Virginia;
42 USC § 1396 et seq.
Effective Date: January 13, 2018.
Agency Contact: Emily McClellan, Regulatory Supervisor,
Policy Division, Department of Medical Assistance Services, 600 East Broad
Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX (804)
786-1680, or email emily.mcclellan@dmas.virginia.gov.
Summary:
The amendments update references to federal regulation
citation 42 CFR 484.36, related to conditions of participation for home
health agencies, which was recodified as 42 CFR 484.80.
12VAC30-50-160. Home health services.
A. Service must be ordered or prescribed and directed or
performed within the scope of a license of a practitioner of the healing arts.
Home health services shall be provided in accordance with guidelines found in
the Virginia Medicaid Home Health Manual.
B. Nursing services provided by a home health agency.
1. Intermittent or part-time nursing service provided by a
home health agency or by a registered nurse when no home health agency exists
in the area.
2. Patients may receive up to five visits by a licensed nurse
annually. Limits are per recipient, regardless of the number of providers
rendering services. "Annually" shall be defined as July
1 through June 30 for each recipient. If services beyond these limitations are
determined by the physician to be required, then the provider shall request
prior authorization from DMAS for additional services. Payment shall not be
made for additional service unless authorized by DMAS.
C. Home health aide services provided by a home health
agency.
1. Home health aides must function under the supervision of a
registered nurse.
2. Home health aides must meet the certification requirements
specified in 42 CFR 484.36 484.80.
3. For home health aide services, patients may receive up to
32 visits annually. Limits shall be per recipient, regardless of the number of
providers rendering services. "Annually" shall be defined
as July 1 through June 30 for each recipient.
D. Physical therapy, occupational therapy, or speech
pathology services and audiology services provided by a home health agency or
medical rehabilitation facility.
1. Service covered only as part of a physician's plan of care.
2. Patients may receive up to five visits for each
rehabilitative therapy service ordered annually without authorization. Limits
shall apply per recipient regardless of the number of providers rendering
services. "Annually" shall be defined as July 1 through
June 30 for each recipient. If services beyond these limitations are determined
by the physician to be required, then the provider shall request prior
authorization from DMAS for additional services.
E. The following services are not covered under the home
health services program:
1. Medical social services;
2. Services or items which would not be paid for if provided
to an inpatient of a hospital, such as private-duty nursing services, or items
of comfort which have no medical necessity, such as television;
3. Community food service delivery arrangements;
4. Domestic or housekeeping services which are unrelated to
patient care and which materially increase the time spent on a visit;
5. Custodial care, which is patient care that primarily
requires protective services rather than definitive medical and skilled nursing
care; and
6. Services related to cosmetic surgery.
12VAC30-60-70. Utilization control: home health services.
A. Home health services that meet the standards prescribed
for participation under Title XVIII, will be supplied.
B. Home health services shall be provided by a home health
agency that is (i) licensed by the Virginia Department of Health (VDH), (ii)
certified by the Virginia Department of Health under provisions of Title XVIII
(Medicare) or Title XIX (Medicaid) of the Social Security Act, or (iii)
accredited either by the Joint Commission on Accreditation of Healthcare
Organizations (JCAHO) or by the Community Health Accreditation Program (CHAP)
established by the National League of Nursing. Services shall be provided on a
part-time or intermittent basis to a recipient in any setting in which normal
life activities take place. Home health services shall not be furnished to
individuals residing in a hospital, nursing facility, intermediate care
facility for individuals with intellectual disabilities, or any setting in
which payment is or could be made under Medicaid for inpatient services that
include room and board. Home health services must be ordered or prescribed by a
physician and be part of a written plan of care that the physician shall review
at least every 60 days.
C. Covered services. Any one of the following services may be
offered as the sole home health service and shall not be contingent upon the
provision of another service.
1. Nursing services;
2. Home health aide services;
3. Physical therapy services;
4. Occupational therapy services; or
5. Speech-language pathology services.
D. General conditions. The following general conditions apply
to skilled nursing, home health aide, physical therapy, occupational therapy,
and speech-language pathology services provided by home health agencies.
1. The patient must be under the care of a physician who is
legally authorized to practice and who is acting within the scope of his
license. The physician may be the patient's private physician or a physician on
the staff of the home health agency or a physician working under an arrangement
with the institution which is the patient's residence or, if the agency is
hospital-based, a physician on the hospital or agency staff.
2. No payment shall be made for home health services unless a
face-to-face encounter has been performed by an approved practitioner, as
outlined in this subsection, with the Medicaid individual within the 90 days
before the start of the services or within the 30 days after the start of the
services. The face-to-face encounter shall be related to the primary reason the
Medicaid individual requires home health services.
a. The face-to-face encounter shall be conducted by one of the
following approved practitioners:
(1) A physician licensed to practice medicine;
(2) A nurse practitioner or clinical nurse specialist within
the scope of his practice under state law and working in collaboration with the
physician who orders the Medicaid individual's services;
(3) A certified nurse midwife within the scope of his practice
under state law;
(4) A physician assistant within the scope of his practice
under state law and working under the supervision of the physician who orders
the Medicaid individual's services; or
(5) For Medicaid individuals admitted to home health
immediately after an acute or post-acute stay, the attending acute or post-acute
physician.
b. The practitioner performing the face-to-face encounter
shall document the clinical findings of the encounter in the Medicaid
individual's record and communicate the clinical findings of the encounter to
the ordering physician.
c. Face-to-face encounters may occur through telehealth, which
shall not include by phone or email.
3. When a patient is admitted to home health services a
start-of-care comprehensive assessment must be completed no later than five
calendar days after the start of care date.
4. Services shall be furnished under a written plan of care
and must be established and periodically reviewed by a physician. The requested
services or items must be necessary to carry out the plan of care and must be
related to the patient's condition. The initial plan of care (certification)
must be reviewed by the attending physician, or physician designee. The
physician must sign the initial certification before the home health agency may
bill DMAS.
5. A physician shall review and recertify the plan of care
every 60 days. A physician recertification shall be performed within the last
five days of each current 60-day certification period, (i.e., between and
including days 56-60). The physician recertification statement must indicate
the continuing need for services and should estimate how long home health
services will be needed. The physician must sign the recertification before the
home health agency may bill DMAS.
6. The physician-orders for therapy services shall include the
specific procedures and modalities to be used, identify the specific discipline
to carry out the plan of care, and indicate the frequency and duration for
services.
7. A written physician's statement located in the medical
record must certify that:
a. The patient needs licensed nursing care, home health aide
services, physical or occupational therapy, or speech-language pathology
services;
b. A plan for furnishing such services to the individual has
been established and is periodically reviewed by a physician; and
c. These services were furnished while the individual was
under the care of a physician.
8. The plan of care shall contain at least the following
information:
a. Diagnosis and prognosis;
b. Functional limitations;
c. Orders for nursing or other therapeutic services;
d. Orders for home health aide services, when applicable;
e. Orders for medications and treatments, when applicable;
f. Orders for special dietary or nutritional needs, when
applicable; and
g. Orders for medical tests, when applicable, including
laboratory tests and x-rays.
E. Utilization review shall be performed by DMAS to determine
if services are appropriately provided and to ensure that the services provided
to Medicaid recipients are medically necessary and appropriate. Such post
payment review audits may be unannounced. Services not specifically documented
in patients' medical records as having been rendered shall be deemed not to
have been rendered and no reimbursement shall be provided.
F. All services furnished by a home health agency, whether
provided directly by the agency or under arrangements with others, must be
performed by appropriately qualified personnel. The following criteria shall
apply to the provision of home health services:
1. Nursing services. Nursing services must be provided by a
registered nurse or by a licensed practical nurse under the supervision of a
graduate of an approved school of professional nursing and who is licensed as a
registered nurse.
2. Home health aide services. Home health aides must meet the
qualifications specified for home health aides by 42 CFR 484.36 484.80.
Home health aide services may include assisting with personal hygiene, meal
preparation and feeding, walking, and taking and recording blood pressure,
pulse, and respiration. Home health aide services must be provided under the
general supervision of a registered nurse. A recipient may not receive
duplicative home health aide and personal care aide services.
3. Rehabilitation services. Services shall be specific and
provide effective treatment for patients' conditions in accordance with
accepted standards of medical practice. The amount, frequency, and duration of
the services shall be reasonable. Rehabilitative services shall be provided
with the expectation, based on the assessment made by physicians of patients'
rehabilitation potential, that the condition of patients will improve
significantly in a reasonable and generally predictable period of time,
or shall be necessary to the establishment of a safe and effective maintenance
program required in connection with the specific diagnosis.
a. Physical therapy services shall be directly and
specifically related to an active written plan of care approved by a physician
after any needed consultation with a physical therapist licensed by the Board
of Physical Therapy. The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature that the
services can only be performed by a physical therapist licensed by the Board of
Physical Therapy, or a physical therapy assistant who is licensed by the Board
of Physical Therapy and is under the direct supervision of a physical therapist
licensed by the Board of Physical Therapy. When physical therapy services are
provided by a qualified physical therapy assistant, such services shall be
provided under the supervision of a qualified physical therapist who makes an
onsite supervisory visit at least once every 30 days. This supervisory visit
shall not be reimbursable.
b. Occupational therapy services shall be directly and
specifically related to an active written plan of care approved by a physician
after any needed consultation with an occupational therapist registered and
licensed by the National Board for Certification in Occupational Therapy and
licensed by the Virginia Board of Medicine. The services shall be of a level of
complexity and sophistication, or the condition of the patient shall be of a
nature that the services can only be performed by an occupational therapist
registered and licensed by the National Board for Certification in Occupational
Therapy and licensed by the Virginia Board of Medicine, or an occupational
therapy assistant who is certified by the National Board for Certification in
Occupational Therapy under the direct supervision of an occupational therapist
as defined in this subdivision. When occupational therapy services are provided
by a qualified occupational therapy assistant, such services shall be provided
under the supervision of a qualified occupational therapist, as defined in this
subdivision, who makes an onsite supervisory visit at least once every 30 days.
This supervisory visit shall not be reimbursable.
c. Speech-language pathology services shall be directly and specifically
related to an active written plan of care approved by a physician after any
needed consultation with a speech-language pathologist licensed by the Virginia
Department of Health Professions, Virginia Board of Audiology and
Speech-Language Pathology. The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature that the
services can only be performed by a speech-language pathologist licensed by the
Virginia Board of Audiology and Speech-Language Pathology.
4. A visit shall be defined as the duration of time that a
nurse, home health aide, or rehabilitation therapist is with a client to
provide services prescribed by a physician and that are covered home health
services. Visits shall not be defined in measurements or increments of time.
12VAC30-60-130. Hospice services.
A. Admission criteria.
1. Service election. To be eligible for hospice coverage under
Medicare or Medicaid, the recipient shall be "terminally ill,"
defined as having a life expectancy of six months or less, and except for
individuals under 21 years of age, elect to receive hospice services rather
than active treatment for the illness. Both the attending physician (if the
individual has an attending physician) and the hospice medical director, or the
attending physician and the physician member of the interdisciplinary team,
must initially certify the life expectancy. The election statement shall
include (i) identification of the hospice that will provide care to the individual;
(ii) the individual's or representative's acknowledgement acknowledgment
that he has been given a full understanding of the palliative rather than
curative nature of hospice care as it relates to the individual's terminal
illness; (iii) with the exception of children, defined as persons younger than
21 years of age, acknowledgement acknowledgment that certain
Medicaid services are waived by the election; (iv) the effective date of the
election; and (v) the signature of the individual or representative.
2. Service revocation. The recipient shall have the right to
revoke his election of hospice services at any time during the covered hospice
periods. DMAS shall be contacted if the recipient revokes his hospices hospice
services. If the recipient reelects the hospice services, the hospice periods
will begin as an initial time frame timeframe. Therefore, the above
certification and time requirements in this subsection will apply. The
recipient cannot retroactively receive hospice benefits from previously unused
hospice periods. The recipient's written revocation statement shall be maintained
in the recipient's medical record.
B. General conditions. The general conditions provided in
this subsection apply to nursing care, medical social services, physician
services, counseling services, short-term inpatient care, durable medical equipment
and supplies, drugs and biologicals, home health aide and homemaker services,
and rehabilitation services.
The recipient shall be under the care of a physician who is
legally authorized to practice and who is acting within the scope of his
license. The hospice medical director or the physician member of the
interdisciplinary team shall be a licensed doctor of medicine or osteopathy.
Hospice services may be provided in the recipient's home or in a freestanding
hospice, hospital or nursing facility.
The hospice shall obtain the written certification that an
individual is terminally ill in accordance with the following procedures:
1. For the initial 90-day benefit period of hospice coverage,
a Medicaid written certification (DMAS 420) shall be signed and dated by the
medical director of the hospice and the attending physician, or the physician
member of the hospice interdisciplinary team and the attending physician, at
the beginning of the certification period. This initial certification shall be
submitted for preauthorization within 14 days from the physician's signature
date. This certification shall be maintained in the recipient's medical record.
2. For the subsequent 90-day hospice period, a Medicaid
written certification (DMAS 420) shall be signed and dated before or on the
begin date of the 90-day hospice period by the medical director of the hospice
or the physician member of the hospice's interdisciplinary team. The
certification shall include the statement that the recipient's medical prognosis
is that his life expectancy is six months or less. This certification of
continued need for hospice services shall be maintained in the recipient's
medical record.
3. After the second 90-day hospice period and until the
recipient is no longer in the Medicaid hospice program, a Medicaid written
certification shall be signed and dated every 60 days on or before the begin
date of the 60-day period. This certification statement shall be signed and
dated by the medical director of the hospice or the physician member of the
hospice's interdisciplinary team. The certification shall include the statement
that the recipient's medical prognosis is that his life expectancy is six
months or less. This certification shall be maintained in the recipient's
medical record.
C. Utilization review. Authorization for hospice services
requires an initial preauthorization by DMAS and physician certification of
life expectancy. Utilization review will be conducted to determine if services
were provided by the appropriate provider and to ensure that the services
provided to Medicaid recipients are medically necessary and appropriate.
Services not specifically documented in the recipients' medical records as
having been rendered shall be deemed not to have been rendered and no coverage
shall be provided. All hospice services shall be provided in accordance with
guidelines established in the Virginia Medicaid Hospice Manual.
D. Hospice services are a medically directed,
interdisciplinary program of palliative services for terminally ill people and
their families, emphasizing pain and symptom control. The rules pertaining to
them are:
1. Interdisciplinary team. An interdisciplinary team shall
include at least the following individuals: a physician (either a hospice
employee or a contract physician), a registered nurse, a social worker, and a
pastoral or other counselor. Other professionals may also be members of the
interdisciplinary team depending on the terminally ill recipient's medical
needs.
2. Nursing care. Nursing care shall be provided by a
registered nurse or by a licensed practical nurse under the supervision of a
graduate of an approved school of professional nursing and who is licensed as a
registered nurse.
3. Medical social services. Medical social services shall be
provided by a social worker who has at least a bachelor's degree from a school
accredited or approved by the Council on Social Work Education, and who is
working under the direction of a physician.
4. Physician services. Physician services shall be performed
by a professional who is licensed to practice, who is acting within the scope
of his license, and who is a doctor of medicine or osteopathy, a doctor of
dental surgery or dental medicine, a doctor of podiatric medicine, a doctor of
optometry, or a chiropractor. The hospice medical director or the physician
member of the interdisciplinary team shall be a licensed doctor of medicine or
osteopathy.
5. Counseling services. Counseling services shall be provided
to the terminally ill individual and the family members or other persons caring
for the individual at home. Counseling, including dietary counseling, may be
provided both for the purpose of training the individual's family or other
caregiver to provide care, and for the purpose of helping the individual and
those caring for him to adjust to the individual's approaching death.
Bereavement counseling consists of counseling services provided to the individual's
family up to one year after the individual's death. Bereavement counseling is a
required hospice service, but it is not reimbursable.
6. Short-term inpatient care. Short-term inpatient care may be
provided in a participating hospice inpatient unit, or a participating hospital
or nursing facility. General inpatient care may be required for procedures
necessary for pain control or acute or chronic symptom management which cannot
be provided in other settings. Inpatient care may also be furnished to provide
respite for the individual's family or other persons caring for the individual
at home.
7. Durable medical equipment and supplies. Durable medical
equipment as well as other self-help and personal comfort items related to the
palliation or management of the patient's terminal illness is covered. Medical
supplies include those that are part of the written plan of care.
8. Drugs and biologicals. Only drugs which are used primarily
for the relief of pain and symptom control related to the individual's terminal
illness are covered.
9. Home health aide and homemaker services. Home health aides
providing services to hospice recipients shall meet the qualifications
specified for home health aides by 42 CFR 484.36 484.80.
Home health aides may provide personal care services. Aides may also perform
household services to maintain a safe and sanitary environment in areas of the
home used by the patient, such as changing the bed or light cleaning and
laundering essential to the comfort and cleanliness of the patient. Homemaker
services may include assistance in personal care, maintenance of a safe and
healthy environment, and services to enable the individual to carry out
the plan of care. Home health aide and homemaker services shall be provided
under the general supervision of a registered nurse.
10. Rehabilitation services. Rehabilitation services include
physical and occupational therapies and speech-language pathology services that
are used for purposes of symptom control or to enable the individual to
maintain activities of daily living and basic functional skills.
a. Occupational therapy services shall be those services
furnished a patient which meet all of the following conditions:
(1) The services shall be directly and specifically related to
an active written treatment plan designed by the physician after any needed
consultation with an occupational therapist registered and certified by the
American Occupational Therapy Certification Board;
(2) The services shall be of a level of complexity and sophistication,
or the condition of the patient shall be of a nature, that the services can
only be performed by an occupational therapist registered and certified by the
American Occupational Therapy Certification Board or an occupational therapy
assistant certified by the American Occupational Therapy Certification Board
under the direct supervision of an occupational therapist as defined above;
and
(3) The services shall be specific and provide effective
treatment for the patient's condition in accordance with accepted standards of
medical practice, including the requirement that the amount, frequency, and
duration of the services shall be reasonable.
b. Physical therapy services shall be those furnished a
patient which meet all of the following conditions:
(1) The services shall be directly and specifically related to
an active written treatment plan designed by a physician after any needed
consultation with a physical therapist licensed by the Board of Medicine;
(2) The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature, that the
services can only be performed by a physical therapist licensed by the Board of
Medicine, or a physical therapy assistant who is licensed by the Board of Medicine
and under the direct supervision of a physical therapist licensed by the Board
of Medicine; and
(3) The services shall be specific and provide effective
treatment for the patient's condition in accordance with accepted standards of
medical practice, including the requirement that the amount, frequency, and
duration of the services shall be reasonable.
c. Speech-language pathology services shall be those services
furnished a patient which meet all of the following conditions:
(1) The services shall be directly and specifically related to
an active written treatment plan designed by a physician after any needed
consultation with a speech-language pathologist licensed by the Board of
Audiology and Speech-Language Pathology;
(2) The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature, that the
services can only be performed by a speech-language pathologist licensed by the
Board of Audiology and Speech-Language Pathology; and
(3) The services shall be specific and provide effective
treatment for the patient's condition in accordance with accepted standards of
medical practice, including the requirement that the amount, frequency, and
duration of the services shall be reasonable.
11. Documentation of hospice services shall be maintained in
the recipient's medical record. Coordination of patient care between all health
care professionals should be maintained in the recipient's medical record.
VA.R. Doc. No. R17-5056; Filed July 10, 2017, 1:34 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Final Regulation
REGISTRAR'S NOTICE: The
following regulatory action is exempt from Article 2 of the Administrative
Process Act in accordance with § 2.2-4006 A 4 c of the Code of Virginia,
which excludes regulations that are necessary to meet the requirements of
federal law or regulations, provided such regulations do not differ materially
from those required by federal law or regulation. The Department of Medical
Assistance Services will receive, consider, and respond to petitions by any
interested person at any time with respect to reconsideration or revision.
Titles of Regulations: 12VAC30-50. Amount, Duration,
and Scope of Medical and Remedial Care Services (amending 12VAC30-50-160).
12VAC30-60. Standards Established and Methods Used to Assure
High Quality Care (amending 12VAC30-60-70, 12VAC30-60-130).
Statutory Authority: § 32.1-325 of the Code of Virginia;
42 USC § 1396 et seq.
Effective Date: January 13, 2018.
Agency Contact: Emily McClellan, Regulatory Supervisor,
Policy Division, Department of Medical Assistance Services, 600 East Broad
Street, Suite 1300, Richmond, VA 23219, telephone (804) 371-4300, FAX (804)
786-1680, or email emily.mcclellan@dmas.virginia.gov.
Summary:
The amendments update references to federal regulation
citation 42 CFR 484.36, related to conditions of participation for home
health agencies, which was recodified as 42 CFR 484.80.
12VAC30-50-160. Home health services.
A. Service must be ordered or prescribed and directed or
performed within the scope of a license of a practitioner of the healing arts.
Home health services shall be provided in accordance with guidelines found in
the Virginia Medicaid Home Health Manual.
B. Nursing services provided by a home health agency.
1. Intermittent or part-time nursing service provided by a
home health agency or by a registered nurse when no home health agency exists
in the area.
2. Patients may receive up to five visits by a licensed nurse
annually. Limits are per recipient, regardless of the number of providers
rendering services. "Annually" shall be defined as July
1 through June 30 for each recipient. If services beyond these limitations are
determined by the physician to be required, then the provider shall request
prior authorization from DMAS for additional services. Payment shall not be
made for additional service unless authorized by DMAS.
C. Home health aide services provided by a home health
agency.
1. Home health aides must function under the supervision of a
registered nurse.
2. Home health aides must meet the certification requirements
specified in 42 CFR 484.36 484.80.
3. For home health aide services, patients may receive up to
32 visits annually. Limits shall be per recipient, regardless of the number of
providers rendering services. "Annually" shall be defined
as July 1 through June 30 for each recipient.
D. Physical therapy, occupational therapy, or speech
pathology services and audiology services provided by a home health agency or
medical rehabilitation facility.
1. Service covered only as part of a physician's plan of care.
2. Patients may receive up to five visits for each
rehabilitative therapy service ordered annually without authorization. Limits
shall apply per recipient regardless of the number of providers rendering
services. "Annually" shall be defined as July 1 through
June 30 for each recipient. If services beyond these limitations are determined
by the physician to be required, then the provider shall request prior
authorization from DMAS for additional services.
E. The following services are not covered under the home
health services program:
1. Medical social services;
2. Services or items which would not be paid for if provided
to an inpatient of a hospital, such as private-duty nursing services, or items
of comfort which have no medical necessity, such as television;
3. Community food service delivery arrangements;
4. Domestic or housekeeping services which are unrelated to
patient care and which materially increase the time spent on a visit;
5. Custodial care, which is patient care that primarily
requires protective services rather than definitive medical and skilled nursing
care; and
6. Services related to cosmetic surgery.
12VAC30-60-70. Utilization control: home health services.
A. Home health services that meet the standards prescribed
for participation under Title XVIII, will be supplied.
B. Home health services shall be provided by a home health
agency that is (i) licensed by the Virginia Department of Health (VDH), (ii)
certified by the Virginia Department of Health under provisions of Title XVIII
(Medicare) or Title XIX (Medicaid) of the Social Security Act, or (iii)
accredited either by the Joint Commission on Accreditation of Healthcare
Organizations (JCAHO) or by the Community Health Accreditation Program (CHAP)
established by the National League of Nursing. Services shall be provided on a
part-time or intermittent basis to a recipient in any setting in which normal
life activities take place. Home health services shall not be furnished to
individuals residing in a hospital, nursing facility, intermediate care
facility for individuals with intellectual disabilities, or any setting in
which payment is or could be made under Medicaid for inpatient services that
include room and board. Home health services must be ordered or prescribed by a
physician and be part of a written plan of care that the physician shall review
at least every 60 days.
C. Covered services. Any one of the following services may be
offered as the sole home health service and shall not be contingent upon the
provision of another service.
1. Nursing services;
2. Home health aide services;
3. Physical therapy services;
4. Occupational therapy services; or
5. Speech-language pathology services.
D. General conditions. The following general conditions apply
to skilled nursing, home health aide, physical therapy, occupational therapy,
and speech-language pathology services provided by home health agencies.
1. The patient must be under the care of a physician who is
legally authorized to practice and who is acting within the scope of his
license. The physician may be the patient's private physician or a physician on
the staff of the home health agency or a physician working under an arrangement
with the institution which is the patient's residence or, if the agency is
hospital-based, a physician on the hospital or agency staff.
2. No payment shall be made for home health services unless a
face-to-face encounter has been performed by an approved practitioner, as
outlined in this subsection, with the Medicaid individual within the 90 days
before the start of the services or within the 30 days after the start of the
services. The face-to-face encounter shall be related to the primary reason the
Medicaid individual requires home health services.
a. The face-to-face encounter shall be conducted by one of the
following approved practitioners:
(1) A physician licensed to practice medicine;
(2) A nurse practitioner or clinical nurse specialist within
the scope of his practice under state law and working in collaboration with the
physician who orders the Medicaid individual's services;
(3) A certified nurse midwife within the scope of his practice
under state law;
(4) A physician assistant within the scope of his practice
under state law and working under the supervision of the physician who orders
the Medicaid individual's services; or
(5) For Medicaid individuals admitted to home health
immediately after an acute or post-acute stay, the attending acute or post-acute
physician.
b. The practitioner performing the face-to-face encounter
shall document the clinical findings of the encounter in the Medicaid
individual's record and communicate the clinical findings of the encounter to
the ordering physician.
c. Face-to-face encounters may occur through telehealth, which
shall not include by phone or email.
3. When a patient is admitted to home health services a
start-of-care comprehensive assessment must be completed no later than five
calendar days after the start of care date.
4. Services shall be furnished under a written plan of care
and must be established and periodically reviewed by a physician. The requested
services or items must be necessary to carry out the plan of care and must be
related to the patient's condition. The initial plan of care (certification)
must be reviewed by the attending physician, or physician designee. The
physician must sign the initial certification before the home health agency may
bill DMAS.
5. A physician shall review and recertify the plan of care
every 60 days. A physician recertification shall be performed within the last
five days of each current 60-day certification period, (i.e., between and
including days 56-60). The physician recertification statement must indicate
the continuing need for services and should estimate how long home health
services will be needed. The physician must sign the recertification before the
home health agency may bill DMAS.
6. The physician-orders for therapy services shall include the
specific procedures and modalities to be used, identify the specific discipline
to carry out the plan of care, and indicate the frequency and duration for
services.
7. A written physician's statement located in the medical
record must certify that:
a. The patient needs licensed nursing care, home health aide
services, physical or occupational therapy, or speech-language pathology
services;
b. A plan for furnishing such services to the individual has
been established and is periodically reviewed by a physician; and
c. These services were furnished while the individual was
under the care of a physician.
8. The plan of care shall contain at least the following
information:
a. Diagnosis and prognosis;
b. Functional limitations;
c. Orders for nursing or other therapeutic services;
d. Orders for home health aide services, when applicable;
e. Orders for medications and treatments, when applicable;
f. Orders for special dietary or nutritional needs, when
applicable; and
g. Orders for medical tests, when applicable, including
laboratory tests and x-rays.
E. Utilization review shall be performed by DMAS to determine
if services are appropriately provided and to ensure that the services provided
to Medicaid recipients are medically necessary and appropriate. Such post
payment review audits may be unannounced. Services not specifically documented
in patients' medical records as having been rendered shall be deemed not to
have been rendered and no reimbursement shall be provided.
F. All services furnished by a home health agency, whether
provided directly by the agency or under arrangements with others, must be
performed by appropriately qualified personnel. The following criteria shall
apply to the provision of home health services:
1. Nursing services. Nursing services must be provided by a
registered nurse or by a licensed practical nurse under the supervision of a
graduate of an approved school of professional nursing and who is licensed as a
registered nurse.
2. Home health aide services. Home health aides must meet the
qualifications specified for home health aides by 42 CFR 484.36 484.80.
Home health aide services may include assisting with personal hygiene, meal
preparation and feeding, walking, and taking and recording blood pressure,
pulse, and respiration. Home health aide services must be provided under the
general supervision of a registered nurse. A recipient may not receive
duplicative home health aide and personal care aide services.
3. Rehabilitation services. Services shall be specific and
provide effective treatment for patients' conditions in accordance with
accepted standards of medical practice. The amount, frequency, and duration of
the services shall be reasonable. Rehabilitative services shall be provided
with the expectation, based on the assessment made by physicians of patients'
rehabilitation potential, that the condition of patients will improve
significantly in a reasonable and generally predictable period of time,
or shall be necessary to the establishment of a safe and effective maintenance
program required in connection with the specific diagnosis.
a. Physical therapy services shall be directly and
specifically related to an active written plan of care approved by a physician
after any needed consultation with a physical therapist licensed by the Board
of Physical Therapy. The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature that the
services can only be performed by a physical therapist licensed by the Board of
Physical Therapy, or a physical therapy assistant who is licensed by the Board
of Physical Therapy and is under the direct supervision of a physical therapist
licensed by the Board of Physical Therapy. When physical therapy services are
provided by a qualified physical therapy assistant, such services shall be
provided under the supervision of a qualified physical therapist who makes an
onsite supervisory visit at least once every 30 days. This supervisory visit
shall not be reimbursable.
b. Occupational therapy services shall be directly and
specifically related to an active written plan of care approved by a physician
after any needed consultation with an occupational therapist registered and
licensed by the National Board for Certification in Occupational Therapy and
licensed by the Virginia Board of Medicine. The services shall be of a level of
complexity and sophistication, or the condition of the patient shall be of a
nature that the services can only be performed by an occupational therapist
registered and licensed by the National Board for Certification in Occupational
Therapy and licensed by the Virginia Board of Medicine, or an occupational
therapy assistant who is certified by the National Board for Certification in
Occupational Therapy under the direct supervision of an occupational therapist
as defined in this subdivision. When occupational therapy services are provided
by a qualified occupational therapy assistant, such services shall be provided
under the supervision of a qualified occupational therapist, as defined in this
subdivision, who makes an onsite supervisory visit at least once every 30 days.
This supervisory visit shall not be reimbursable.
c. Speech-language pathology services shall be directly and specifically
related to an active written plan of care approved by a physician after any
needed consultation with a speech-language pathologist licensed by the Virginia
Department of Health Professions, Virginia Board of Audiology and
Speech-Language Pathology. The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature that the
services can only be performed by a speech-language pathologist licensed by the
Virginia Board of Audiology and Speech-Language Pathology.
4. A visit shall be defined as the duration of time that a
nurse, home health aide, or rehabilitation therapist is with a client to
provide services prescribed by a physician and that are covered home health
services. Visits shall not be defined in measurements or increments of time.
12VAC30-60-130. Hospice services.
A. Admission criteria.
1. Service election. To be eligible for hospice coverage under
Medicare or Medicaid, the recipient shall be "terminally ill,"
defined as having a life expectancy of six months or less, and except for
individuals under 21 years of age, elect to receive hospice services rather
than active treatment for the illness. Both the attending physician (if the
individual has an attending physician) and the hospice medical director, or the
attending physician and the physician member of the interdisciplinary team,
must initially certify the life expectancy. The election statement shall
include (i) identification of the hospice that will provide care to the individual;
(ii) the individual's or representative's acknowledgement acknowledgment
that he has been given a full understanding of the palliative rather than
curative nature of hospice care as it relates to the individual's terminal
illness; (iii) with the exception of children, defined as persons younger than
21 years of age, acknowledgement acknowledgment that certain
Medicaid services are waived by the election; (iv) the effective date of the
election; and (v) the signature of the individual or representative.
2. Service revocation. The recipient shall have the right to
revoke his election of hospice services at any time during the covered hospice
periods. DMAS shall be contacted if the recipient revokes his hospices hospice
services. If the recipient reelects the hospice services, the hospice periods
will begin as an initial time frame timeframe. Therefore, the above
certification and time requirements in this subsection will apply. The
recipient cannot retroactively receive hospice benefits from previously unused
hospice periods. The recipient's written revocation statement shall be maintained
in the recipient's medical record.
B. General conditions. The general conditions provided in
this subsection apply to nursing care, medical social services, physician
services, counseling services, short-term inpatient care, durable medical equipment
and supplies, drugs and biologicals, home health aide and homemaker services,
and rehabilitation services.
The recipient shall be under the care of a physician who is
legally authorized to practice and who is acting within the scope of his
license. The hospice medical director or the physician member of the
interdisciplinary team shall be a licensed doctor of medicine or osteopathy.
Hospice services may be provided in the recipient's home or in a freestanding
hospice, hospital or nursing facility.
The hospice shall obtain the written certification that an
individual is terminally ill in accordance with the following procedures:
1. For the initial 90-day benefit period of hospice coverage,
a Medicaid written certification (DMAS 420) shall be signed and dated by the
medical director of the hospice and the attending physician, or the physician
member of the hospice interdisciplinary team and the attending physician, at
the beginning of the certification period. This initial certification shall be
submitted for preauthorization within 14 days from the physician's signature
date. This certification shall be maintained in the recipient's medical record.
2. For the subsequent 90-day hospice period, a Medicaid
written certification (DMAS 420) shall be signed and dated before or on the
begin date of the 90-day hospice period by the medical director of the hospice
or the physician member of the hospice's interdisciplinary team. The
certification shall include the statement that the recipient's medical prognosis
is that his life expectancy is six months or less. This certification of
continued need for hospice services shall be maintained in the recipient's
medical record.
3. After the second 90-day hospice period and until the
recipient is no longer in the Medicaid hospice program, a Medicaid written
certification shall be signed and dated every 60 days on or before the begin
date of the 60-day period. This certification statement shall be signed and
dated by the medical director of the hospice or the physician member of the
hospice's interdisciplinary team. The certification shall include the statement
that the recipient's medical prognosis is that his life expectancy is six
months or less. This certification shall be maintained in the recipient's
medical record.
C. Utilization review. Authorization for hospice services
requires an initial preauthorization by DMAS and physician certification of
life expectancy. Utilization review will be conducted to determine if services
were provided by the appropriate provider and to ensure that the services
provided to Medicaid recipients are medically necessary and appropriate.
Services not specifically documented in the recipients' medical records as
having been rendered shall be deemed not to have been rendered and no coverage
shall be provided. All hospice services shall be provided in accordance with
guidelines established in the Virginia Medicaid Hospice Manual.
D. Hospice services are a medically directed,
interdisciplinary program of palliative services for terminally ill people and
their families, emphasizing pain and symptom control. The rules pertaining to
them are:
1. Interdisciplinary team. An interdisciplinary team shall
include at least the following individuals: a physician (either a hospice
employee or a contract physician), a registered nurse, a social worker, and a
pastoral or other counselor. Other professionals may also be members of the
interdisciplinary team depending on the terminally ill recipient's medical
needs.
2. Nursing care. Nursing care shall be provided by a
registered nurse or by a licensed practical nurse under the supervision of a
graduate of an approved school of professional nursing and who is licensed as a
registered nurse.
3. Medical social services. Medical social services shall be
provided by a social worker who has at least a bachelor's degree from a school
accredited or approved by the Council on Social Work Education, and who is
working under the direction of a physician.
4. Physician services. Physician services shall be performed
by a professional who is licensed to practice, who is acting within the scope
of his license, and who is a doctor of medicine or osteopathy, a doctor of
dental surgery or dental medicine, a doctor of podiatric medicine, a doctor of
optometry, or a chiropractor. The hospice medical director or the physician
member of the interdisciplinary team shall be a licensed doctor of medicine or
osteopathy.
5. Counseling services. Counseling services shall be provided
to the terminally ill individual and the family members or other persons caring
for the individual at home. Counseling, including dietary counseling, may be
provided both for the purpose of training the individual's family or other
caregiver to provide care, and for the purpose of helping the individual and
those caring for him to adjust to the individual's approaching death.
Bereavement counseling consists of counseling services provided to the individual's
family up to one year after the individual's death. Bereavement counseling is a
required hospice service, but it is not reimbursable.
6. Short-term inpatient care. Short-term inpatient care may be
provided in a participating hospice inpatient unit, or a participating hospital
or nursing facility. General inpatient care may be required for procedures
necessary for pain control or acute or chronic symptom management which cannot
be provided in other settings. Inpatient care may also be furnished to provide
respite for the individual's family or other persons caring for the individual
at home.
7. Durable medical equipment and supplies. Durable medical
equipment as well as other self-help and personal comfort items related to the
palliation or management of the patient's terminal illness is covered. Medical
supplies include those that are part of the written plan of care.
8. Drugs and biologicals. Only drugs which are used primarily
for the relief of pain and symptom control related to the individual's terminal
illness are covered.
9. Home health aide and homemaker services. Home health aides
providing services to hospice recipients shall meet the qualifications
specified for home health aides by 42 CFR 484.36 484.80.
Home health aides may provide personal care services. Aides may also perform
household services to maintain a safe and sanitary environment in areas of the
home used by the patient, such as changing the bed or light cleaning and
laundering essential to the comfort and cleanliness of the patient. Homemaker
services may include assistance in personal care, maintenance of a safe and
healthy environment, and services to enable the individual to carry out
the plan of care. Home health aide and homemaker services shall be provided
under the general supervision of a registered nurse.
10. Rehabilitation services. Rehabilitation services include
physical and occupational therapies and speech-language pathology services that
are used for purposes of symptom control or to enable the individual to
maintain activities of daily living and basic functional skills.
a. Occupational therapy services shall be those services
furnished a patient which meet all of the following conditions:
(1) The services shall be directly and specifically related to
an active written treatment plan designed by the physician after any needed
consultation with an occupational therapist registered and certified by the
American Occupational Therapy Certification Board;
(2) The services shall be of a level of complexity and sophistication,
or the condition of the patient shall be of a nature, that the services can
only be performed by an occupational therapist registered and certified by the
American Occupational Therapy Certification Board or an occupational therapy
assistant certified by the American Occupational Therapy Certification Board
under the direct supervision of an occupational therapist as defined above;
and
(3) The services shall be specific and provide effective
treatment for the patient's condition in accordance with accepted standards of
medical practice, including the requirement that the amount, frequency, and
duration of the services shall be reasonable.
b. Physical therapy services shall be those furnished a
patient which meet all of the following conditions:
(1) The services shall be directly and specifically related to
an active written treatment plan designed by a physician after any needed
consultation with a physical therapist licensed by the Board of Medicine;
(2) The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature, that the
services can only be performed by a physical therapist licensed by the Board of
Medicine, or a physical therapy assistant who is licensed by the Board of Medicine
and under the direct supervision of a physical therapist licensed by the Board
of Medicine; and
(3) The services shall be specific and provide effective
treatment for the patient's condition in accordance with accepted standards of
medical practice, including the requirement that the amount, frequency, and
duration of the services shall be reasonable.
c. Speech-language pathology services shall be those services
furnished a patient which meet all of the following conditions:
(1) The services shall be directly and specifically related to
an active written treatment plan designed by a physician after any needed
consultation with a speech-language pathologist licensed by the Board of
Audiology and Speech-Language Pathology;
(2) The services shall be of a level of complexity and
sophistication, or the condition of the patient shall be of a nature, that the
services can only be performed by a speech-language pathologist licensed by the
Board of Audiology and Speech-Language Pathology; and
(3) The services shall be specific and provide effective
treatment for the patient's condition in accordance with accepted standards of
medical practice, including the requirement that the amount, frequency, and
duration of the services shall be reasonable.
11. Documentation of hospice services shall be maintained in
the recipient's medical record. Coordination of patient care between all health
care professionals should be maintained in the recipient's medical record.
VA.R. Doc. No. R17-5056; Filed July 10, 2017, 1:34 p.m.
TITLE 12. HEALTH
DEPARTMENT OF MEDICAL ASSISTANCE SERVICES
Final Regulation
Title of Regulation: 12VAC30-120. Waivered Services (amending 12VAC30-120-1710 through 12VAC30-120-1740).
Statutory Authority: § 32.1-325 of the Code of
Virginia; 42 USC § 1396 et seq.
Effective Date: September 6, 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.
Summary:
The amendments update the technology assisted waiver
provisions to accommodate changes in the home health care industry and provide
additional flexibility to families and provider agencies when attempting to
staff authorized skilled private duty nursing hours. Changes include (i)
modifying the staff experience requirement to substitute a quality training
program for nurses instead of the current six months of clinical experience,
(ii) permitting families greater flexibility to use their authorized private
duty nursing hours over the span of a week rather than limiting them to 16
hours of private duty nursing services in a 24-hour period, (iii) removing the
current option of making up or rescheduling missed nursing hours, and (iv)
clarifies the period of validity for preadmission screening (PAS) and
requirements for revisions to the PAS following breaks in service. Changes
since the proposed stage are technical.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
12VAC30-120-1710. Individual eligibility requirements;
preadmission screening.
A. Individual eligibility requirements.
1. The Commonwealth covers these optional categorically needy groups:
ADC and AFDC-related individuals; SSI and SSA-related individuals; aged, blind,
or disabled Medicaid-eligible individuals under 42 CFR 435.121; and the home
and community-based waiver group at 42 CFR 435.217 that includes
individuals who are eligible under the State Plan if they were
institutionalized.
a. The income level used for the home and community-based
waiver group at 42 CFR 435.217 shall be 300% of the current Supplemental
Security Income payment standard for one person.
b. Medically needy Medicaid-eligible individuals shall be
eligible if they meet the medically needy financial requirements for income and
resources.
2. Under this waiver, the coverage groups authorized under
§ 1902(a)(10)(A)(ii)(VI) of the Social Security Act shall be considered as
if they were institutionalized for the purpose of applying institutional
deeming rules. All individuals in the waiver must meet the financial and
non-financial Medicaid eligibility criteria and meet the institutional LOC
criteria. The deeming rules shall be applied to waiver eligible individuals as
if they were residing in an institution or would require that level of care.
3. An applicant for technology assisted waiver shall meet
specialized care nursing facility criteria, including both medical and
functional needs, and also be dependent on waiver services to avoid or delay
facility placement and meet all criteria for the age appropriate assessments in
order to be eligible for the tech waiver. Applicants shall not be enrolled in
the tech waiver unless skilled PDN private duty nursing (PDN)
hours are ordered by the physician. The number of skilled PDN hours shall be
based on the total technology and nursing score on the Technology Assisted
Waiver Pediatric Referral form, DMAS-109 (when individuals are younger
than 21 years of age). The number of skilled PDN hours for adults shall be
based on the Technology Assisted Waiver Adult Referral form (DMAS-108).
4. Applicants who are eligible for third-party payment for
skilled private duty nursing services shall not be eligible for these waiver
services. If an individual or an individual's legally responsible party
voluntarily drops any insurance plan that would have provided coverage of
skilled private duty nursing services in order to become eligible for these
waiver services within one year prior to the date waiver services are
requested, eligibility for the waiver shall be denied. From the date that such
insurance plan is discontinued, such applicants shall be barred for one year
from reapplying for waiver services. After the passage of the one-year time
period, the applicant may reapply to DMAS for admission to the tech waiver.
5. In addition to the medical needs identified in this
section, the Medicaid-eligible individual shall be determined to need substantial
and ongoing skilled nursing care. The Medicaid-eligible individual shall be
required to meet a minimum standard on the age appropriate referral forms to be
eligible for enrollment in the tech waiver.
6. Medicaid-eligible individuals who entered the waiver prior
to their 21st birthday shall, on the date of their 21st birthday, conform to
the adult medical criteria and cost-effectiveness standards.
7. Every individual who applies for Medicaid-funded waiver
services must have his Medicaid eligibility evaluated or re-evaluated, if
already Medicaid eligible, by the local DSS in the city or county in which he
resides. This determination shall be completed at the same time the Pre-admission
Screening preadmission screening (PAS) team completes its evaluation
(via the use of the Uniform Assessment Instrument (UAI)) of whether the
applicant meets waiver criteria. DMAS payment of waiver services shall be
contingent upon the DSS' determination that the individual is eligible for
Medicaid services for the dates that waiver services are to be provided and
that DMAS or the designated service authorization contractor has authorized
waiver enrollment and has prior authorized the services that will be required
by the individual.
8. In order for an enrolled waiver individual to retain his
enrolled status, tech waiver services must be used by the individual at least
once every 30 days. Individuals who do not utilize tech waiver services at
least once every 30 days shall be terminated from the waiver.
9. The waiver individual shall have a trained primary
caregiver, as defined in 12VAC30-120-1700, who accepts responsibility for the
individual's health, safety, and welfare. This primary caregiver shall be
responsible for a minimum of eight hours of the individual's care in a
24-hour period as well as all hours not provided by an the
provider agency's RN or an LPN. The name of the trained primary
caregiver shall be documented in the provider agency records. This trained
primary caregiver shall also have a back up system available in emergency
situations.
B. Screening and community referral for authorization for
tech waiver. Tech waiver services shall be considered only for individuals who
are eligible for Medicaid and for admission to a specialized care nursing
facility, ICF/ID, long-stay hospital, or acute care hospital when those
individuals meet all the criteria for tech waiver admission. Such individuals,
with the exception of those who are transferring into this tech waiver from a
long-stay hospital, shall have been screened using the Uniform Assessment
Instrument (UAI).
1. The screening team shall provide the individual and family
or caregiver with the choice of tech waiver services or specialized care
nursing facility or long-stay hospital placement, as appropriate, as well as
the provider of those services from the time an individual seeks waiver information
or application and referral. Such provision of choice includes the right to
appeal pursuant to 12VAC30-110 when applicable.
2. The screening team shall explore alternative care settings
and services to provide the care needed by the applicant being screened when
Medicaid-funded home and community-based care services are determined to be the
critical service necessary to delay or avoid facility placement.
3. Individuals must be screened to determine necessity for
nursing facility placement if the individual is currently financially Medicaid
eligible or anticipates that he will be financially eligible within 180 days of
the receipt of nursing facility care or if the individual is at risk of nursing
facility placement.
a. Such covered waiver services shall be critical, as
certified by the participant's physician at the time of assessment, to enable
the individual to remain at home and in the community rather than being placed
in an institution. In order to meet criteria for tech waiver enrollment, the applicant
requesting consideration for waiver enrollment must meet the level of care
criteria.
b. Individuals who are younger than 21 years of age shall have
the Technology Assisted Waiver Pediatric Referral Form form
(DMAS-109) completed and must require substantial and ongoing nursing care as
indicated by a minimum score of at least 50 points to qualify for waiver
enrollment. This individual shall require a medical device and ongoing skilled
PDN care by meeting the categories described in subdivision (1), (2), or (3)
below:
(1) Applicants depending on mechanical ventilators;
(2) Applicants requiring prolonged intravenous administration
of nutritional substances or drugs or requiring ongoing peritoneal dialysis; or
(3) Applicants having daily dependence on other device-based
respiratory or nutritional support, including tracheostomy tube care, oxygen
support, or tube feeding.
c. Individuals who are 21 years of age or older shall have the
Technology Assisted Waiver Adult Referral Form form (DMAS-108)
completed and must be determined to be dependent on a ventilator or must meet
all eight specialized care criteria (12VAC30-60-320) for complex tracheostomy
care in order to qualify for waiver enrollment.
4. When an applicant has been determined to meet the financial
and waiver eligibility requirements and DMAS has verified the availability of
the services for that individual and that the individual has no other payment
sources for skilled PDN, tech waiver enrollment and entry into home and
community-based care may occur.
5. Preadmission screenings are considered valid for the
following time frames for all LTC services. The following time frames apply to
individuals who have been screened but have not received either institutional
or community-based services during the periods shown below:
a. Zero to six months: screenings are valid and do not
require updates;
b. Six months to 12 months: screening updates are required;
however, no additional reimbursement is made by DMAS; and
c. Over 12 months: a new screening is required. Additional
reimbursement shall be made by DMAS for the repeated screening.
5. A PAS is considered valid for the following timeframes.
The validity of a PAS applies to individuals who are screened, meet the
criteria for long-term care services, but have not yet begun receiving services
during the periods outlined in subdivisions 5 a through 5 f of this subsection.
a. Zero to 180 days. Screenings are valid and do not
require revisions or a new screening.
b. [ 180 181 ] days
to 12 months. Screening revisions are required; revisions may also be done if
there is a significant change in an individual's medical or physical condition.
Revisions should be entered into the ePAS system, per the Medicaid web portal
instructions, resulting in a claim being generated for the screening revision.
For the purposes of this subdivision, "Electronic preadmission
screening" or "ePAS" means the automated system for use by all
entities contracted by DMAS to perform preadmission screenings pursuant to § 32.1-330
of the Code of Virginia. DMAS will cover the cost of the PAS.
c. Over 12 months. A new screening is required and
reimbursement is made by DMAS. New screenings must be entered into ePAS
according to the Medicaid web portal instructions.
d. Break in services. When an individual starts and then
stops services for a period of time exceeding 30 consecutive calendar days, the
PAS team will need to complete a revised screening prior to service resumption
if the individual has not received any Medicaid funded long-term care services
during the break in service delivery. DMAS will cover the cost of the PAS.
e. In any other circumstances, including hospitalization,
that cause services to cease or to be interrupted for more than 30 consecutive
calendar days, the individuals shall be referred back to the local department
of social services for redetermination of his Medicaid eligibility. The
provider shall be responsible for notifying the local department of social
services via the DMAS-225 form when there is an interruption of services for 30
consecutive calendar days or upon discharge from the provider's services.
f. If the individual has been receiving ongoing services
either through a nursing facility or a home and community-based service
program, the screening timeframes do not apply.
6. When an individual was not screened prior to admission to a
specialized care nursing facility, or the individual resides in the community
at the time of referral initiation to DMAS, the locality in which the
individual resides at the time of discharge shall complete the preadmission
screening prior to enrollment into the tech waiver.
7. DMAS shall be the final determining body for enrollment in
the tech waiver and the determination of the number of approved skilled PDN
hours for which DMAS will pay. DMAS has the ultimate responsibility for
authorization of waiver enrollment and Medicaid skilled PDN reimbursement for
tech waiver services.
C. Waiver individuals' rights and responsibilities. DMAS
shall ensure that:
1. Each waiver individual shall receive, and the provider and
provider staff shall provide, the necessary care and services, to the extent of
provider availability, to attain or maintain the highest practicable physical,
mental, and psychosocial well-being, in accordance with the individual's comprehensive
assessment and POC.
2. Waiver individuals shall have the right to receive services
from the provider with reasonable accommodation of the individuals' needs and
preferences except when DMAS makes a determination that the health, safety, or
welfare of the individuals or other waiver individuals would be endangered.
3. Waiver individuals formulate their own advance directives
based on information that providers must give to adult waiver individuals at
the time of their admissions to services.
4. All waiver individuals shall have the right to:
a. Voice grievances to the provider or provider staff without
discrimination or reprisal. Such grievances include those with respect to
treatment that has been furnished or has not been furnished;
b. Prompt efforts by the provider or staff, as appropriate, to
resolve any grievances the waiver individual may have;
c. Be free from verbal, sexual, physical, and mental abuse,
neglect, exploitation, and misappropriation of property;
d. Be free from any physical or chemical restraints of any
form that may be used as a means of coercion, discipline, convenience, or
retaliation and that are not required to treat the individual's medical
symptoms; and
e. Their personal privacy and confidentiality of their
personal and clinical records.
5. Waiver individuals shall be provided by their health care
providers, at the time of their admission to this waiver, with written
information regarding their rights to participate in medical care decisions,
including the right to accept or refuse medical treatment and the right to
formulate advance directives.
6. The legally competent waiver individual, the waiver
individual's legal guardian, or the parent (natural, adoptive or foster) of the
minor child shall have the right to:
a. Choose whether the individual wishes to receive home and
community-based care waiver services instead of institutionalization in
accordance with the assessed needs of the individual. The PAS team shall inform
the individual of all available waiver service providers in the community in
which the waiver individual resides. The tech waiver individual shall have the
option of selecting the provider and services of his choice. This choice must
be documented in the individual's medical record;
b. Choose his own primary care physician in the community in
which he lives;
c. Be fully informed in advance about the waiver POC and
treatment needs as well as any changes in that care or treatment that may
affect the individual's well-being; and
d. Participate in the care planning process, choice, and
scheduling of providers and services.
12VAC30-120-1720. Covered services; limits; changes to or
termination of services.
A. Coverage statement.
1. These waiver services shall be medically necessary,
cost-effective as compared to the costs of institutionalization, and necessary
to maintain the individual safely in the community and prevent
institutionalization.
2. Services shall be provided only to those individuals whose
service needs are consistent with the service description and for which
providers are available who have adequate and appropriate staffing to meet the
needs of the individuals to be served.
3. All services covered through this waiver shall be rendered
according to the individuals' POCs that have been certified by physicians as
medically necessary and also reviewed by DMAS to enable the waiver enrolled
individuals to remain at home or in the community.
4. Providers shall be required to refund payments received to
DMAS if they (i) are found during any review to have billed Medicaid contrary
to policy, (ii) have failed to maintain records to support their claims for
services, or (iii) have billed for medically unnecessary services.
5. DMAS shall perform service authorization for skilled PDN
services, PC for adults, and transition services. DMAS or the service
authorization contractor shall perform service authorization for skilled
private duty respite services, AT services and EM services.
6. When a particular service requires service authorization,
reimbursement shall not be made until the service authorization is secured from
either DMAS or the DMAS-designated service authorization contractor.
B. Covered services. Covered services shall include: skilled
PDN; skilled private duty respite care; personal care only for adults,
assistive technology; environmental modifications; and transition services only
for individuals needing to move from a designated institution into the
community or for waiver individuals who have already moved from an institution
within 30 days of their transition. Coverage shall not be provided for these
services for individuals who reside in any facilities enumerated in
12VAC30-120-1705. Skilled PDN shall be a required service. If an individual has
no medical necessity for skilled PDN, he shall not be admitted to this waiver.
All other services provided in this waiver shall be provided in conjunction
with the provision of skilled PDN.
1. Skilled PDN, for a single individual and congregate group
settings, as defined in 12VAC30-120-1700, shall be provided for waiver enrolled
individuals who have serious medical conditions or complex health care needs.
To receive this service, the individuals must require specific skilled and
continuous nursing care on a regularly scheduled or intermittent basis performed
by an RN or an LPN. Upon completion of the required screening and required
assessments and a determination that the individual requires substantial and
ongoing skilled nursing care and waiver enrollment then the PDN hours shall be
authorized by the DMAS staff.
a. PDN services shall be rendered according to a POC
authorized by DMAS and shall have been certified by a physician as medically
necessary to enable the individual to remain at home.
b. No reimbursement shall be provided by DMAS for either RN or
LPN services without signed physician orders that specifically identify skilled
nursing tasks to be performed for the individual.
c. Limits placed on the amount of PDN that will be approved
for reimbursement shall be consistent with the individual's total points on
the age-appropriate Tech Waiver Referral Form (DMAS-108) technology
assisted waiver referral form (DMAS-108 or DMAS-109) and medical necessity.
In Except for a minor individual's care during his first 15 days
following initial enrollment into this waiver, in no instances shall the
individual's POC or ongoing multiple POCs result in coverage of more than 16
hours of PDN in a 24-hour period per household or congregate group setting
except for minor individuals during the first 15 calendar days after initial
waiver admission, and where 16 scheduled PDN hours are not completed within a
24-hour period, the hours may be rescheduled and worked within the following 72
hours to support the primary caregiver 112 hours of skilled PDN per week
(Sunday through Saturday). The maximum number of approved hours authorized per
week for minor children shall be based on their total approved points
documented on the Technology Assisted Waiver Pediatric Referral form
(DMAS-109). The maximum skilled PDN hours authorized per week for adult
individuals shall be based on their technology and medical necessity
justification documented on the Technology Assisted Waiver Adult Referral form
(DMAS-108).
(1) The number of skilled PDN hours for minor individuals
shall be based on the total technology and nursing score on the [ DMAS ]
Tech Waiver Staff Assessment [ DMAS-109 form
Technology Assisted Waiver Pediatric Referral form (DMAS-109) ] and
updated by the DMAS staff when changes occur and with annual waiver eligibility
redetermination by DMAS.
(2) Once the minor individual's composite score (total score)
is derived, a LOC is designated for the individual as a Level A, B, or C. This
LOC designation determines the maximum number of hours per day week
of skilled PDN that DMAS may allocate for a pediatric individual. Any hours
beyond the approved maximum for such individual's LOC must shall
be medically necessary and service authorized by DMAS. Any POC submitted
without approval for hours beyond the approved maximum for any particular
LOC will only be entered for the approved maximum for that LOC.
(3) The results of the scoring assessment determine the
maximum amount of hours available and authorization shall occur as follows:
(a) 50 – 56 points = 10 hours per day 70 hours per
week.
(b) 57 – 79 points = 12 hours per day 84 hours per
week.
(c) 80 points or greater = 16 hours per day 112
hours per week.
(3) (4) For minor individuals, whether living
separately or in a congregate setting, during the first 15 calendar days after
such individuals' initial admission to the waiver, skilled PDN may be covered
for up to 24-hours per day, if required and appropriate to assist the family in
adjustment to the care associated with technology assistance. After these first
15 calendar days, skilled PDN shall be reimbursed up to a the
maximum of 16 hours per 24-hour period per household allowable hours
per week based on the individual's total technology and nursing scores and
provided that the aggregate cost-effectiveness standard is not exceeded for the
individual's care.
(4) (5) When reimbursement is to be made for
skilled PDN services to be provided in schools, the nurse shall be in the same
room as the waiver individual for the hours of skilled PDN care billed. When an
individual receives skilled PDN while attending school, the total skilled PDN
hours shall not exceed the authorized number of hours under his nursing score category
on the Technology Assisted Waiver Pediatric Referral Form form
(DMAS-109).
(5) The making up or trading of any missed authorized hours
of care may be done within the same week (Sunday through Saturday) of the
missed scheduled shift but the total hours made up, including for any day,
shall not exceed 16 hours per day for any reason.
(6) For adult individuals, whether living separately or in a
congregate group setting, skilled PDN shall be reimbursed up to a
maximum of 16 hours within a 24-hour period per 112 hours per week
(Sunday through Saturday) per tech waiver individual living in the
household based on the individual's total technology and nursing
scores medical justification and provided that the aggregate
cost-effectiveness standard is not exceeded for the individual's care.
(7) The adult individual shall be determined to need a medical
device and ongoing skilled nursing care when such individual meets Category A
or all eight criteria in Category B:
(a) Category A. Individuals who depend on mechanical
ventilators; or
(b) Category B. Individuals who have a complex tracheostomy as
defined by:
(i) Tracheostomy with the potential for weaning off of it, or
documentation of attempts to wean, with subsequent inability to wean;
(ii) Nebulizer treatments ordered at least four times a day or
nebulizer treatments followed by chest physiotherapy provided by a nurse or
respiratory therapist at least four times a day;
(iii) Pulse oximetry monitoring at least every shift due to
unstable oxygen saturation levels;
(iv) Respiratory assessment and documentation every shift by a
licensed respiratory therapist or nurse;
(v) Have a physician's order for oxygen therapy with
documented usage;
(vi) Receives tracheostomy care at least daily;
(vii) Has a physician's order for tracheostomy suctioning; and
(viii) Deemed at risk to require subsequent mechanical
ventilation.
(8) Skilled PDN services shall be available to individuals in
their primary residence with some community integration (e.g., medical
appointments and school) permitted.
(9) Skilled PDN services may include consultation and training
for the primary caregiver.
d. The provider shall be responsible for notifying DMAS should
the primary residence of the individual be changed, should the individual be
hospitalized, should the individual die, or should the individual be out of the
Commonwealth for 48 hours or more.
e. Exclusions from DMAS' coverage of skilled PDN:
(1) This service shall not be authorized when intermittent
skilled nursing visits could be satisfactorily utilized while protecting the
health, safety, and welfare of the individual.
(2) Skilled PDN hours shall not be reimbursed while the
individual is receiving emergency care or during emergency transport of the
individual to such facilities. The RN or LPN shall not transport the waiver
individual to such facilities.
(3) Skilled PDN services may be ordered but shall not be
provided simultaneously with PDN respite care or personal care services as
described in 12VAC30-120-1720 this section.
(4) Parents (natural, adoptive, legal guardians), spouses,
siblings, grandparents, grandchildren, adult children, other legal guardians,
or any person living under the same roof with the individual shall not provide
skilled PDN services for the purpose of Medicaid reimbursement for the waiver
individual.
(5) Providers shall not bill prior to receiving the
physician's dated signature on the individual's POC for services provided and
the DMAS staff's authorization/determination of skilled PDN hours.
(6) Time spent driving the waiver individual shall not be
reimbursed by DMAS.
f. Congregate skilled PDN.
(1) If more than one waiver individual will reside in the
home, the same waiver provider or providers shall be chosen to provide all
skilled PDN services for all waiver individuals in the home.
(2) Only one nurse shall be authorized to care for no more
than two waiver individuals in such arrangements. In instances when three
waiver individuals share a home, nursing ratios shall be determined by DMAS or
its designated agent based on the needs of all the individuals who are living
together. These congregate skilled PDN hours shall be at the same scheduled
shifts.
(3) The primary caregiver shall be shared and shall be
responsible for providing at least eight hours of skilled PDN care per 24
hours as well as all skilled PDN all care needs in the absence of
the provider agency when a private duty nurse is not available.
(4) DMAS shall not reimburse for skilled PDN services through
the tech waiver and skilled PDN services through the EPSDT benefit for the same
individual at the same time.
2. Skilled private duty respite care services. Skilled private
duty respite care services may be covered for a maximum of 360 hours per
calendar year regardless of waiver for individuals who are
qualified for tech waiver services and regardless of whether the waiver
individual changes waivers and who have a whose primary caregiver
who requires temporary or intermittent relief from the burden of
caregiving.
a. This service shall be provided by skilled nursing staff
licensed to practice in the Commonwealth under the direct supervision of a
licensed, certified, or accredited home health agency and with which DMAS has a
provider agreement to provide skilled PDN.
b. Skilled private duty respite care services shall be
comprised of both skilled and hands-on care of either a supportive or
health-related nature and may include, but shall not be limited to includes
(i) all skilled nursing care as ordered on the physician-certified POC, (ii)
assistance with ADLs/IADLs ADLs and IADLs, (iii)
administration of medications or other medical needs, and (iv)
monitoring of the health status and physical condition of the individual or
individuals.
c. When skilled private duty respite services are offered in
conjunction with skilled PDN, the same individual record may be used with a
separate section for skilled private duty respite services documentation.
d. Individuals who are living in congregate arrangements shall
be permitted to share skilled private duty respite care service providers. The
same limits on this service in the congregate setting ( 360 (360
hours per calendar year per household) shall apply regardless of the waiver.
e. Skilled private duty respite care services shall be
provided in the individual's primary residence as is designated upon admission
to the waiver.
3. Assistive technology (AT) services. Assistive
technology, as defined in 12VAC30-120-1700, devices shall be portable and shall
be authorized per calendar year.
a. AT services shall be available for enrolled waiver
individuals who are receiving skilled PDN. AT services are the specialized
medical equipment and supplies, including those devices, controls, or
appliances, specified in the individual's plan of care, but that are not
available under the State Plan for Medical Assistance, that enable waiver
individuals to increase their abilities to perform ADLs/IADLs, or to perceive,
control, or communicate with the environment in which they live. This service
includes ancillary supplies and equipment necessary to the proper functioning
of such items.
b. An independent, professional consultation shall be obtained
from qualified professionals who are knowledgeable of that item for each AT
request prior to approval by DMAS or the designated service authorization
contractor. Individual professional consultants include speech/language
therapists, physical therapists, occupational therapists, physicians, certified
rehabilitation engineers or rehabilitation specialists. A prescription shall
not meet the standard of an assessment.
c. In order to qualify for these services, the individual must
have a demonstrated need for equipment for remedial or direct medical benefit
primarily in the individual's primary residence or primary vehicle to
specifically serve to improve the individual's personal functioning.
d. AT shall be covered in the least expensive, most
cost-effective manner. The cost of AT services shall be included in the total
cost of waiver services.
e. Service units and service limitations. AT equipment and supplies
shall not be rented but shall be purchased through a Medicaid-enrolled durable
medical equipment provider.
(1) The service unit is always one, for the total cost of all
AT being requested for a specific timeframe. The maximum Medicaid-funded expenditure
per individual for all AT covered procedure codes combined shall be $5,000 per
individual per calendar year.
(2) The cost for AT shall not be carried over from one
calendar year to the next. Each item must be service authorized by either DMAS
or the DMAS designated contractor for each calendar year.
(3) Unexpended portions of the maximum amount shall not be
accumulated across one or more calendar years to be expended in a later year.
(4) Shipping/freight/delivery charges are not billable to DMAS
or the waiver individual, as such charges are considered noncovered items.
(5) All products must be delivered, demonstrated, installed
and in working order prior to submitting any claim for them to Medicaid.
(6) The date of service on the claim shall be within the
service authorization approval dates, which may be prior to the delivery date
as long as the initiation of services commenced during the approved dates.
(7) The service authorization shall not be modified to
accommodate delays in product deliveries. In such situations, new service
authorizations must be sought by the provider.
(8) When two or more waiver individuals live in the same home
or congregate living arrangement, the AT shall be shared to the extent
practicable consistent with the type of AT.
f. AT exclusions.
(1) Medicaid shall not reimburse for any AT devices or
services that may have been rendered prior to authorization from DMAS or the
designated service authorization contractor.
(2) Providers of AT shall not be spouses, parents (natural, adoptive,
or foster), or stepparents of the individual who is receiving waiver services.
Providers that supply AT for the waiver individual may not perform
assessments/consultation or write specifications for that individual. Any
request for a change in cost (either an increase or a decrease) requires
justification and supporting documentation of medical need and service
authorization by DMAS or the designated service authorization contractor. The
vendor shall receive a copy of the professional evaluation in order to purchase
the items recommended by the professional. If a change is necessary then the
vendor shall notify the assessor to ensure the changed items meet the
individual's needs.
(3) All equipment or supplies already covered by a service
provided for in the State Plan shall not be purchased under the waiver as
AT. Such examples are, but shall not necessarily be limited to include:
(a) Specialized medical equipment, durable or nondurable
medical equipment (DME), ancillary equipment, and supplies necessary for life
support;
(b) Adaptive devices, appliances, and controls that enable an
individual to be more independent in areas of personal care and ADLs/IADLs; and
(c) Equipment and devices that enable an individual to
communicate more effectively.
(4) AT services shall not be approved for purposes of the
convenience of the caregiver, restraint of the individual, recreation or
leisure, educational purposes, or diversion activities. Examples of these types
of items shall be listed in DMAS guidance documents.
4. Environmental modifications services shall be covered as
defined in 12VAC30-120-1700. Medicaid reimbursement shall not occur before
service authorization of EM services is completed by DMAS or the
DMAS-designated service authorization contractor. EM services shall entail
limited physical adaptations to preexisting structures and shall not include
new additions to an existing structure that simply increase the structure's
square footage.
a. In order to qualify for EM services, the individual shall
have a demonstrated need for modifications of a remedial nature or medical
benefit to the primary residence to specifically improve the individual's
personal functioning. Such modifications may include, but shall not necessarily
be limited to, the installation of ramps and grab-bars, widening of doorways
and other adaptations to accommodate wheelchairs, modification of bathroom
facilities to accommodate wheelchairs (but not strictly for cosmetic purposes),
or installation of specialized electrical and plumbing systems required to
accommodate the medical equipment and supplies that are necessary for the
individual's welfare. Modifications may include a generator for waiver
individuals who are dependent on mechanical ventilation for 24 hours a day and
when the generator is used to support the medical equipment and supplies
necessary for the individual's welfare.
b. EM shall be available costing up to a maximum amount of
$5,000 per calendar year regardless of waiver for individuals who are receiving
skilled PDN services.
c. Costs for EM shall not be carried over from one calendar
year to the next year. Each item shall be service authorized by DMAS or the
DMAS-designated agent for each calendar year. Unexpended portions of this
maximum amount shall not be accumulated across one or more years to be expended
in a later year.
d. When two or more waiver individuals live in the same home
or congregate living arrangement, the EM shall be shared to the extent
practicable consistent with the type of requested modification.
e. Only the actual cost of material and labor is reimbursed.
There shall be no additional markup.
f. EM shall be carried out in the most cost-effective manner
possible to achieve the goal required for the individual's health, safety, and
welfare. The cost of EM waiver services shall be included in the individual's
costs of all other waiver services, which shall not exceed the total annual
cost for placement in an institution.
g. All services shall be provided in the individual's primary
residence in accordance with applicable state or local building codes and
appropriate permits or building inspections, which shall be provided to DMAS or
the DMAS contractor.
h. Proposed modifications that are to be made to rental
properties must have prior written approval of the property's owner.
Modifications to rental properties shall only be valid if it is an
independently operated rental facility with no direct or indirect ties to any
other Medicaid service provider.
i. Modifications may be made to a vehicle if it is the primary
vehicle used by the individual. This service shall not include the purchase of
or the general repair of vehicles. Repairs of modifications that have been
reimbursed by DMAS shall be covered.
j. The EM provider shall ensure that all work and products are
delivered, installed, and in good working order prior to seeking reimbursement
from DMAS. The date of service on this provider's claim shall be within the
service authorization approval dates, which may be prior to the completion date
as long as the work commenced during the approval dates. The service
authorization shall not be modified to accommodate installation delays. All
requests for cost changes (either increases or decreases) shall be submitted to
DMAS or the DMAS-designated service authorization contractor for revision to
the previously issued service authorization and shall include justification and
supporting documentation of medical needs.
k. EM exclusions.
(1) There shall be no duplication of previous EM services
within the same residence such as (i) multiple wheelchair ramps or (ii)
previous modifications to the same room. There shall be no duplication of EM
within the same plan year.
(2) Adaptations or improvements to the primary home that shall
be excluded are of general utility and are not of direct medical or remedial
benefit to the waiver individual, such as, but not necessarily limited to,
carpeting, flooring, roof repairs, central air conditioning or heating, general
maintenance and repairs to a home, additions or maintenance of decks,
maintenance/replacement or addition of sidewalks, driveways, carports, or
adaptations that only increase the total square footage of the home.
(3) EM shall not be covered by Medicaid for general leisure or
diversion items or those items that are recreational in nature or those items
that may be used as an outlet for adaptive/maladaptive behavioral issues. Such
noncovered items may include, but shall not necessarily be limited to, swing
sets, playhouses, climbing walls, trampolines, protective matting or ground
cover, sporting equipment or exercise equipment, such as special bicycles or
tricycles.
(4) EM shall not be approved for Medicaid coverage when the
waiver individual resides in a residential provider's facility program, such as
sponsored homes and congregate residential and supported living settings. EM
shall not be covered by Medicaid if, for example, the Fair Housing Act (42 USC
§ 3601 et seq.), the Virginia Fair Housing Law (§ 36-96.1 et seq. of
the Code of Virginia) or the Americans with Disabilities Act (42 USC
§ 12101 et seq.) requires the modification and the payment for such
modifications are to be made by a third party.
(5) EM shall not include the costs of removal or disposal, or
any other costs, of previously installed modifications, whether paid for by
DMAS or any other source.
(6) Providers of EM shall not be the waiver individual's
spouse, parent (natural, adoptive, legal guardians), other legal guardians, or
conservator. Providers who supply EM to waiver individuals shall not perform
assessments/consultations or write EM specifications for such individuals.
5. Personal care (PC) services as defined in
12VAC30-120-1700, shall be covered for individuals older than 21 years of age
who have a demonstrated need for assistance with ADLs and IADLs and who have a
trained primary caregiver for skilled PDN interventions during portions of
their day. PC services shall be rendered by a provider who has a DMAS provider
agreement to provide PC, home health care, or skilled PDN. Due to the complex
medical needs of this waiver population and the need for 24-hour supervision,
the trained primary caregiver shall be present in the home and rendering the
required skilled services during the entire time that the PCA is providing
nonskilled care.
a. PC services are either of a supportive or health-related
nature and may include, but are not limited to include assistance
with ADLs/IADLs, community access (such as, but not necessarily limited to,
going to medical appointments), monitoring of self-administration of medication
or other medical needs, and monitoring of health status and physical condition.
In order to receive PC, the individual must require assistance with ADLs/IADLs.
When specified in the POC, PC services may also include assistance with IADLs
to include making or changing beds, and cleaning areas used by the individual.
Assistance with IADLs must be essential to the health and welfare of the
individual, rather than the individual's representative, as applicable.
(1) The unit of service for PC services shall be one hour. The
hours that may be authorized by DMAS or the designated service authorization
contractor shall be based on the individual's need as documented in the
individual's POC and assessed on the Technology Assisted Waiver Adult Aide Plan
of Care (DMAS-97 T).
(2) Supervision of the waiver individual shall not be covered
as part of the tech waiver personal care service.
(3) Individuals may have skilled PDN, PC, and skilled private
duty nursing respite care in their plans of care but shall not be authorized to
receive these services simultaneously.
b. PC services shall not include either practical or
professional nursing services or those practices regulated in Chapters 30
(§ 54.1-3000 et seq.) and 34 (§ 54.1-3400 et seq.) of Title 54.1 of
the Code of Virginia, as appropriate, with the exception of skilled nursing
tasks that may be delegated in accordance with Part VIII (18VAC90-20-420 et
seq.). The PCA may perform ADL functions such as assistance to the primary
caregiver but shall not perform any nursing duties or roles except as permitted
by Part VIII (18VAC90-20-420 et seq.). At a minimum, the staff providing PC
must have been certified through coursework as either PCAs or home health
aides.
c. DMAS will pay for any PC services that the PC aide PCA
gives to individuals to assist them in preparing for school or when they return
home. DMAS shall not pay for the PC aide PCA to assist the
individual with any functions related to the individual completing
post-secondary school functions or for supervision time during school.
d. PC exclusions.
(1) Time spent driving the waiver individual shall not be
reimbursed.
(2) Regardless of the combination of skilled PDN and PC hours,
the total combined number of hours that shall be reimbursed by DMAS in a 24-hour
period week shall not exceed 16 112 hours.
(3) The consumer-directed services model shall not be covered
for any services provided in the tech waiver.
(4) Spouses, parents (natural, adoptive, legal guardians),
siblings, grandparents, grandchildren, adult children, other legal guardians,
or any person living under the same roof with the individual shall not provide
PC services for the purpose of Medicaid reimbursement for the waiver
individual.
6. Transition services shall be covered two ways: (i) as
defined at 12VAC30-120-1700 to provide for applicants to move from
institutional placements to community private homes and shall be service
authorized by DMAS or the designated service authorization contractor in order
for reimbursement to occur, and (ii) for applicants who have already moved from
an institution to the community within 30 days of their transition. The
applicant's transition from an institution to the community shall be
coordinated by the facility's discharge planning team. The discharge planner
shall coordinate with the DMAS staff to ensure that technology assisted waiver
eligibility criteria shall be met.
a. Transition services shall be service authorized by DMAS or
its designated service authorization contractor in order for reimbursement to
occur. These services shall include those set out in the MFP demonstration.
b. For the purposes of transition funding for the technology
assisted waiver, an institution means an ICF/ID, a specialized care nursing
facility or a long-stay hospital as defined at 42 CFR 435.1009. Transition
funding shall not be available for individuals who have been admitted to an
acute care hospital.
c. When the Money Follows the Person demonstration is
terminated or expires by federal action, the portion of this service covered
through MFP shall also terminate. The remaining transition services shall
continue until modified.
C. Changes to services or termination of services.
1. DMAS or its designated agent shall have the final authority
to approve or deny a requested change to an individual's skilled PDN and PC
hours. Any request for an increase to an individual's skilled PDN or PC hours
that exceeds the number of hours allowed for that individual's LOC shall be
service authorized by DMAS staff and accompanied by adequate documentation
justifying the increase.
a. The provider may decrease the amount of authorized care if
the revised skilled PDN hours are appropriate and based on the needs of the
individual. The provider agency shall work with the DMAS staff for coordination
and final approval of any decrease in service delivery. A revised tech waiver
skilled PDN authorization shall be completed by DMAS for final authorization
and forwarded to the provider agency.
b. The provider shall be responsible for documenting in
writing the physician's verbal orders and for inclusion of the changes on the
recertification POC in accordance with the DMAS skilled private duty nursing
authorization. The provider agency's RN supervisor, who is responsible for
supervising the individual's care, shall use a person-centered approach in
discussing the change in care with the individual and the individual's
representative to include documentation in the individual's record. The DMAS
staff or the DMAS designated service authorization contractor shall notify in
writing the individual or the individual's representative of the change.
c. The provider shall be responsible for submitting the
DMAS-225 form to the local department of social services when the following
situations occur: (i) when Medicaid eligibility status changes; (ii) when the
individual's level of care changes; (iii) when the individual is admitted to or
discharged from an institution, a home and community-based waiver, or a
provider agency's care; (iv) the individual dies; or (v) any other information
that causes a change in the individual's eligibility status or patient pay amounts.
2. At any time the individual no longer meets LOC criteria for
the waiver, termination of waiver enrollment shall be initiated by DMAS staff
who is assigned to the individual. In such instances, DMAS shall forward the
DMAS-225 form to the local department of social services.
3. In an emergency situation when the health, safety, or
welfare of the provider staff is endangered, the provider agency may
immediately initiate discharge of the individual and contact the DMAS staff.
The provider must issue written notification containing the reasons for and the
effective date of the termination of services. The written notification period
in subdivision 4 of this subsection shall not be required. Other entities
(e.g., licensing authorities, APS, CPS) shall also be notified as appropriate.
A copy of this letter shall be forwarded to the DMAS staff within five business
days of the letter's date.
4. In a nonemergency situation (i.e., when the health, safety,
or welfare of the waiver individual or provider personnel is not endangered),
the provider shall provide the individual and the individual's representative
14 calendar days' written notification (plus three days to allow for mail
transmission) of the intent to discharge the individual from agency services.
Written notification shall provide the reasons for and the effective date of
the termination of services as well as the individual's appeal rights. A copy
of the written notification shall also be forwarded to the DMAS staff within
five business days of the date of the notification.
5. Individuals who no longer meet the tech waiver criteria as
certified by the physician for either children or adults shall be terminated
from the waiver. In such cases, a reduction in skilled PDN hours may occur that
shall not exceed two weeks in duration as long as such skilled PDN was
previously approved in the individual's POC. The agency provider of skilled PDN
for such individuals shall document with DMAS the decrease in skilled PDN hours
and prepare for cessation of skilled PDN hours and waiver services.
6. When a waiver individual, regardless of age, requires
admission to a specialized care nursing facility or long-stay hospital, the
individual shall be discharged from waiver services while he is in the
specialized care nursing facility or long-stay hospital. Readmission to waiver
services may resume once the individual has been discharged from the
specialized care nursing facility or long-stay hospital as long as the waiver
eligibility and medical necessity criteria continue to be met. For individuals
21 years of age and older, the individual shall follow the criteria for
specialized care nursing facility admission. For individuals who are younger
than 21 years of age, the individual shall follow the criteria for long-stay
hospital admissions as well as the age appropriate criteria.
7. When a waiver individual, regardless of age, requires
admission to a an acute care hospital for 30 days or more,
the individual shall be discharged from waiver services while he is in the
hospital. When such hospitalization exceeds 30 days and upon hospital
discharge, readmission to waiver services requires a is required.
Such readmission requires reassessment by the PAS discharge
team for and a determination that the individual currently
meets continues to meet Medicaid eligibility, functional level
of care criteria, and specialized nursing facility waiver
criteria medical criteria on the DMAS-108 or DMAS-109 form, as
appropriate. If these criteria are met, the individual shall be readmitted
to waiver services. For adults, ages 21 years and older, the individual shall
meet the criteria for specialized care admissions. For children, younger than
21 years of age, the individual shall meet the criteria for long-stay hospital
admissions and the age appropriate criteria.
8. Waiver individuals, regardless of age, who require
admission to any type of acute care facility for less than 30 days shall, upon
discharge from such acute care facility, be eligible for waiver services as
long as all other requirements continue to be met.
12VAC30-120-1730. General requirements for participating
providers.
A. All agency providers shall sign the appropriate technology
assisted waiver provider agreement in order to bill and receive Medicaid
payment for services rendered. Requests for provider enrollment shall be
reviewed by DMAS to determine whether the provider applicant meets the
requirements for Medicaid participation and demonstrates the abilities to
perform, at a minimum, the following activities:
1. Be able to render the medically necessary services required
by the waiver individuals. Accept referrals for services only when staff is
available and qualified to initiate and perform the required services on an
ongoing basis.
2. Assure the individual's freedom to reject medical care and
treatment.
3. Assure freedom of choice to individuals in seeking medical
care from any institution, pharmacy, or practitioner qualified to perform the
service or services that may be required and participating in the Medicaid
program at the time the service or services are performed.
4. Actively involve the individual and the authorized
representative, as applicable, in the assessment of needs, strengths, goals,
preferences, and abilities and incorporate this information into the person-centered
planning process. A provider shall protect and promote the rights of each
individual for whom he is providing services and shall provide for each of the
following individual rights:
a. The individual's rights are exercised by the person
appointed under state law to act on the individual's behalf in the case of an
individual adjudged incompetent under the laws of the Commonwealth by a court
of competent jurisdiction.
b. The individual, who has not been adjudged incompetent by
the state court, may designate any legal-surrogate in accordance with state law
to exercise the individual's rights to the extent provided by state law.
c. The individual shall have the right to receive services
from the provider with reasonable accommodation of individual needs and
preferences, except when the health or safety of the individual or other waiver
individuals would be endangered.
5. Perform a criminal background check on all employees,
including the business owner, who may have any contact or provide services to
the waiver individual. Such record checks shall be performed by the Virginia
State Police for the Commonwealth. When the Medicaid individual is a minor
child, searches shall also be made of the Virginia CPS Central Registry.
a. Provider documentation of the results of these searches
must be made available upon request of DMAS or its authorized representatives.
Persons convicted of having committed barrier crimes as defined in
§ 32.1-162.9:1 of the Code of Virginia shall not render services to waiver
individuals for the purposes of seeking Medicaid reimbursement.
b. Persons having founded dispositions in the CPS Central
Registry at DSS shall not be permitted to render services to children in this
waiver and seek Medicaid reimbursement. Medicaid reimbursement shall not be
made for providers' employees who have findings with the Virginia Board of
Nursing of the Department of Health Professions concerning abuse, neglect, or
mistreatment of individuals or misappropriation of their property.
6. Screen all new and existing employees and contractors to
determine whether any of them have been excluded from participation in federal
programs. Search the HHS-OIG List of Excluded Individuals and Entities (LEIE)
website monthly by name for employees, contractors and entities to validate the
eligibility of such persons and entities for federal programs.
a. Immediately report to DMAS any exclusion information
identified.
b. Such information shall be sent in writing and shall include
the individual or business name, provider identification number (if
applicable), and what, if any, action has been taken to date.
c. Such information shall be sent to: DMAS, ATTN: Program Integrity/Exclusions,
600 E. Broad St., Suite 1300, Richmond, VA 23219 or emailed to
providerexclusion@dmas.virginia.gov.
7. Provide services and supplies to individuals in full
compliance with Title VI of the Civil Rights Act of 1964, as amended (42 USC
§ 2000 et seq.), which prohibits discrimination on the grounds of race,
color, religion, or national origin; the Virginians with Disabilities Act
(§ 51.5-1 et seq. of the Code of Virginia); § 504 of the
Rehabilitation Act of 1973, as amended (29 USC § 794), which prohibits
discrimination on the basis of a disability; and the ADA of 1990, as amended
(42 USC § 12101 et seq.), which provides comprehensive civil rights
protections to individuals with disabilities.
8. Report all suspected violations, pursuant to § 63.2-100,
§§ 63.2-1508 through 63.2-1513, and § 63.2-1606 et seq. of the Code
of Virginia, involving mistreatment, neglect, or abuse, including injuries of
an unknown source, and misappropriation of individual property to either CPS,
APS, or other officials in accordance with state law. Providers shall also
train their staff in recognizing all types of such injuries and how to report
them to the appropriate authorities. Providers shall ensure that all employees
are aware of the requirements to immediately report such suspected abuse,
neglect, or exploitation to APS, CPS or human rights, as appropriate.
9. Notify DMAS or its designated agent immediately, in
writing, of any change in the information that the provider previously
submitted to DMAS. When ownership of the provider changes, notify DMAS at least
15 calendar days before the date of such a change.
10. Provide services and supplies to individuals in full
compliance of the same quality and in the same mode of delivery as are provided
to the general public. Submit charges to DMAS for the provision of services and
supplies to individuals in amounts not to exceed the provider's usual and
customary charges to the general public.
11. Accept as payment in full the amount established and
reimbursed by DMAS' payment methodology beginning with individuals'
authorization dates for the waiver services. The provider shall not attempt to
collect from the individual or the individual's responsible relative or
relatives any amount the provider may consider a balance due amount or an
uncovered amount. Providers shall not collect balance due amounts from
individuals or individuals' responsible relatives even if such persons are
willing to pay such amounts. Providers shall not bill DMAS, individuals or
their responsible relatives for broken or missed appointments.
12. Collect all applicable patient pay amounts pursuant to
12VAC30-40-20, 12VAC30-40-30, 12VAC30-40-40, 12VAC30-40-50, and 12VAC30-40-60.
13. Use only DMAS-designated forms for service documentation.
The provider shall not alter the required DMAS forms in any manner unless DMAS'
approval is obtained prior to using the altered forms.
14. Not perform any type of direct-marketing activities to
Medicaid individuals.
15. Furnish access to the records of individuals who are
receiving Medicaid services and furnish information, on request and in the form
requested, to DMAS or its designated agent or agents, the Attorney General of
Virginia or his authorized representatives, the state Medicaid Fraud Control
Unit, the State Long-Term Care Ombudsman and any other authorized state and
federal personnel. The Commonwealth's right of access to individuals receiving
services and to provider agencies and records shall survive any termination of
the provider agreement.
16. Disclose, as requested by DMAS, all financial, beneficial,
ownership, equity, surety, or other interests in any and all firms,
corporations, partnerships, associations, and business enterprises, joint
ventures, agencies, institutions, or other legal entities providing any form of
services to participants of Medicaid.
17. Pursuant to 42 CFR 431.300 et seq. and
§ 32.1-325.3 of the Code of Virginia, all information associated with a
waiver applicant or individual that could disclose the individual's identity is
confidential and shall be safeguarded. Access to information concerning waiver
applicants or individuals shall be restricted to persons or agency
representatives who are subject to the standards of confidentiality that are
consistent with that of the agency, and any such access must be in accordance
with the provisions found in 12VAC30-20-90.
18. Meet staffing, financial solvency, disclosure of
ownership, assurance of comparability of services requirements, and other
requirements as specified in the provider's written program participation
agreement with DMAS.
19. Maintain and retain business and professional records
sufficient to document fully and accurately the nature, scope, and details of
the services provided fully and accurately with documentation necessary to support
services billed. Failure to meet this requirement may result in DMAS' recovery
of expenditures resulting from claims payment.
20. Maintain a medical record for each individual who is
receiving waiver services. Failure to meet this requirement may result in DMAS
recovering expenditures made for claims paid that are not adequately supported
by the provider's documentation.
21. Retain business and professional records at least six
years from the last date of service or as provided by applicable federal and
state laws, whichever period is longer. However, if an audit is initiated
within the required retention period, the records shall be retained until the
audit is completed and every exception resolved. Policies regarding retention
of records shall apply even if the provider discontinues operation. DMAS shall
be notified in writing of the storage location and procedures for obtaining
records for review should the need arise. The location, agent, or trustee shall
be within the Commonwealth.
22. Retain records of minors for at least six years after such
minors have reached 21 years of age.
23. Ensure that all documentation in the individual's record
is completed, signed, and dated with the name or names of the person or persons
providing the service and the appropriate title, dated with month, day, and
year, and in accordance with accepted professional practice. This documentation
shall include the nurses' or PCAs', as appropriate, arrival and departure times
for each shift that is worked.
24. Begin PDN services for which it expects reimbursement only
when the admission packet is received and DMAS' authorization for skilled PDN
services has been given. This authorization shall include the enrollment date
that shall be issued by DMAS staff. It shall be the provider agency's
responsibility to review and ensure the receipt of a complete and accurate
screening packet.
25. Ensure that there is a backup caregiver who accepts
responsibility for the oversight and care of the individual in order to ensure
the health, safety, and welfare of the individual when the primary caregiver is
ill, incapacitated, or using PDN respite. Documentation in the medical record
shall include this backup caregiver's name and phone number.
26. Notify the DMAS staff every time the waiver individual's
primary residence changes.
27. Ensure that minimum qualifications of provider staff are
met as follows:
a. All RN and LPN employees shall have a satisfactory work
record, as evidenced by at least two references from prior job experiences. In
lieu of this requirement for personal care aides only, employees who have
worked for only one employer shall be permitted to provide two personal
references. Providers who are not able to obtain previous job references about
personal care aides shall retain written documentation showing their good faith
efforts to obtain such references in the new employee's work record.
b. Staff and agencies shall meet any certifications,
licensure, or registration, as applicable and as required by applicable state
law. Staff qualifications shall be documented and maintained for review by DMAS
or its designated agent. All additional provider requirements as may be
required under a specific waiver service in this part shall also be met.
c. In addition, the RN as well as all nurses All RNs
and LPNs providing the skilled PDN service services
shall be currently and validly licensed to practice nursing in the
Commonwealth and have at least six months of related clinical experience,
which may include work in acute care hospitals, long-stay hospitals,
rehabilitative hospitals or specialized care nursing facilities. The LPN
shall be under the direct supervision of an RN.
d. The RN supervisor shall be currently licensed to
practice nursing in the Commonwealth and have at least one year of related
clinical nursing experience, which may include work in an acute care hospital,
long-stay hospital, rehabilitation hospital, or specialized care nursing
facility. All RNs and LPNs who provide skilled PDN services shall have
either (i) at least six months of related clinical experience as documented in
their history, which may include work in acute care hospitals, long-stay
hospitals, rehabilitation hospitals, or specialized care nursing facilities, or
(ii) completed a provider training program related to the care and technology
needs of the assigned tech waiver individual.
e. Training programs established by providers shall
include, at a minimum, the following:
(1) Trainers (either RNs or respiratory therapists) shall
have at least six months hands-on [ successful ] experience
in the areas in which they provide training, such as ventilators,
tracheostomies, peg tubes, and nasogastric tubes.
(2) Training shall include classroom time as well as direct
hands-on demonstration of mastery of the specialized skills required to work
with individuals in the technology assisted waiver by the trainee.
(3) The training program shall include the following
subject areas as they relate to the care to be provided by the tech waiver
nurse: (i) human anatomy and physiology, (ii) medications frequently used by
technology dependent individuals, (iii) emergency management, and (iv) the
operation of the relevant equipment.
(4) Providers shall assure the competency and mastery of
the skills necessary to [ successfully ] care
for tech waiver individuals by the nurses prior to assigning them to a tech
waiver individual. Documentation of successful completion of such training
course and mastery of the specialized skills required to work with individuals
in the technology assisted waiver shall be maintained in the provider's
personnel records. This documentation shall be provided to DMAS upon request.
f. The RN supervisor shall be currently licensed to
practice nursing in the Commonwealth and have at least one year of related
clinical nursing experience, which may include work in an acute care hospital,
long-stay hospital, rehabilitation hospital, or specialized care nursing
facility.
B. DMAS shall have the authority to require the submission of
any other medical documentation or information as may be required to complete a
decision for a waiver individual's eligibility, waiver enrollment, or coverage
for services.
1. Review of individual-specific documentation shall be
conducted by DMAS or its designated agent. This documentation shall contain, up
to and including the last date of service, all of the following, as may be
appropriate for the service rendered:
a. All supporting documentation, including physicians' orders,
from any provider rendering waiver services for the individual;
b. All assessments, reassessments, and evaluations (including
the complete UAI screening packet or risk evaluations) made during the
provision of services, including any required initial assessments by the RN
supervisor completed prior to or on the date services are initiated and changes
to the supporting documentation by the RN supervisor;
c. Progress notes reflecting individual's status and, as
appropriate, progress toward the identified goals on the POC;
d. All related communication with the individual and the
family/caregiver, the designated agent for service authorization, consultants,
DMAS, DSS, formal and informal service providers, referral to APS or CPS and
all other professionals concerning the individual, as appropriate;
e. Service authorization decisions performed by the DMAS staff
or the DMAS-designated service authorization contractor;
f. All POCs completed for the individual and specific to the
service being provided and all supporting documentation related to any changes
in the POCs; and
g. Attendance logs documenting the date and times services
were rendered, the amount and type of services rendered and the dated
professional signature with title.
2. Review of provider participation standards and renewal of
provider agreements. DMAS shall be responsible for ensuring continued adherence
to provider participation standards by conducting ongoing monitoring of
compliance.
a. DMAS shall recertify each provider for agreement renewal,
contingent upon the provider's timely license renewal, to provide home and
community-based waiver services.
b. A provider's noncompliance with DMAS policies and
procedures, as required in the provider agreement, may result in a written
request from DMAS for a corrective action plan that details the steps the provider
shall take and the length of time required to achieve full compliance with the
corrective action plan that shall correct the cited deficiencies.
c. A provider that has been convicted of a felony, or who has
otherwise pled guilty to a felony, in Virginia or in any other of the 50
states, the District of Columbia, or the U.S. territories must, within 30 days
of such conviction, notify DMAS of this conviction and relinquish its provider
agreement. Upon such notice, DMAS shall immediately terminate the provider's
Medicaid provider agreement pursuant to § 32.1-325 D of the Code of
Virginia and as may be required for federal financial participation. Such
provider agreement terminations shall be immediate and conform to
§ 32.1-325 E of the Code of Virginia.
d. Providers shall not be reimbursed for services that may be
rendered between the conviction of a felony and the provider's notification to
DMAS of the conviction.
e. Except as otherwise provided by applicable state or federal
law, the Medicaid provider agreement may be terminated at will on 30 days'
written notice. The agreement may be terminated if DMAS determines that the
provider poses a threat to the health, safety, or welfare of any individual
enrolled in a DMAS administered program.
12VAC30-120-1740. Participation standards for provision of
services.
A. Skilled PDN, skilled PDN respite, and PC services. DMAS or
its designated agent shall periodically review and audit providers' records for
these services for conformance to regulations and policies, and concurrence
with claims that have been submitted for payment. When an individual is
receiving multiple services, the records for all services shall be
separated from those of non-home and community-based care services, such as
companion or home health services. The following documentation shall be
maintained for every individual for whom DMAS-enrolled providers render these
services:
1. Physicians' orders for these services shall be maintained
in the individual's record as well as at the individual's primary residence.
All recertifications of the POC shall be performed within the last five
business days of each current 60-day period. The physician shall sign the
recertification before Medicaid reimbursement shall occur;
2. All assessments, reassessments, and evaluations (including
the complete UAI screening packet or risk evaluations) made during the
provision of services, including any required initial assessments by the RN
supervisor completed prior to or on the date services are initiated and changes
to the supporting documentation by the RN supervisor;
3. Progress notes reflecting the individual's status and, as
appropriate, progress toward the identified goals on the POC;
4. All related communication with the individual and the
individual's representative, the DMAS designated agent for service
authorization, consultants, DMAS, DSS, formal and informal service providers,
all required referrals, as appropriate, to APS or CPS and all other
professionals concerning the individual;
5. All service authorization decisions rendered by the DMAS
staff or the DMAS-designated service authorization contractor;
6. All POCs completed with the individual, or
family/caregiver, as appropriate, and specific to the service being provided
and all supporting documentation related to any changes in the POC;
7. Attendance logs documenting the date and times services
were rendered, the amount and type of services rendered and the dated
signatures of the professionals who rendered the specified care, with the
professionals' titles. Copies of all nurses' records shall be subject to review
by either state or federal Medicaid representatives or both. Any required
nurses' visit notes, PCA notes, and all dated contacts with service providers
and during supervisory visits to the individual's home and shall include:
a. The private duty nurse's or PCA's daily visit note with
arrival and departure times;
b. The RN, LPN, or PCA daily observations, care, and services
that have been rendered, observations concerning the individual's physical and
emotional condition, daily activities and the individual's response to service
delivery; and
c. Observations about any other services, such as and not
limited to meals-on-wheels, companion services, and home health services, that
the participant may be receiving shall be recorded in these notes;
8. Provider's HIPAA release of information form;
9. All Long Term Care Communication forms (DMAS-225);
10. Documentation of rejection or refusal of services and
potential outcomes resulting from the refusal of services communicated to the
individual or the individual's representative;
11. Documentation of all inpatient hospital or specialized
care nursing facility admissions to include service interruption dates, the
reason for the hospital or specialized care nursing facility admission, the
name of the facility or facilities and primary caregiver notification when
applicable including all communication to DMAS;
12. The RN, LPN, or PCA's and individual's, or individual's
representative's weekly or daily, as appropriate, signatures, including the
date, to verify that services have been rendered during that week as documented
in the record. For records requiring weekly signatures, such signatures, times,
and dates shall be placed on these records no earlier than the last day of the
week in which services were provided and no later than seven calendar days from
the date of the last service. An employee providing services to the tech waiver
individual cannot sign for the individual. If the individual is unable to sign
the nurses' records, it shall be documented in the record how the nurses'
records will be signed or who will sign in the individual's place. An employee
of the provider shall not sign for the individual unless he is a family member
of the individual or legal guardian of the individual;
13. Contact notes or progress notes reflecting the
individual's status; and
14. Any other documentation to support that services provided
are appropriate and necessary to maintain the individual in the home and in the
community.
B. In addition to meeting the general conditions and
requirements for home and community-based services participating providers and skilled
PDN, private duty respite, and PC services, providers shall also meet the
following requirements:
1. This service shall be provided through either a home health
agency licensed or certified by the VDH for Medicaid participation and with
which DMAS has a contract for either skilled PDN or congregate PDN or both;
2. Demonstrate a prior successful health care delivery;
3. Operate from a business office; and
4. Employ (or subcontract with) and directly supervise an RN
or an LPN. The LPN and RN shall be currently licensed to practice in the
Commonwealth and. Prior to assignment to a tech waiver individual,
the RN or LPN shall have either (i) at least six months of related
clinical nursing experience, which may include work in an acute care
hospital, long-stay hospital, rehabilitation hospital, or specialized care
nursing facility or (ii) completed a provider training program related
to the care and technology needs of the tech waiver individual as described in
12VAC30-120-1730 A 27 e. Regardless of whether a nurse has six months of
experience or completes a provider training course, the provider agency shall
be responsible for assuring all nurses who are assigned to an individual are
competent in the care needs of that individual.
5. As part of direct supervision, the RN supervisor shall
make, at a minimum, a visit every 30 days to ensure both quality and
appropriateness of PDN, PDN respite services, and personal care services to
assess the individual's and the individual's representative's satisfaction with
the services being provided, to review the medication and treatments and to
update and verify the most current physician signed orders are in the home.
a. The waiver individual shall be present when the supervisory
visits are made;
b. At least every other visit shall be in the individual's
primary residence;
c. When a delay occurs in the RN supervisor's visits because
the individual is unavailable, the reason for the delay shall be documented in
the individual's record, and the visit shall occur as soon as the individual is
available. Failure to meet this standard may result in DMAS' recovery of
payments made.
d. The RN supervisor may delegate personal care aide
supervisory visits to an LPN. The provider's [ RN or LPN ]
supervisor shall make supervisory visits at least every 90 days. During visits
to the waiver individual's home, the RN/LPN RN or LPN supervisor
shall observe, evaluate, and document the adequacy and appropriateness of
personal care services with regard to the individual's current functioning
status and medical and social needs. The personal care aide's record shall be
reviewed and the waiver individual's or family/caregiver's, or both,
satisfaction with the type and amount of services discussed.
e. Additional supervisory visits may be required under the
following circumstances: (i) at the provider's discretion; (ii) at the request
of the individual when a change in the individual's condition has occurred;
(iii) any time the health, safety, or welfare of the individual could be at
risk; and (iv) at the request of the DMAS staff.
6. When private duty respite services are routine in nature
and offered in conjunction with PC services for adults, the RN supervisory
visit conducted for PC may serve as the supervisory visit for respite services.
However, the supervisor shall document supervision of private duty respite
services separately. For this purpose, the same individual record can be used
with a separate section for private duty respite services documentation.
7. For this waiver, personal care services shall only be
agency directed and provided by a DMAS-enrolled PC provider to adult
waiver individuals.
a. For DMAS-enrolled skilled PDN providers that also provide
PC services, the provider shall employ or subcontract with and directly
supervise an RN who will provide ongoing supervision of all PCAs. The
supervising RN shall be currently licensed to practice nursing in the
Commonwealth and have at least one year of related clinical nursing experience,
which may include work in an acute care hospital, long-stay hospital,
rehabilitation hospital, or specialized care nursing facility.
b. In addition to meeting the general conditions and
requirements for home and community-based services participating providers as
specified elsewhere in this part, the provision of PC services shall also
comply with the requirements of 12VAC30-120-930.
8. Skilled monthly supervisory reassessments shall be
performed in accordance with regulations by the PDN agency provider. The agency
RN supervisor shall complete the monthly assessment visit and submit the
"Technology Assisted Waiver Supervisory Monthly Summary" form (DMAS-103)
to DMAS for review by the sixth day of the month following the month when the
visit occurred.
9. Failure of the provider to ensure timely submission of the
required assessments may result in retraction of all skilled PDN payments for
the period of time of the delinquency.
C. Assistive technology and environmental modification.
1. All AT and EM services shall be provided by DMAS-enrolled
DME providers that have a DMAS provider agreement to provide AT or EM or
both.
2. AT and EM shall be covered in the least expensive, most
cost-effective manner. The provider shall document and justify why more
cost-effective solutions cannot be used. DMAS and the DMAS-designated service
authorization contractor may request further documentation on the alternative
cost-effective solutions as necessary.
3. The provider documentation requirements for AT and EM shall
be as follows:
a. Written documentation setting out the medical necessity for
these services regarding the need for service, the process and results of
ensuring that the item is not covered by the State Plan as DME and supplies and
that it is not available from a DME provider when purchased elsewhere and
contacts with vendors or contractors of service and cost;
b. Documentation of any or all of the evaluation, design,
labor costs or supplies by a qualified professional;
c. Documentation of the date services are rendered and the
amount of service needed;
d. Any other relevant information regarding the device or
modification;
e. Documentation in the medical record of notification by the
designated individual or the individual's representative of satisfactory
completion or receipt of the service or item;
f. Instructions regarding any warranty, repairs, complaints,
or servicing that may be needed; and
g. Any additional cost estimates requested by DMAS.
7. The EM/AT EM or AT provider shall maintain a
copy of all building permits and all building inspections for modifications, as
required by code. All instructions regarding any warranty, repairs, complaints,
and servicing that may be needed and the receipt for any purchased goods or
services. More than one cost estimate may be required.
8. Individuals who reside in rental property shall obtain
written permission from the property's owner before any EM shall be authorized
by DMAS. This letter shall be maintained in the provider's record.
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, 900 East Main Street,
11th Floor, Richmond, Virginia 23219.
FORMS (12VAC30-120)
Virginia Uniform Assessment Instrument (UAI) (1994)
Consent to Exchange Information, DMAS-20 (rev. 4/03)
Provider Aide Record (Personal/Respite Care),
DMAS-90 (rev. 6/12)
LPN Skilled Respite Record, DMAS-90A (eff. 7/05)
Personal Assistant/Companion Timesheet, DMAS-91 (rev. 8/03)
Questionnaire to Assess an Applicant's Ability to
Independently Manage Consumer-Directed Services, DMAS-95 Addendum (rev. 8/05)
Medicaid Funded Long-Term Care Service
Authorization Form, DMAS-96 (rev. 8/12)
Individual Choice - Institutional Care or Waiver
Services Form, DMAS-97 (rev. 8/12)
Agency or Consumer Direction Provider Plan of
Care, DMAS-97A/B (rev. 3/10)
Community-Based Care Recipient Assessment Report,
DMAS-99 (rev. 9/09)
Community-Based Care Level of Care Review
Instrument, DMAS-99LOC (undated)
Medicaid LTC Communication Form, DMAS-225
(rev.10/11)
Technology Assisted Waiver Provider RN Initial
Home Assessment, DMAS-116 (11/10)
Technology Assisted Waiver/EPSDT Nursing Services Provider
Skills Checklist for Individuals Caring for Tracheostomized and/or Ventilator
Assisted Children and Adults, DMAS-259
Home Health Certification and Plan of Care, CMS-485 (rev.
2/94)
IFDDS Waiver Level of Care Eligibility Form (eff. 5/07)
Request for Screening for Individual and Family
Developmental Disabilities Support Waiver (DD Waiver), DMAS 305 (rev. 3/09)
DD Medicaid Waiver - Level of Functioning Survey
Summary Sheet, DMAS-458 (undated)
Technology Assisted Waiver Adult Aide Plan of
Care, DMAS 97 T (rev. 6/08)
Technology Assisted Waiver Supervisory Monthly
Summary, DMAS 103 (rev. 4/08)
[ Technology Assisted Waiver Adult Referral, DMAS 108
(rev. 3/10)
Technology Assisted Waiver Pediatric Referral, DMAS 109
(rev. 3/10)
Technology
Assisted Waiver Adult Referral, DMAS-108 (rev. 1/2017)
Technology
Assisted Waiver Pediatric Referral, DMAS-109 (rev. 1/2017) ]
VA.R. Doc. No. R16-4359; Filed July 12, 2017, 7:31 a.m.
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Proposed Regulation
REGISTRAR'S NOTICE: The
State Corporation Commission is claiming an exemption from the Administrative
Process Act in accordance with § 2.2-4002 A 2 of the Code of Virginia,
which exempts courts, any agency of the Supreme Court, and any agency that by
the Constitution is expressly granted any of the powers of a court of record.
Title of Regulation: 14VAC5-265. Rules Governing
Corporate Governance Annual Disclosures (adding 14VAC5-265-10 through 14VAC5-265-50).
Statutory Authority: §§ 12.1-13 and 38.2-223 of the Code
of Virginia.
Public Hearing Information: A public hearing will be
held upon request.
Public Comment Deadline: September 21, 2017.
Agency Contact: Raquel C. Pino, Policy Advisor, State
Corporation Commission, Bureau of Insurance, P.O. Box 1157, Richmond, VA 23218,
telephone (804) 371-9499, FAX (804) 371-9873, or email
raquel.pino@scc.virginia.gov.
Summary:
The proposed amendments implement the provisions of Article
5.2 (§§ 38.2-1334.11 through 38.2-1334.17) of Chapter 13 of Title 38.2 of the
Code of Virginia, which was enacted by Chapter 643 of the 2017 Acts of Assembly
and becomes effective on January 1, 2018. Article 5.2 requires each insurer
domiciled in the Commonwealth of Virginia, or the insurance group of which the
insurer is a member, to submit to the State Corporation Commission a Corporate
Governance Annual Disclosure (CGAD). The CGAD is a confidential report on an
insurer or insurance group's corporate governance structure, policies, and
practices, which allows the commission to gain and maintain an understanding of
the insurer's corporate governance framework. The new regulation sets forth the
requirements for what is to be included in the CGAD, which is due June 1, 2018,
and annually thereafter. All insurers domiciled in Virginia are required to
submit a CGAD pursuant to § 38.2-1334.12 of the Code of Virginia.
AT RICHMOND, JULY 14, 2017
COMMONWEALTH OF VIRGINIA, ex rel.
STATE CORPORATION COMMISSION
CASE NO. INS-2017-00161
Ex Parte: In the matter of Adopting
New Rules Governing Corporate
Governance Annual Disclosures
ORDER TO TAKE NOTICE
Section 12.1-13 of the Code of Virginia ("Code")
provides that the State Corporation Commission ("Commission") shall
have the power to promulgate rules and regulations in the enforcement and
administration of all laws within its jurisdiction, and § 38.2-223 of the Code
provides that the Commission may issue any rules and regulations necessary or
appropriate for the administration and enforcement of Title 38.2 of the Code.
The rules and regulations issued by the Commission pursuant
to § 38.2-223 of the Code are set forth in Title 14 of the Virginia
Administrative Code. A copy also may be found at the Commission's website:
http://www.scc.virginia.gov/case.
The Bureau of Insurance ("Bureau") has submitted to
the Commission a proposal to promulgate new rules at Chapter 265 of Title 14 of
the Virginia Administrative Code entitled "Rules Governing Corporate
Governance Annual Disclosures," which are recommended to be set out at 14 VAC
5-265-10 through 14 VAC 5-265-50.
The proposed new rules are necessary to implement the
provisions of §§ 38.2-1334.11 through 38.2-1334.17 of the Code, which were
enacted in Chapter 643 of the 2017 Acts of Assembly (HB 2102) and require each
insurer domiciled in the Commonwealth of Virginia, or the insurance group of
which the insurer is a member, to submit to the Commission a Corporate
Governance Annual Disclosure. These new rules establish procedures for filing,
and the required contents of, the Corporate Governance Annual Disclosure. The
amendments to the Code are effective on January 1, 2018.
NOW THE COMMISSION is of the opinion that the proposal to
adopt new rules recommended to be set out at Chapter 265 in the Virginia
Administrative Code as submitted by the Bureau should be considered for
adoption with a proposed effective date of January 1, 2018.
Accordingly, IT IS ORDERED THAT:
(1) The proposed new rules entitled "Rules Governing
Corporate Governance Annual Disclosures," recommended to be set out at 14
VAC 5-265-10 through 14 VAC 5-265-50 are attached hereto and made a part
hereof.
(2) All interested persons who desire to comment in support
of or in opposition to, or request a hearing to consider the adoption of
proposed Chapter 265, shall file such comments or hearing request on or before
September 21, 2017, with Joel H. Peck, Clerk, State Corporation Commission, c/o
Document Control Center, P.O. Box 2118, Richmond, Virginia 23218. Interested
persons desiring to submit comments electronically may do so by following the
instructions at the Commission's website: http://www.scc.virginia.gov/case. All
comments shall refer to Case No. INS-2017-00161.
(3) If no written request for a hearing on the adoption of
the proposed new rules as outlined in this Order is received on or before
September 21, 2017, the Commission, upon consideration of any comments
submitted in support of or in opposition to the proposal, may adopt the rules
as submitted by the Bureau.
(4) The Bureau forthwith shall give notice of the proposal by
mailing a copy of this Order, together with the proposal, to all insurers
domiciled in Virginia and to all interested persons.
(5) The Commission's Division of Information Resources
forthwith shall cause a copy of this Order, together with the proposed rules,
to be forwarded to the Virginia Registrar of Regulations for appropriate
publication in the Virginia Register of Regulations.
(6) The Commission's Division of Information Resources shall
make available this Order and the attached proposal on the Commission's
website: http://www.scc.virginia.gov/case.
(7) The Bureau shall file with the Clerk of the Commission an
affidavit of compliance with the notice requirements of Ordering Paragraph (4)
above.
(8) This matter is continued.
AN ATTESTED COPY hereof shall be sent by the Clerk of the
Commission to: Kiva B. Pierce, Assistant Attorney General, Office of the
Attorney General, Division of Consumer Counsel, 202 N. 9th Street, 8th Floor,
Richmond, Virginia 23219; and a copy hereof shall be delivered to the
Commission's Office of General Counsel and the Bureau of Insurance in care of
Deputy Commissioner Donald C. Beatty.
CHAPTER 265
RULES GOVERNING CORPORATE GOVERNANCE ANNUAL DISCLOSURES
14VAC5-265-10. Purpose and scope.
The purpose of this chapter is to set forth rules and
procedures for filing and for the required contents of the Corporate Governance
Annual Disclosure that the commission deems necessary to carry out the provisions
of Article 5.2 (§ 38.2-1334.11 et seq.) of Chapter 13 of Title 38.2 of the Code
of Virginia.
14VAC5-265-20. Definitions.
The following words and terms when used in this chapter
shall have the following meanings, unless the context clearly indicates
otherwise:
"Corporate Governance Annual Disclosure" or
"CGAD" means a confidential report filed by the insurer or insurance
group made in accordance with the requirements of this chapter.
"Insurance group" means those insurers and
affiliates included within an insurance holding company system as defined in §
38.2-1322 of the Code of Virginia.
"Insurer" means an insurance company as defined
in § 38.2-100 of the Code of Virginia. "Insurer" shall not include
agencies, authorities, or instrumentalities of the United States, its
possessions and territories, the Commonwealth of Puerto Rico, the District of
Columbia, or a state or political subdivision of a state.
"Senior management" means any corporate officer
responsible for reporting information to the board of directors at regular
intervals or providing this information to shareholders or regulators and shall
include, for example and without limitation, the chief executive officer (CEO),
chief financial officer, chief operations officer, chief procurement officer,
chief legal officer, chief information officer, chief technology officer, chief
revenue officer, chief visionary officer, or any other "C" level
executive.
"The Act" means Article 5.2 (§ 38.2-1334.11
et seq.) of Chapter 13 of Title 38.2 of the Code of Virginia.
14VAC5-265-30. Filing procedures.
A. An insurer, or the insurance group of which the insurer
is a member, required to file a CGAD by the Act shall, no later than June 1 of
each calendar year, submit to the commission a CGAD that contains the information
described in 14VAC5-265-40.
B. The CGAD must include a signature of the insurer's or
insurance group's chief executive officer or corporate secretary attesting to
the best of that individual's belief and knowledge that the insurer or
insurance group has implemented the corporate governance practices and that a
copy of the CGAD has been provided to the insurer's or insurance group's board
of directors or the appropriate committee thereof.
C. The insurer or insurance group shall have discretion regarding
the appropriate format for providing the information required by this chapter
and is permitted to customize the CGAD to provide the most relevant
information, appropriate to the nature, scale, and complexity of the operations
of the insurer or insurance group that is necessary to permit the commission to
gain an understanding of the corporate governance structure, policies, and
practices utilized by the insurer or insurance group.
D. For purposes of completing the CGAD, the insurer or
insurance group may choose to provide information on governance activities that
occur at the ultimate controlling parent level, an intermediate holding company
level, or the individual legal entity level, depending upon how the insurer or
insurance group has structured its system of corporate governance. The insurer
or insurance group is encouraged to make the CGAD disclosures at the level at
which (i) the insurer's or insurance group's risk appetite is determined; (ii)
the earnings, capital, liquidity, operations, and reputation of the insurer are
overseen collectively and at which the supervision of those factors are
coordinated and exercised; or (iii) the legal liability for failure of general
corporate governance duties would be placed. If the insurer or insurance group
determines the level of reporting based on these criteria, it shall indicate
which of the three criteria was used to determine the level of reporting and
explain any subsequent changes in level of reporting.
E. Notwithstanding subsection A of this section, and as
outlined in § 38.2-1334.12 of the Act, if the CGAD is completed at the
insurance group level, then it must be filed with the lead state of the group
as determined by the procedures outlined in the 2016 Annual/2017 Quarterly
Financial Analysis Handbook adopted by the National Association of Insurance
Commissioners. In these instances, a copy of the CGAD must also be provided to
the chief insurance regulatory official of any state in which the insurance
group has a domestic insurer, upon request.
F. An insurer or insurance group may comply with this
section by referencing other existing documents (e.g., Own Risk and Solvency
Assessment Summary Report, Holding Company Form B or F Filings, Securities and
Exchange Commission Proxy Statements, foreign regulatory reporting
requirements, etc.) if the documents provide information that is comparable to
the information described in 14VAC5-265-40. The insurer or insurance group
shall clearly reference the location of the relevant information within the CGAD
and attach the referenced document if it is not already filed or available to
the commission.
G. Each year following the initial filing of the CGAD, the
insurer or insurance group shall file an amended version of the previously
filed CGAD, indicating where changes have been made. If no changes were made in
the information or activities reported by the insurer or insurance group, the
filing should so state.
14VAC5-265-40. Contents of Corporate Governance Annual
Disclosure.
A. The insurer or insurance group shall be as descriptive
as possible in completing the CGAD and include attachments or example documents
that are used in the governance process since these may provide a means to
demonstrate the strengths of the governance framework and practices.
B. The CGAD shall describe the insurer's or insurance
group's corporate governance framework and structure including consideration of
the following:
1. The board of directors (board) and various committees
thereof ultimately responsible for overseeing the insurer or insurance group
and the level at which that oversight occurs (e.g., ultimate control level,
intermediate holding company, legal entity, etc.). The insurer or insurance
group shall describe and discuss the rationale for the current board size and
structure; and
2. The duties of the board and each of its significant
committees and how they are governed (e.g., bylaws, charters, informal
mandates, etc.), as well as how the board's leadership is structured, including
a discussion of the roles of the chief executive officer (CEO) and chairman of
the board within the organization.
C. The insurer or insurance group shall describe the
policies and practices of the most senior governing entity and significant
committees thereof, including a discussion of the following factors:
1. How the qualifications, expertise, and experience of each board member meet the needs of the insurer or
insurance group;
2. How an appropriate amount of independence is maintained
on the board and its significant committees;
3. The number of meetings held by the board and its
significant committees over the past year as well as information on director
attendance;
4. How the insurer or insurance group identifies,
nominates, and elects members to the board and its committees. The discussion
should include, for example:
a. Whether a nomination committee is in place to identify
and select individuals for consideration;
b. Whether term limits are placed on directors;
c. How the election and reelection processes function; and
d. Whether a board diversity policy is in place and if so,
how it function;
5. The processes in place for the board to evaluate its
performance and the performance of its committees, as well as any recent
measures taken to improve performance (including any
board or committee training programs that have been put in place).
D. The insurer or insurance group shall describe the
policies and practices for directing senior management, including a description
of the following factors:
1. Any processes or practices (i.e., suitability standards)
to determine whether officers and key persons in control functions have the
appropriate background, experience, and integrity to fulfill their prospective
roles, including:
a. Identification of the specific positions for which
suitability standards have been developed and a description of the standards
employed; and
b. Any changes in an officer's or key person's suitability
as outlined by the insurer's or insurance group's standards and procedures to
monitor and evaluate such changes.
2. The insurer's or insurance group's code of business
conduct and ethics, the discussion of which considers, for example:
a. Compliance with laws, rules, and regulations; and
b. Proactive reporting of any illegal or unethical
behavior.
3. The insurer's or insurance group's processes for
performance evaluation, compensation, and corrective action to ensure effective
senior management throughout the organization, including a description of the
general objectives of significant compensation programs and what the programs
are designed to reward. The description shall include sufficient detail to
allow the commission to understand how the organization ensures that
compensation programs do not encourage or reward excessive risk taking.
Elements to be discussed may include, for example:
a. The board's role in overseeing management compensation
programs and practices;
b. The various elements of compensation awarded in the
insurer's or insurance group's compensation programs and how the insurer or
insurance group determines and calculates the amount of each element of
compensation paid;
c. How compensation programs are related to both company
and individual performance over time;
d. Whether compensation programs include risk adjustments
and how those adjustments are incorporated into the programs for employees at
different levels;
e. Any clawback provisions built into the programs to
recover awards or payments if the performance measures upon which they are
based are restated or otherwise adjusted; or
f. Any other factors relevant in understanding how the
insurer or insurance group monitors its compensation policies to determine
whether its risk management objectives are met by incentivizing its employees.
4. The insurer's or insurance group's plans for CEO and
senior management succession.
E. The insurer or insurance group shall describe the
processes by which the board, its committees, and senior management ensure an
appropriate amount of oversight to the critical risk areas impacting the
insurer's business activities, including a discussion of:
1. How oversight and management responsibilities are
delegated between the board, its committees, and senior management;
2. How the board is kept informed of the insurer's
strategic plans, the associated risks, and steps that senior management is
taking to monitor and manage those risks;
3. How reporting responsibilities are organized for each
critical risk area. The description should allow the commission to understand
the frequency at which information on each critical risk area is reported to
and reviewed by senior management and the board. This description may include,
for example, the following critical risk areas of the insurer:
a. Risk management processes (a Own Risk and Solvency
Assessment (ORSA) Summary Report filer may refer to its ORSA Summary Report
filed pursuant to Article 5.1 (§ 38.2-1334.3 et seq.) of Chapter 13 of Title
38.2 of the Code of Virginia);
b. Actuarial function;
c. Investment decision-making processes;
d. Reinsurance decision-making processes;
e. Business strategy and finance decision-making processes;
f. Compliance function;
g. Financial reporting and internal auditing; and
h. Market conduct decision-making processes.
14VAC5-265-50. Severability clause.
If any provision in this chapter or the application
thereof to any person or circumstance is for any reason held to be invalid, the
remainder of the chapter and the application of the provision to other persons
or circumstances shall not be affected thereby.
DOCUMENTS INCORPORATED BY REFERENCE (14VAC5-265)
Financial Analysis Handbook, Volume 1, 2016 Annual/2017
Quarterly, National Association of Insurance Commissioners, 444 North Capitol
Street, NW, Suite 700, Washington, DC 20001, http://www.naic.org/
VA.R. Doc. No. R17-5187; Filed July 17, 2017, 4:07 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF DENTISTRY
Emergency Regulation
Title of Regulation: 18VAC60-21. Regulations
Governing the Practice of Dentistry (amending 18VAC60-21-106).
Statutory Authority: §§ 54.1-2400 and 54.1-2708 of
the Code of Virginia.
Effective Dates: July 21, 2017, through October 23,
2018.
Agency Contact: Sandra Reen, Executive Director, Board
of Dentistry, 9960 Mayland Drive, Suite 300, Richmond, VA 23233, telephone
(804) 367-4437, FAX (804) 527-4428, or email sandra.reen@dhp.virginia.gov.
Preamble:
Section 2.2-4011 of the Code of Virginia authorizes an
agency to adopt emergency regulations necessitated by an emergency situation
upon consultation with the Attorney General, and the necessity for the action
is at the sole discretion of the Governor. Emergency regulations for dentists
prescribing medications containing opioids were published in 33:19 VA.R. 2112-2113 May 15, 2017
and became effective on April 24, 2017.
The Board of Dentistry has adopted an amendment to the
emergency regulations that became effective on April 24, 2017, for prescribing
of opioids. The requirement in 18VAC60-21-106 is amended to allow dentists to
begin immediately fulfilling the continuing education requirement of two hours
on pain management, rather than waiting until the next renewal cycle beginning
March 31, 2018.
The purpose of the regulatory action is to encourage
dentists to seek continuing education in prescribing opioids as soon as
possible so that they understand the crisis in the Commonwealth, their role in
addressing the issue, and the requirements of the emergency regulations on
prescribing. As rewritten, the emergency regulation will allow dentists almost
two years to obtain two hours of continuing education, beginning with the
effective date of the emergency regulation on April 24, 2017.
18VAC60-21-106. Continuing education required for prescribers.
[ A dentist who prescribes Schedules II through IV
controlled substances during one license renewal cycle shall obtain two hours
of continuing education on pain management during the next renewal cycle
following April 24, 2017. Continuing education hours required for prescribing
of controlled substances may be included in the 15 hours required for renewal
of licensure. Any dentist who prescribes Schedules II through IV
controlled substances after April 24, 2017, shall obtain two hours of
continuing education on pain management, which must be taken by March 31, 2019.
Thereafter, any dentist who prescribes Schedules II through IV controlled
substances shall obtain two hours of continuing education on pain management
every two years. Continuing education hours required for prescribing of
controlled substances may be included in the 15 hours required for renewal of
licensure. ]
VA.R. Doc. No. R17-5064; Filed July 21, 2017, 8:44 a.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF PHARMACY
Emergency Regulation
Title of Regulation: 18VAC110-60. Regulations
Governing Pharmaceutical Processors (adding 18VAC110-60-10 through
18VAC110-60-330).
Statutory Authority: §§ 54.1-2400 and 54.1-3442.6
of the Code of Virginia.
Effective Dates: August 7, 2017, through February 6,
2019.
Agency Contact: Caroline Juran, RPh, Executive Director,
Board of Pharmacy, 9960 Mayland Drive, Suite 300, Richmond, VA 23233, telephone
(804) 367-4578, FAX (804) 527-4472, or email caroline.juran@dhp.virginia.gov.
Preamble:
Pursuant to Chapter 577 of the 2016 Acts of Assembly and
Chapter 613 of the 2017 Acts of Assembly, the Board of Pharmacy is promulgating
emergency regulations governing (i) the registration process for a patient who
has been issued a written certification for the use of cannabidiol oil or THC-A
oil and (ii) the issuance of a permit for a pharmaceutical processor to
manufacture and provide cannabidiol oil and THC-A oil to be used for the
treatment of intractable epilepsy. The regulation includes (i) the fees for
application, registration, and permitting; (ii) requirements for issuance or
denial of registration for certifying physicians, patients, parents, or legal
guardians; (iii) the application and approval process for issuing a permit to a
pharmaceutical processor, including the information that must be submitted, the
requirements for issuing conditional and then final approval, the rules for
notification to the board of any changes or of closure of the processor, and
the causes for action against a processor; (iv) the provisions for personnel at
the pharmaceutical processor, including a requirement that a pharmacist with a
current, unrestricted Virginia license provide personal supervision on the
premises at all times during hours of operation or whenever the processor is
accessed, employee training, supervision of pharmacy technicians, and the
responsibilities of the pharmacist-in-charge; and (v) provisions for the
operation of a pharmaceutical processor, including requirements for inventory,
security, storage and handling, recordkeeping, and reportable events; (vi)
requirements for the cultivation, production, and dispensing of cannabidiol
oil, including labeling, laboratory and testing standards, dispensing errors
and quality assurance, and proper disposal.
The goals of the new regulation are accessibility of
cannabidiol oil or THC-A oil for patients with intractable epilepsy in
compliance with the conditions and restraints imposed by the statute and in
consideration of the need for security of the facility and its contents and the
integrity of the dispensed product. The statute sets limits on the number of
permits that the board may issue and requires that the board adopt regulations
establishing health, safety, and security requirements for pharmaceutical
processors. It also provides that only a licensed practitioner of medicine or
osteopathy who is a neurologist or who specializes in the treatment of epilepsy
may issue a written certification to a patient for the use of cannabidiol oil
or THC-A oil. It requires that a practitioner who issues a written
certification for cannabidiol oil or THC-A oil, the patient issued such
certification, and, if the patient is a minor or incapacitated, the patient's
parent or legal guardian register with the board. The statute further provides
that a pharmaceutical processor shall not provide cannabidiol oil or THC-A oil
to a patient or a patient's parent or legal guardian without first verifying
that the patient, the patient's parent or legal guardian if the patient is a
minor or incapacitated, and the practitioner who issued the written
certification have registered with the board. The safeguards put in place in
statute and regulations are essential to protect the health and safety of the
general public and, in particular, the health of the patients to whom
cannabidiol oil or THC-A oil is dispensed.
CHAPTER 60
REGULATIONS GOVERNING PHARMACEUTICAL PROCESSORS
Part I
General Provisions
18VAC110-60-10. Definitions.
In addition to words and terms defined in
§§ 54.1-3408.3 and 54.1-3442.5 of the Code of Virginia, the following
words and terms when used in this chapter shall have the following meanings,
unless the context clearly indicates otherwise:
"Board" means the Board of Pharmacy.
"Certification" means a written statement,
consistent with requirements of § 54.1-3408.3 of the Code of Virginia,
issued by a practitioner for the use of cannabidiol oil or THC-A oil for
treatment or to alleviate the symptoms of a patient's intractable epilepsy.
"Code" means the Code of Virginia.
"Dispensing error" means an act or omission
relating to the dispensing of cannabidiol oil or THC-A oil that results in, or
may reasonably be expected to result in, injury to or death of a registered
patient or results in any detrimental change to the medical treatment for the
patient.
"Electronic tracking system" means an electronic
radio-frequency identification (RFID) seed-to-sale tracking system that tracks
the Cannabis from either the seed or immature plant stage until the cannabidiol
oil and THC-A oil are sold to a registered patient, parent, or legal guardian
or until the Cannabis, including the seeds, parts of plants, and extracts, are
destroyed. The electronic tracking system shall include, at a minimum, a central
inventory management system and standard and ad hoc reporting functions as
required by the board and shall be capable of otherwise satisfying required
recordkeeping.
"Intractable epilepsy" means drug-resistant
epilepsy (DRE), which is defined as failure of adequate trials of two
tolerated, appropriately chosen and used antiepileptic drug schedules (whether
as monotherapies or in combination) to achieve sustained seizure freedom.
"On duty" means that a pharmacist is on the
premises at the address of the permitted pharmaceutical processor and is
available as needed.
"One-month supply" means the amount of
cannabidiol oil or THC-A oil reasonably necessary to ensure an uninterrupted
availability of supply for a 30-day period for registered patients, which
cannot exceed 20 fluid ounces.
"PIC" means the pharmacist-in-charge.
"Production" or "produce" means the
manufacture, planting, preparation, cultivation, growing, harvesting,
propagation, conversion, or processing of marijuana, either directly or indirectly
by extraction from substances of natural origin, independently by means of
chemical synthesis, or by a combination of extraction and chemical synthesis,
and includes any packaging or repackaging of the substance or labeling or
relabeling of its container.
"Resident" means a person whose principal place
of residence is within the Commonwealth as evidenced by a federal or state
income tax return or a current Virginia driver's license. If a person is a
minor, residency may be established by evidence of Virginia residency by a
parent or legal guardian.
"Qualifying patient" means a Virginia resident
who has received a written certification for the use of cannabidiol oil or
THC-A oil for treatment of intractable epilepsy from a practitioner, as defined
in § 54.1-3408.3 of the Code.
"Registered patient" means a qualifying patient
who has been issued a registration by the board for the dispensing of
cannabidiol oil or THC-A oil.
"Registration" means an identification card or
other document issued by the board that identifies a person as a practitioner
or a qualifying patient, parent, or legal guardian.
"Temperature and humidity" means temperature and
humidity maintained in the following ranges:
Room or Phase
|
Temperature
|
Humidity
|
Mother room
|
65 - 75°
|
50% - 60%
|
Nursery phase
|
77 - 85° F
|
65% - 75%
|
Vegetation phase
|
77 - 85° F
|
55% - 65%
|
Flower/harvest phase
|
77 - 85° F
|
55% - 60%
|
Drying/extraction rooms
|
< 75° F
|
55% - 60%
|
18VAC110-60-20. Fees.
A. Fees are required by the board as specified in this
section. Unless otherwise provided, fees listed in this section shall not be
refundable.
B. Registration of practitioner.
1. Initial registration
|
$50
|
2. Annual renewal of
registration
|
$50
|
3. Replacement of registration
for a qualifying practitioner whose information has changed or whose original
registration certificate has been lost, stolen, or destroyed
|
$50
|
C. Registration by a qualifying patient or by a parent or
legal guardian.
1. Initial registration
|
$50
|
2. Annual renewal of
registration
|
$50
|
3. Replacement of registration
for a qualifying patient or parent or legal guardian whose information has
changed or whose original registration certificate has been lost, stolen, or
destroyed
|
$50
|
D. Pharmaceutical processor permit.
1. Application
|
$10,000
|
2. Initial permit
|
$60,000
|
3. Annual renewal of permit
|
$10,000
|
4. Change of name of processor
|
$100
|
5. Change of PIC or any other
information provided on the permit application
|
$100
|
6. Any acquisition, expansion,
remodel, or change of location requiring an inspection
|
$1,000
|
7. Reinspection fee
|
$1,000
|
Part II
Requirements for Practitioners and Patients
18VAC110-60-30. Requirements for practitioner issuing a
certification.
A. Prior to issuing a certification for cannabidiol oil or
THC-A oil for the treatment or to alleviate symptoms of intractable epilepsy,
the practitioner shall meet the requirements of § 54.1-3408.3 of the Code,
shall submit an application and fee as prescribed in 18VAC110-60-20, and shall
be registered with the board.
B. A practitioner issuing a certification shall:
1. Conduct an assessment and evaluation of the patient in
order to develop a treatment plan for the patient, which shall include an
examination of the patient and the patient's medical history, prescription
history, and current medical condition, including an in-person physical
examination;
2. Diagnose the patient as having intractable epilepsy;
3. Be of the opinion that the potential benefits of
cannabidiol oil or THC-A oil would likely outweigh the health risks of such use
to the qualifying patient;
4. Explain proper administration and the potential risks
and benefits of the cannabidiol oil or THC-A oil to the qualifying patient
and, if the qualifying patient lacks legal capacity, to a parent or legal
guardian prior to issuing the written certification;
5. Be available or ensure that another practitioner, as
defined in § 54.1-3408.3 of the Code, is available to provide follow-up care
and treatment to the qualifying patient, including physical examinations, to
determine the efficacy of cannabidiol oil or THC-A oil for treating the
intractable epilepsy;
7. Comply with generally accepted standards of medical
practice, except to the extent such standards would counsel against certifying
a qualifying patient for cannabidiol oil or THC-A oil;
8. Maintain medical records for all patients for whom the
practitioner has issued a certification in accordance with 18VAC85-20-26; and
9. Be registered with and able to access the Virginia
Prescription Monitoring Program.
C. Patient care and evaluation shall not occur by
telemedicine for at least the first year of certification. Thereafter, the
practitioner shall use his professional judgment to determine the manner and
frequency of patient care and evaluation.
D. A practitioner shall not delegate the responsibility of
diagnosing a patient or determining whether a patient should be issued a
certification. Employees under the direct supervision of the practitioner may
assist with preparing a certification, so long as the final certification is
approved and signed by the practitioner before it is issued to the patient.
E. The practitioner shall provide instructions for the use
of cannabidiol oil or THC-A oil to the patient, or parent or guardian, as
applicable, and shall also securely transmit such instructions to the permitted
pharmaceutical processor.
F. A practitioner shall not issue certifications for
cannabidiol oil or THC-A oil to more than 600 patients at any given time.
However, the practitioner may petition the Board of Pharmacy and Board of
Medicine for an increased number of patients for whom certifications may be
issued, upon submission of evidence that the limitation represents potential
patient harm.
G. Upon request, a practitioner shall make a copy of
medical records available to an agent of the Board of Medicine or Board of
Pharmacy for the purpose of enabling the board to ensure compliance with the
law and regulations or to investigate a possible violation.
18VAC110-60-40. Prohibited practices for practitioners.
A. A practitioner who issues certifications shall not:
1. Directly or indirectly accept, solicit, or receive
anything of value from any person associated with a pharmaceutical processor or
provider of paraphernalia;
2. Offer a discount or any other thing of value to a
qualifying patient, parent, or guardian based on the patient's agreement or
decision to use a particular pharmaceutical processor or cannabidiol oil or
THC-A oil product;
3. Examine a qualifying patient for purposes of diagnosing
intractable epilepsy at a location where cannabidiol oil or THC-A oil is
dispensed or produced; or
4. Directly or indirectly benefit from a patient obtaining
a certification. Such prohibition shall not prohibit a practitioner from
charging an appropriate fee for the patient visit.
B. A practitioner who issues certifications, and such
practitioner's coworker, employee, spouse, parent, or child, shall not have a
direct or indirect financial interest in a pharmaceutical processor or any
other entity that may benefit from a qualifying patient's acquisition,
purchase, or use of cannabidiol oil or THC-A oil, including any formal or
informal agreement whereby a pharmaceutical processor or other person provides
compensation if the practitioner issues a certification for a qualifying
patient or steers a qualifying patient to a specific pharmaceutical processor
or cannabidiol oil or THC-A oil product.
C. A practitioner shall not issue a certification for
himself or for family members, employees, or coworkers.
D. A practitioner shall not provide product samples
containing cannabidiol oil or THC-A oil other than those approved by the U.S.
Food and Drug Administration.
18VAC110-60-50. Registration of a patient, parent, or legal
guardian.
A. A qualifying patient for whom a practitioner has issued
a certification, and, if such patient is a minor or an incapacitated adult, the
qualifying patient's parent or legal guardian shall register with the board in
accordance with this section. For a registration application to be considered
complete, the following items shall be submitted:
1. A copy of the certification issued by a registered
practitioner;
2. Proof of residency of the qualifying patient and proof
of residency of a parent or legal guardian, if applicable, such as a
government-issued identification card or tax receipt;
3. Proof of identity of the qualifying patient and, if the
patient is a minor, proof of identity of the parent or legal guardian in the
form of a government-issued identification card;
4. Proof of the qualifying patient's age in the form of a
birth certificate or other government-issued identification;
5. Payment of the appropriate fees; and
6. Such other information as the board may require to
determine the applicant's suitability for registration or to protect public
health and safety.
B. A qualifying patient shall not be issued a written
certification by more than one practitioner during a given time period.
C. Patients, parents, and legal guardians issued a
registration shall carry their registration with them whenever they are in
possession of cannabidiol oil or THC-A oil.
18VAC110-60-60. Denial of a qualifying patient, parent, or
legal guardian registration application.
A. The board may deny an application or renewal of the
registration of a qualifying patient, parent, or legal guardian if the
applicant:
1. Does not meet the requirements set forth in law or
regulation or fails to provide complete information on the application form;
2. Does not provide acceptable proof of identity,
residency, or age of the patient to the board;
3. Provides false, misleading, or incorrect information to
the board;
4. Has had a qualifying registration of a qualifying
patient, parent, or legal guardian denied, suspended, or revoked by the board
in the previous six months;
5. Has a certification issued by a practitioner who is not
authorized to certify patients for cannabidiol oil or THC-A oil; or
6. Has a prior conviction of a violation of any law
pertaining to controlled substances.
B. If the board denies an application or renewal of a
qualifying patient applicant or parent or legal guardian applicant, the board
shall provide the applicant with notice of the grounds for the denial and shall
inform the applicant of the right to request a hearing pursuant to § 2.2-4019
of the Code.
18VAC110-60-70. Reporting requirements for practitioners,
patients, parents, or legal guardians.
A. A practitioner shall report to the board, on a form
prescribed by the board, the death of a registered patient or a change in
status involving a registered patient for whom the practitioner has issued a
certification if such change affects the patient's continued eligibility to use
cannabidiol oil or THC-A oil, or the practitioner's inability to continue
treating the patient. A practitioner shall report such death, change of status,
or inability to continue treatment not more than 15 days after the practitioner
becomes aware of such fact.
B. A patient, parent, or legal guardian who has been
issued a registration shall notify the board of any change in the information
provided to the board not later than 15 days after such change. The patient,
parent, or legal guardian shall report changes that include a change in name,
address, contact information, medical status of the patient, or change of the
certifying practitioner. The patient, parent, or legal guardian shall report
such changes on a form prescribed by the board.
C. If a patient, parent, or legal guardian notifies the
board of any change that results in information on the patient, parent, or
legal guardian's registration being inaccurate, the patient, parent, or legal
guardian shall submit the fee for a replacement registration. Upon receipt of a
new registration, the qualifying patient, parent, or legal guardian shall
destroy in a nonrecoverable manner the registration that was replaced.
D. If a patient, parent, or legal guardian becomes aware
of the loss, theft, or destruction of the registration of such patient, parent,
or legal guardian, the patient, parent, or legal guardian shall notify the
board not later than five business days after becoming aware of the loss,
theft, or destruction, and submit the fee for a replacement registration. The
board shall inactivate the initial registration upon receiving such notice and
issue a replacement registration upon receiving the applicable fee, provided
the applicant continues to satisfy the requirements of law and regulation.
18VAC110-60-80. Proper storage and disposal of cannabidiol
oil or THC-A oil by patients, parents, or legal guardians.
A. A registered patient, parent, or legal guardian shall
exercise reasonable caution to store cannabidiol oil or THC-A oil in a manner
to prevent theft, loss, or access by unauthorized persons.
B. A registered patient, parent, or legal guardian shall
dispose of all usable cannabidiol oil or THC-A oil in the registered patient,
parent, or legal guardian's possession no later than 10 calendar days after the
expiration of the patient's registration if such registration is not renewed,
or sooner should the patient no longer wish to possess cannabidiol oil or THC-A
oil. A registered patient, parent, or legal guardian shall complete such
disposal by one of the following methods:
1. By removing the oil from the original container and
mixing it with an undesirable substance such as used coffee grounds, dirt, or
kitty litter. The mixture shall be placed in a sealable bag, empty can, or
other container to prevent the drug from leaking or breaking out of a garbage
bag.
2. By transferring it to law enforcement via a medication
drop-box or drug take-back event, if permissible under state and federal law.
18VAC110-60-90. Revocation or suspension of a qualifying
patient, parent, or legal guardian registration.
The board may revoke or suspend the registration of a
patient, a parent, or a legal guardian under the following circumstances:
1. The patient's practitioner notifies the board that the
practitioner is withdrawing the written certification submitted on behalf of
the patient, and 30 days after the practitioner's withdrawal of the written
certification, the patient has not obtained a valid written certification from
a different practitioner;
2. The patient, parent, or legal guardian provided false,
misleading, or incorrect information to the board;
3. The patient, parent, or legal guardian is no longer a
resident of Virginia;
4. The patient, parent, or legal guardian obtained more
than a one-month supply of cannabidiol oil or THC-A oil in a one-month period;
5. The patient, parent, or legal guardian provided or sold
cannabidiol oil or THC-A oil to any person, including another registered
patient, parent, or legal guardian;
6. The patient, parent, or legal guardian permitted another
person to use the patient, parent, or legal guardian's registration;
7. The patient, parent, or legal guardian tampered,
falsified, altered, modified, or allowed another person to tamper, falsify,
alter, or modify the patient, parent, or legal guardian's registration;
8. The patient, parent, or legal guardian's registration
was lost, stolen, or destroyed, and the patient, parent, or legal guardian
failed to notify the board or notified the board of such incident more than
five business days after becoming aware that the registration was lost, stolen,
or destroyed;
9. The patient, parent, or legal guardian failed to notify
the board of a change in registration information or notified the board of such
change more than 14 days after the change; or
10. The patient, parent, or legal guardian violated any
federal or state law or regulation.
Part III
Application and Approval Process for Pharmaceutical Processors
18VAC110-60-100. Publication of notice for submission of
applications.
A. The board shall publish a notice of open applications
for pharmaceutical processor permits. Such notice shall include information on
how to obtain and complete an application, the required fees, the criteria for
issuance of a permit, and the deadline for receipt of applications.
B. The board shall have the right to amend the notice of
open applications prior to the deadline for submitting an application. Such
amended notice shall be published in the same manner as the original notice of
open applications.
C. The board shall have the right to cancel a notice of
open applications prior to the award of a pharmaceutical processor permit.
18VAC110-60-110. Application process for pharmaceutical
processor permits.
A. The application process for permits shall occur in
three stages: submission of initial application, awarding of conditional approval,
and granting of a pharmaceutical processor permit.
B. Submission of initial application.
1. A pharmaceutical processor permit applicant shall submit
the required application fee and form with the following information and
documentation:
a. The name and address of the applicant and the
applicant's owners;
b. The location within the health service area established
by the State Board of Health for the pharmaceutical processor that is to be
operated under such permit;
c. Detailed information regarding the applicant's financial
position, indicating all assets, liabilities, income, and net worth, to
demonstrate the financial capacity of the applicant to build and operate a
facility to cultivate Cannabis plants intended only for the production and dispensing
of cannabidiol oil and THC-A oil pursuant to §§ 54.1-3442.6 and
54.1-3442.7 of the Code of Virginia, which may include evidence of an escrow
account, letter of credit, or performance surety bond;
d. Details regarding the applicant's plans for security to
maintain adequate control against the diversion, theft, or loss of the Cannabis
plants and the cannabidiol oil or THC-A oil;
e. Documents sufficient to establish that the applicant is
authorized to conduct business in Virginia and that all applicable state and
local building, fire, and zoning requirements and local ordinances are met or
will be met prior to issuance of a permit;
f. Information necessary for the board to conduct a
criminal background check on owners and any other person who is employed by or
acts as an agent of the proposed pharmaceutical processor;
g. Information about any previous or current involvement in
the medical cannabidiol oil or THC-A oil industry;
h. Whether the person has ever applied for a permit or
registration related to medical cannabidiol oil or THC-A oil in any state and,
if so, the status of that application, permit, or registration, to include any
disciplinary action taken by any state on the permit, the registration, or an
associated license;
i. Any business and marketing plans related to the
operation of the pharmaceutical processor or the sale of cannabidiol oil or
THC-A oil;
j. Text and graphic materials showing the exterior
appearance of the proposed pharmaceutical processor;
k. A blueprint of the proposed pharmaceutical processor,
which shall show and identify the square footage of each area of the facility,
to include the location of all safes or vaults used to store the Cannabis
plants and oils and the location of all areas that may contain Cannabis plants,
cannabidiol oil, or THC-A oil, showing the placement of walls, partitions,
counters, and all areas of ingress and egress;
l. Documents related to any compassionate need program the
pharmaceutical processor intends to offer;
m. Information about the applicant's expertise in
agriculture and other production techniques required to produce cannabidiol oil
or THC-A oil and to safely dispense such products; and
n. Such other documents and information required by the
board to determine the applicant's suitability for permitting or to protect
public health and safety.
2. In the event any information contained in the
application or accompanying documents changes after being submitted to the
board, the applicant shall immediately notify the board in writing and provide
corrected information in a timely manner so as not to disrupt the permit
selection process.
3. The board shall conduct criminal background checks on
the owner or owners and may verify information contained in each application
and accompanying documentation in order to assess the applicant's ability to
operate a pharmaceutical processor.
C. In the event the board determines that there are no
qualified applicants to award conditional approval for a pharmaceutical
processor permit in a health service area, the board may republish, in
accordance with 18VAC110-60-100, a notice of open applications for
pharmaceutical processor permits.
D. No person who has been convicted of a felony or of any
offense in violation of Article 1 (§ 18.2-247 et seq.) or Article 1.1 (§ 18.2-265.1
et seq.) of Chapter 7 of Title 18.2 of the Code of Virginia shall have any form
of ownership, be employed by, or act as an agent of a pharmaceutical processor.
18VAC110-60-120. Conditional approval.
A. Following the deadline for receipt of applications, the
board shall evaluate each complete and timely submitted application and may
grant conditional approval on a competitive basis based on compliance with
requirements set forth in 18VAC110-60-110.
B. The board shall consider, but is not limited to, the
following criteria in evaluating pharmaceutical processor permit applications:
1. The results of the criminal background checks required
in 18VAC110-60-110 B 3 or any history of disciplinary action imposed by a state
or federal regulatory agency;
2. The location for the proposed pharmaceutical processor,
which shall not be within 1,000 feet of a school or daycare;
3. The applicant's ability to maintain adequate control
against the diversion, theft, and loss of the Cannabis, to include the seeds,
any parts or extracts of the Cannabis plants, the cannabidiol oil, or THC-A
oil;
4. The applicant's ability to maintain the knowledge,
understanding, judgment, procedures, security controls, and ethics to ensure
optimal safety and accuracy in the dispensing and sale of cannabidiol oil or
THC-A oil;
5. The extent to which the applicant or any of the
applicant's pharmaceutical processor owners have a financial interest in
another license, permit, registrant, or applicant; and
6. Any other reason provided by state or federal statute or
state or federal regulation that is not inconsistent with the law and
regulations regarding pharmaceutical processors.
B. The board may disqualify any applicant who:
1. Submits an incomplete, false, inaccurate, or misleading
application;
2. Fails to submit an application by the published
deadline;
3. Fails to pay all applicable fees; or
4. Fails to comply with all requirements for a
pharmaceutical processor.
C. Following review, the board shall notify applicants of
denial or conditional approval. The decision of the board not to grant
conditional approval to an applicant shall be final.
D. If granted conditional approval, an applicant shall
have one year from date of notification to complete all requirements for
issuance of a permit to include employment of a PIC and other personnel
necessary for operation of a pharmaceutical processor, the construction or
remodeling of a facility, installation of equipment, and securing local zoning
approval.
18VAC110-60-130. Granting of a pharmaceutical processor
permit.
A. The board may issue a pharmaceutical processor permit
when all requirements of the board have been met to include:
1. Designation of a PIC;
2. Evidence of criminal background checks for all employees
and agents of the processor to ensure compliance with § 54.1-3442.6 of the
Code;
3. Evidence of utilization of an electronic tracking
system; and
4. A satisfactory inspection of the facility conducted by
the board or its agents.
B. The permit shall not be awarded until any deficiencies
identified by inspectors have been corrected and the facility has been
satisfactorily reinspected, if warranted.
C. Before any permit is issued, the applicant shall attest
to compliance with all state and local laws and ordinances. A pharmaceutical processor
permit shall not be issued to any person to operate from a private dwelling or
residence.
D. If an applicant has been awarded a pharmaceutical
processor permit and has not commenced operation of such facility within 180
days of being notified of the issuance of a pharmaceutical processor permit,
the board may rescind such permit, unless such delay was caused by
circumstances beyond the control of the permit holder.
E. A pharmaceutical processor shall be deemed to have
commenced operation if Cannabis plants are under cultivation by the processor
in accordance with the approved application.
F. In the event a permit is rescinded pursuant to this
subsection, the board may award a pharmaceutical processor permit by
selecting among the qualified applicants who applied for the pharmaceutical
processor permit subject to rescission. If no other qualified applicant
applied for such pharmaceutical processor permit satisfied the
criteria for awarding a permit, the board shall publish, in accordance with
this section, a notice of open applications for a pharmaceutical processor
permit.
G. Once the permit is issued, Cannabis may not be grown or
held in the pharmaceutical processor earlier than two weeks prior to the
opening date designated on the application. Once Cannabis has been placed in
the pharmaceutical processor, a pharmacist shall be present during hours of
operation to ensure the safety, security, and integrity of the Cannabis. If
there is a change in the designated opening date, the pharmaceutical processor
shall notify the board office, and a pharmacist shall continue to be on site on
a daily basis.
18VAC110-60-140. Notification of changes by pharmaceutical
processor.
A. Unless otherwise provided in law or regulation, the PIC
designated on the application to be in full and actual charge of the
pharmaceutical processor shall provide any notification or information that is
required from a pharmaceutical processor.
B. Prior to making any change to the pharmaceutical
processor name, the pharmaceutical processor shall submit an application for
such change to the board and pay the fee.
C. Any person wishing to engage in the acquisition of an
existing pharmaceutical processor, change the location of an existing
pharmaceutical processor, make structural changes to an existing pharmaceutical
processor, or make changes to a previously approved security system shall
submit an application to the board and pay the required fee.
1. The proposed location or structural changes shall be
inspected by an authorized agent of the board prior to issuance of a permit.
2. Cannabis shall not be moved to a new location
until approval is granted by the inspector or board staff.
18VAC110-60-150. Pharmaceutical processor closings; going
out of business; change of ownership.
A. At least 30 days prior to the date a pharmaceutical
processor closes, either temporarily or permanently, the owner shall:
1. Notify the board;
2. Send written notification to patients with current
certification; and
3. Post a notice on the window or door of the
pharmaceutical processor.
B. The proposed disposition of all Cannabis, dispensing
records, patient information records, and other required records shall be
reported to the board. If the Cannabis and records are to be transferred to another
processor located in Virginia, the owner shall inform the board and the
patients and include on the public notice the name and address of the processor
to whom the Cannabis and records are being transferred and the date of
transfer.
C. Exceptions to the public notice shall be approved by
the board and may include sudden closing due to fire, destruction, natural
disaster, death, property seizure, eviction, bankruptcy, or other emergency
circumstances. If the pharmaceutical processor is not able to meet the
notification requirements, the owner shall ensure that the board and public are
properly notified as soon as he knows of the closure and shall disclose the
emergency circumstances preventing the notification within the required
deadlines.
D. In the event of an exception to the notice, the PIC or
owner shall provide notice as far in advance of closing as allowed by the
circumstances.
E. At least 14 days prior to any change in ownership of an
existing pharmaceutical processor, the owner shall notify the board of the
pending change.
1. Upon any change in ownership of an existing
pharmaceutical processor, the dispensing records for the two years immediately
preceding the date of change of ownership and other required patient
information shall be provided to the new owners on the date of change of
ownership in substantially the same format as previously used immediately prior
to the transfer to provide continuity of services.
2. The previous owner shall be held responsible for
assuring the proper and lawful transfer of records on the date of the transfer.
18VAC110-60-160. Grounds for action against a pharmaceutical
processor permit.
In addition to the bases enumerated in § 54.1-3316 of the
Code of Virginia, the board may suspend, revoke, or refuse to grant or
renew a permit issued, or place such permit on probation, place conditions on
such permit, or take other actions permitted by statute or regulation on the
following grounds:
1. Any criminal conviction under federal or state statutes
or regulations or local ordinances, unless the conviction was based on a
federal statute or regulation related to the possession, purchase, or sale of
cannabidiol oil or THC-A oil that is authorized under state law and
regulations;
2. Any civil action under any federal or state statute or
regulation or local ordinance (i) relating to the applicant's, licensee's,
permit holder's, or registrant's profession or (ii) involving drugs, medical
devices, or fraudulent practices, including fraudulent billing practices;
3. Failure to maintain effective controls against
diversion, theft, or loss of Cannabis, cannabidiol oil or THC-A oil, or other
controlled substances;
4. Intentionally, or through negligence, obscuring,
damaging, or defacing a permit or registration card;
5. Permitting another person to use the permit of a permit
holder or registration of a qualifying patient, parent, or legal guardian;
6. Failure to cooperate or give information to the board on
any matter arising out of conduct at a pharmaceutical processor; or
7. Discontinuance of business for more than 60 days, unless
the board approves an extension of such period for good cause shown, upon a
written request from a pharmaceutical processor. Good cause includes exigent
circumstances that necessitate the closing of the facility. Good cause shall
not include a voluntary closing of the pharmaceutical processor or production
facility.
Part IV
Requirements for Pharmaceutical Processor Personnel
18VAC110-60-170. Pharmaceutical processor employee licenses
and registrations.
A. A pharmacist with a current, unrestricted license
issued by the board, practicing at the location of the address on the
pharmaceutical processor application shall be in full and actual charge of a
pharmaceutical processor and serve as the pharmacist-in-charge.
B. A pharmacist with a current, unrestricted license
issued by the board shall provide personal supervision on the premises of the
pharmaceutical processor at all times during hours of operation or whenever the
processor is being accessed.
C. No person shall perform the following duties under
pharmacist supervision without maintaining a current, unrestricted registration
as a pharmacy technician pursuant to § 54.1-3321 of the Code of Virginia
and having been registered with the board or registered or certified by the
board of another United States jurisdiction as a pharmacy technician for the
previous two years:
1. The entry of drug dispensing information and drug
history into a data system or other recordkeeping system;
2. The preparation of labels for dispensing the oils or
patient information;
3. The removal of the oil to be dispensed from inventory;
4. The measuring of the oil to be dispensed;
5. The packaging and labeling of the oil to be dispensed
and the repackaging thereof;
6. The stocking or loading of devices used in the
dispensing process;
7. The selling of the oil to the registered patient,
parent, or legal guardian;
8. The performance of any other task restricted to pharmacy
technicians by the board's regulations.
D. A pharmacist with a current, unrestricted license or a
pharmacy technician with a current, unrestricted registration issued by the
board may perform duties associated with the cultivation, extraction, and
dispensing of the oils, as authorized by the PIC or as otherwise authorized in
law.
E. Persons who do not maintain licensure as a pharmacist
or registration as a pharmacy technician but have received a degree in
horticulture or have at least two years of experience cultivating plants may
perform duties associated with the cultivation of Cannabis, as authorized by
the PIC.
F. Persons who do not maintain licensure as a pharmacist
or registration as a pharmacy technician, but have received a degree in
chemistry or pharmacology or have at least two years of experience extracting
chemicals from plants may perform duties associated with the extraction of
cannabidiol oil and THC-A oil, as authorized by the PIC.
G. A pharmacist on duty shall directly supervise the
activities in all areas designated for cultivation, extraction, and dispensing
or have a process in place, approved by the board, that provides adequate
supervision to protect the security of the Cannabis, seeds, extracts,
cannabidiol oil, and THC-A oil and ensure quality of the dispensed oils.
H. At no time shall a pharmaceutical processor operate or
be accessed without a pharmacist on duty.
I. No person shall be employed by or serve as an agent of
a pharmaceutical processor without being at least 18 years of age.
J. No person who has had a license or registration
suspended or revoked or been denied issuance of such license or registration
shall serve as an employee or agent of the pharmaceutical processor.
18VAC110-60-180. Employee training.
A. All employees of a pharmaceutical processor shall
complete training, prior to the employee commencing work at the pharmaceutical
processor, at a minimum, in the following:
1. The proper use of security measures and controls that
have been adopted for the prevention of diversion, theft, or loss of Cannabis,
to include the seeds, any parts or extracts of the Cannabis plants, cannabidiol
oil, and THC-A oil;
2. Procedures and instructions for responding to an
emergency;
3. Professional conduct, ethics, and state and federal
statutes and regulations regarding patient confidentiality; and
4. Developments in the field of the medical use of
cannabidiol oil or THC-A oil.
B. Prior to regular performance of assigned tasks, the
employee shall also receive on-the-job training and other related education,
which shall be commensurate with the tasks assigned to the employee.
C. The PIC shall assure the continued competency of all
employees through continuing in-service training designed to supplement initial
training, which shall include any guidance specified by the board.
D. The PIC shall be responsible for maintaining a written
record documenting the initial and continuing training of all employees, which
shall contain:
1. The name of the person receiving the training;
2. The dates of the training;
3. A general description of the topics covered;
4. The name of the person supervising the training; and
5. The signatures of the person receiving the training and
the PIC.
E. When a change of pharmaceutical processor PIC occurs,
the new PIC shall review the training record and sign it, indicating that the
new PIC understands its contents.
F. A pharmaceutical processor shall maintain the record
documenting the employee training and make it available in accordance with
regulations.
18VAC110-60-190. Pharmacy technicians; ratio; supervision
and responsibility.
A. The ratio of pharmacy technicians to pharmacists
on-duty in the areas of a pharmaceutical processor designated for production or
dispensing shall not exceed four pharmacy technicians to one pharmacist.
B. The pharmacist providing direct supervision of pharmacy
technicians may be held responsible for the pharmacy technicians' actions. Any
violations relating to the dispensing of cannabidiol oil or THC-A oil resulting
from the actions of a pharmacy technician shall constitute grounds for action
against the license of the pharmacist and the registration of the pharmacy
technician. As used in this subsection, "direct supervision" means a
supervising pharmacist who:
1. Is on duty where the pharmacy technician is performing
routine cannabidiol oil or THC-A oil production or dispensing functions; and
2. Conducts in-process and final checks on the pharmacy
technician's performance.
C. Pharmacy technicians shall not:
1. Counsel a registered patient or the patient's parent or legal
guardian regarding cannabidiol oil, THC-A oil, or other drugs, either before or
after cannabidiol oil or THC-A oil has been dispensed, or regarding any medical
information contained in a patient medication record;
2. Consult with the practitioner who certified the
qualifying patient, or the practitioner's agent, regarding a patient or any
medical information pertaining to the patient's cannabidiol oil or THC-A oil or
any other drug the patient may be taking;
3. Interpret the patient's clinical data or provide medical
advice;
4. Determine whether a different formulation of cannabidiol
oil or THC-A oil should be substituted for the cannabidiol oil or THC-A oil
product or formulation recommended by the practitioner or requested by the
registered patient or parent or legal guardian; or
5. Communicate with a practitioner who certified a
registered patient, or the practitioner's agent, to obtain a clarification on a
qualifying patient's written certification or instructions.
18VAC110-60-200. Responsibilities of the PIC.
A. No person shall be PIC for more than one pharmaceutical
processor at any time. A processor shall employ the PIC at the pharmaceutical
processor for at least 35 hours per week, except as otherwise authorized by the
board.
B. The PIC or the pharmacist on duty shall control all
aspects of the practice of the pharmaceutical processor. Any decision
overriding such control of the PIC or other pharmacist on duty may be grounds
for disciplinary action against the pharmaceutical processor permit.
C. The pharmaceutical processor PIC shall be responsible
for ensuring that:
1. Pharmacy technicians are registered and all employees
are properly trained;
2. All record retention requirements are met;
3. All requirements for the physical security of the Cannabis,
to include the seeds, any parts or extracts of the Cannabis plants, the
cannabidiol oil, and THC-A oil are met;
4. The pharmaceutical processor has appropriate
pharmaceutical reference materials to ensure that cannabidiol oil or THC-A oil
can be properly dispensed;
5. The following items are conspicuously posted in the
pharmaceutical processor in a location and in a manner so as to be clearly and
readily identifiable to registered patients, parents, or legal guardians:
a. Pharmaceutical processor permit;
b. Licenses for all pharmacists practicing at the
pharmaceutical processor; and
c. The price of all cannabidiol oil or THC-A oil products
offered by the pharmaceutical processor; and
6. Any other required filings or notifications are made on
behalf of the processor as set forth in regulation.
D. When the PIC ceases practice at a pharmaceutical
processor or no longer wishes to be designated as PIC, he shall immediately
return the pharmaceutical processor permit to the board indicating the
effective date on which he ceased to be the PIC.
E. An outgoing PIC shall have the opportunity to take a
complete and accurate inventory of all Cannabis, to include plants, extracts,
cannabidiol oil, or THC-A oil on hand on the date he ceases to be the PIC,
unless the owner submits written notice to the board showing good cause as to
why this opportunity should not be allowed.
F. A PIC who is absent from practice for more than 30
consecutive days shall be deemed to no longer be the PIC. If the PIC knows of
an upcoming absence of longer than 30 days, he shall be responsible for
notifying the board and returning the permit. For unanticipated absences by the
PIC, which exceed 15 days with no known return date within the next 15 days,
the permit holder shall immediately notify the board and shall obtain a new
PIC.
G. An application for a permit designating the new PIC
shall be filed with the required fee within 15 days of the original date of
resignation or termination of the PIC on a form provided by the board. It shall
be unlawful for a pharmaceutical processor to operate without a new permit past
the 15-day deadline unless the board receives a request for an extension prior
to the deadline. The executive director for the board may grant an extension
for up to an additional 14 days for good cause shown.
Part V
Operation of a Pharmaceutical Processor
18VAC110-60-210. General provisions.
A. A pharmaceutical processor shall sell cannabidiol oil
or THC-A oil only in a child-resistant, secure, and light-resistant container.
Upon a written request from the registered patient, parent, or legal guardian,
the oil may be dispensed in a non-child-resistant container so long as all
labeling is maintained with the product.
B. Only a pharmacist may dispense cannabidiol oil or THC-A
oil to registered patients or parents or legal guardians of patients who are
minors or incapacitated adults and who are registered with the board. A
pharmacy technician who meets the requirements of 18VAC110-60-170 C may assist,
under the direct supervision of a pharmacist, in the dispensing and selling of
cannabidiol oil or THC-A oil.
C. The PIC or pharmacist on duty shall restrict access to
the pharmaceutical processor to:
1. Such persons whose responsibilities necessitate access
to the pharmaceutical processor and then for only as long as necessary to
perform the person's job duties; or
2. Such person who is a registered patient, parent, or
legal guardian, in which case such person shall not be permitted behind the
service counter or in other areas where Cannabis plants, extracts, cannabidiol
oil, or THC-A oil is stored.
D. All pharmacists and pharmacy technicians shall, at all
times while at the pharmaceutical processor, have their current license or
registration available for inspection by the board or the board's agent.
E. While inside the pharmaceutical processor, all
pharmaceutical processor employees shall wear name tags or similar forms of
identification that clearly identify them, including their position at the
pharmaceutical processor.
F. A pharmaceutical processor shall be open for registered
patients, parents, or legal guardians to purchase cannabidiol oil or THC-A oil
products for a minimum of 35 hours a week, except as otherwise authorized by
the board.
G. A pharmaceutical processor that closes during its
normal hours of operation shall implement procedures to notify registered
patients, parents, and legal guardians of when the pharmaceutical processor
will resume normal hours of operation. Such procedures may include telephone
system messages and conspicuously posted signs. If the pharmaceutical processor
is, or will be, closed during its normal hours of operation for longer than two
business days, the pharmaceutical processor shall immediately notify the board.
H. A pharmacist shall counsel registered patients,
parents, and legal guardians regarding the use of cannabidiol oil or THC-A oil.
Such counseling shall include information related to safe techniques for proper
use and storage of cannabidiol oil or THC-A oil;
I. The pharmaceutical processor shall establish,
implement, and adhere to a written alcohol-free, drug-free, and smoke-free work
place policy, which shall be available to the board or the board's agent upon
request.
18VAC110-60-220. Pharmaceutical processor prohibitions.
A. No pharmaceutical processor shall:
1. Cultivate Cannabis plants, produce, or dispense
cannabidiol oil or THC-A oil in any place except the approved facility at the
address of record on the application for the pharmaceutical processor permit;
2. Sell, deliver, transport, or distribute Cannabis,
including cannabidiol oil or THC-A oil, to any other facility;
3. Produce or manufacture cannabidiol oil or THC-A oil for
use outside of Virginia; or
4. Provide cannabidiol oil or THC-A oil samples.
B. No pharmaceutical processor shall be open or in
operation, and no person shall be in the pharmaceutical processor, unless a
pharmacist is on the premises and directly supervising the activity within the
pharmaceutical processor. At all other times, the pharmaceutical processor
shall be closed and properly secured.
C. No pharmaceutical processor shall sell anything other
than cannabidiol oil or THC-A oil products from the pharmaceutical processor.
D. A pharmaceutical processor shall not market or
advertise cannabidiol oil or THC-A oil products, except it may post the
following information on websites:
1. Name and location of the processor;
2. Contact information for the processor;
3. Hours and days the pharmaceutical processor is open for
dispensing cannabidiol oil or THC-A oil products;
4. Laboratory results; and
5. Directions to the processor facility.
E. No cannabidiol oil or THC-A oil shall be consumed on
the premises of a pharmaceutical processor, except for emergency administration
to a registered patient.
F. No person except a pharmaceutical processor employee or
a registered patient, parent, or legal guardian shall be allowed on the
premises of a processor with the following exceptions: laboratory staff may
enter a processor for the sole purpose of identifying and collecting Cannabis,
cannabidiol oil, or THC-A oil samples for purposes of conducting laboratory
tests; the board or the board's authorized representative may waive the
prohibition upon prior written request.
G. All persons who have been authorized, in writing, to
enter the facility by the board or the board's authorized representative shall
obtain a visitor identification badge from a pharmaceutical processor employee,
prior to entering the pharmaceutical processor.
1. An employee shall escort and monitor such a visitor at
all times the visitor is in the pharmaceutical processor.
2. A visitor shall visibly display the visitor
identification badge at all times the visitor is in the pharmaceutical
processor and shall return the visitor identification badge to a pharmaceutical
processor employee upon exiting the pharmaceutical processor.
3. All visitors shall log in and out. The pharmaceutical
processor shall maintain the visitor log, which shall include the date, time,
and purpose of the visit, and that shall be available to the board.
4. If an emergency requires the presence of a visitor and
makes it impractical for the pharmaceutical processor to obtain a waiver from
the board, the processor shall provide written notice to the board as soon as
practicable after the onset of the emergency. Such notice shall include the
name and company affiliation of the visitor, the purpose of the visit, and the
date and time of the visit. A pharmaceutical processor shall monitor the
visitor and maintain a log of such visit as required by this subsection.
H. No cannabidiol oil or THC-A oil shall be sold,
dispensed, or distributed via a delivery service or any other manner outside of
a pharmaceutical processor, except that a registered parent or legal guardian
may deliver cannabidiol oil or THC-A oil to the registered patient.
I. Notwithstanding the requirements of subsection E of
this section, an agent of the board, local law enforcement or other federal,
state, or local government officials may enter any area of a pharmaceutical
processor if necessary to perform their governmental duties.
18VAC110-60-230. Inventory requirements.
A. Each pharmaceutical processor, prior to commencing business,
shall:
1. Conduct an initial comprehensive inventory of all
Cannabis plants, including the seeds, parts of plants, extracts, cannabidiol
oil, and THC-A oil at the facility. The inventory shall include, at a minimum,
the date of the inventory, a summary of the inventory findings, and the name,
signature, and title of the pharmacist or pharmacy technician who conducted the
inventory. If a facility commences business with no Cannabis on hand, the
pharmacist shall record this fact as the initial inventory; and
2. Establish ongoing inventory controls and procedures for
the conduct of inventory reviews and comprehensive inventories of all Cannabis
plants, including the seeds, parts of plants, extracts, cannabidiol oil, and
THC-A oil, which shall enable the facility to detect any diversion, theft, or
loss in a timely manner.
B. Upon commencing business, each pharmaceutical processor
and production facility shall conduct a weekly inventory of all Cannabis
plants, including the seeds, parts of plants, cannabidiol oil, and THC-A oil in
stock, which shall include, at a minimum, the date of the inventory, a summary
of the inventory findings, and the name, signature, and title of the pharmacist
or pharmacy technician who conducted the inventory. The record of all cannabidiol
oil and THC-A oil sold, dispensed, or otherwise disposed of shall show the date
of sale, the name of the pharmaceutical processor, registered patient, parent,
or legal guardian to whom the cannabidiol oil or THC-A oil was sold, the
address of such person, and the kind and quantity of cannabidiol oil or THC-A
oil sold.
C. A complete and accurate record of all Cannabis plants,
including the seeds, parts of plants, cannabidiol oil, and THC-A oil on hand
shall be prepared annually on the anniversary of the initial inventory or such
other date that the PIC may choose, so long as it is not more than one year
following the prior year's inventory.
D. All inventories, procedures, and other documents
required by this section shall be maintained on the premises and made available
to the board or its agent.
E. Inventory records shall be maintained for three years
from the date the inventory was taken.
F. Whenever any sample or record is removed by a person
authorized to enforce state or federal law for the purpose of investigation or
as evidence, such person shall tender a receipt in lieu thereof and the receipt
shall be kept for a period of at least three years.
18VAC110-60-240. Security requirements.
A. A pharmaceutical processor shall initially cultivate
only the number of Cannabis plants necessary to produce cannabidiol oil or
THC-A oil for the number of patients anticipated within the first three months
of operation. Thereafter, the processor shall:
1. Not maintain more than four Cannabis plants per patient at
any given time based on dispensing data from the previous 30 days;
2. Not maintain cannabidiol oil or THC-A oil in excess of
the quantity required for normal, efficient operation;
3. Maintain all Cannabis plants, seeds, parts of plants,
extracts, cannabidiol oil, and THC-A oil in a secure area or location
accessible only by the minimum number of authorized employees essential for
efficient operation;
4. Store all cut parts of Cannabis plants, extracts,
cannabidiol oil, or THC-A oil in an approved safe or approved vault within the
pharmaceutical processor and shall not sell cannabidiol oil or THC-A oil
products when the pharmaceutical processor is closed;
5. Keep all approved safes, approved vaults, or any other
approved equipment or areas used for the production, cultivation, harvesting,
processing, manufacturing, or storage of cannabidiol oil or THC-A oil securely
locked or protected from entry, except for the actual time required to remove
or replace the Cannabis, seeds, parts of plants, extracts, cannabidiol oil, or
THC-A oil;
6. Keep all locks and security equipment in good working
order;
7. Restrict access to keys or codes to all safes, approved
vaults, or other approved equipment or areas to pharmacists practicing at the
pharmaceutical processor; and
8. Not allow keys to be left in the locks or accessible to
nonpharmacists.
B. The pharmaceutical processor shall have an adequate
security system to prevent and detect diversion, theft, or loss of Cannabis
seeds, plants, extracts, cannabidiol oil, or THC-A oil. A device for the
detection of breaking and a back-up alarm system with an ability to remain
operational during a power outage shall be installed in each pharmaceutical
processor. The installation and the device shall be based on accepted alarm industry
standards and shall be subject to the following conditions:
1. The device shall be a sound, microwave, photoelectric,
ultrasonic, or any other generally accepted and suitable device;
2. The device shall be monitored in accordance with
accepted industry standards, maintained in operating order, have an auxiliary
source of power, and be capable of sending an alarm signal to the monitoring
entity when breached if the communication line is not operational;
3. The device shall fully protect the entire processor
facility and shall be capable of detecting breaking by any means when
activated;
4. The device shall include a duress alarm, a panic alarm,
and automatic voice dialer; and
5. Access to the alarm system for the pharmaceutical
processor shall be restricted to the pharmacists working at the pharmaceutical
processor and the system shall be activated whenever the pharmaceutical
processor is closed for business.
C. A pharmaceutical processor shall keep the outside
perimeter of the premises well-lit. A processor shall have video cameras in all
areas that may contain Cannabis plants, seeds, parts of plants, extracts,
cannabidiol oil, or THC-A oil and at all points of entry and exit, which shall
be appropriate for the normal lighting conditions of the area under
surveillance.
1. The processor shall direct cameras at all approved
safes, approved vaults, dispensing areas, cannabidiol oil, or THC-A oil sales
areas and any other area where Cannabis plants, seeds, extracts, cannabidiol
oil, or THC-A oil are being produced, harvested, manufactured, stored, or
handled. At entry and exit points, the processor shall angle cameras so as to
allow for the capture of clear and certain identification of any person
entering or exiting the facility;
2. The video system shall have:
a. A failure notification system that provides an audible,
text, or visual notification of any failure in the surveillance system. The
failure notification system shall provide an alert to the processor within five
minutes of the failure, either by telephone, email, or text message;
b. The ability to immediately produce a clear color still
photo that is a minimum of 9600 dpi from any camera image (live or recorded);
c. A date and time stamp embedded on all recordings. The
date and time shall be synchronized and set correctly and shall not
significantly obscure the picture; and
d. The ability to remain operational during a power outage;
3. All video recording shall allow for the exporting of
still images in an industry standard image format. Exported video shall have
the ability to be archived in a proprietary format that ensures authentication
of the video and guarantees that no alteration of the recorded image has taken
place. Exported video shall also have the ability to be saved in an industry standard
file format that can be played on a standard computer operating system. A
pharmaceutical processor shall erase all recordings prior to disposal or sale
of the facility; and
4. The processor shall make 24-hour recordings from all
video cameras available for immediate viewing by the board or the board's agent
upon request and shall retain the recordings for at least 30 days. If a
processor is aware of a pending criminal, civil, or administrative
investigation or legal proceeding for which a recording may contain relevant
information, it shall retain an unaltered copy of the recording until the
investigation or proceeding is closed or the entity conducting the
investigation or proceeding notifies the pharmaceutical processor PIC that it
is not necessary to retain the recording.
D. The processor shall maintain all security system
equipment and recordings in a secure location so as to prevent theft, loss,
destruction, or alterations. All security equipment shall be maintained in good
working order and shall be tested no less than two times per year.
E. A pharmaceutical processor shall limit access to
surveillance areas to persons who are essential to surveillance operations,
law-enforcement agencies, security system service employees, the board or
the board's agent, and others when approved by the board. A processor shall
make available a current list of authorized employees and security system
service employees who have access to the surveillance room to the processor.
The pharmaceutical processor shall keep all onsite surveillance rooms locked
and shall not use such rooms for any other function.
F. If diversion, theft, or loss of Cannabis plants, seeds,
parts of plants, extracts, cannabidiol oil, or THC-A oil has occurred from a
pharmaceutical processor, the board may require additional safeguards to ensure
the security of the products.
18VAC110-60-250. Requirements for the storage and handling
of Cannabis, cannabidiol oil, or THC-A oil.
A. A pharmaceutical processor shall:
1. Have storage areas that provide adequate lighting,
ventilation, sanitation, temperature, and humidity as defined in 18VAC110-60-10
and space, equipment, and security conditions for the cultivation of Cannabis,
and the production and dispensing of cannabidiol oil or THC-A oil;
2. Separate for storage in a quarantined area Cannabis
plants, seeds, parts of plants, extracts, including cannabidiol oil or THC-A
oil, that is outdated, damaged, deteriorated, misbranded, or adulterated, or
whose containers or packaging have been opened or breached, until such Cannabis
plants, seeds, parts of plants, extracts, cannabidiol oil, or THC-A oil is
destroyed;
3. Be maintained in a clean, sanitary, and orderly
condition; and
4. Be free from infestation by insects, rodents, birds, or
vermin of any kind.
B. A processor shall compartmentalize all areas in the
facility based on function and shall restrict access between compartments. The
processor shall establish, maintain, and comply with written policies and
procedures regarding best practices for the secure and proper cultivation of
Cannabis and production of cannabidiol oil or THC-A oil. These shall include
policies and procedures that:
1. Restrict movement between compartments;
2. Provide for different colored identification cards for
facility employees based on the compartment to which they are assigned at a
given time so as to ensure that only employees necessary for a particular
function have access to that compartment of the facility;
3. Require pocketless clothing for all production facility
employees working in an area containing Cannabis plants, seeds, and extracts,
including cannabidiol oil or THC-A oil; and
4. Document the chain of custody of all Cannabis plants,
parts of plants, seeds, extracts, cannabidiol oil, and THC-A oil products.
C. The PIC shall establish, maintain, and comply with
written policies and procedures for the cultivation, production, security,
storage, and inventory of Cannabis, including seeds, parts of plants, extracts,
cannabidiol oil, and THC-A oil. Such policies and procedures shall include
methods for identifying, recording, and reporting diversion, theft, or loss,
and for correcting all errors and inaccuracies in inventories. Pharmaceutical
processors shall include in their written policies and procedures, a process
for the following:
1. Handling mandatory and voluntary recalls of cannabidiol
oil or THC-A oil. Such process shall be adequate to deal with recalls due to
any action initiated at the request of the board and any voluntary action by
the pharmaceutical processor to remove defective or potentially defective
cannabidiol oil or THC-A oil from the market or any action undertaken to
promote public health and safety by replacing existing cannabidiol oil or THC-A
oil with improved products or packaging;
2. Preparing for, protecting against, and handling any
crises that affect the security or operation of any facility in the event of
strike, fire, flood, or other natural disaster, or other situations of local,
state, or national emergency;
3. Ensuring that any outdated, damaged, deteriorated,
misbranded, or adulterated Cannabis, including seeds, parts of plants,
extracts, cannabidiol oil, and THC-A oil, is segregated from all other
Cannabis, seeds, parts of plants, extracts, cannabidiol oil, and THC-A oil and
destroyed. This procedure shall provide for written documentation of the
Cannabis, including seeds, parts of plants, extracts, cannabidiol oil, and
THC-A oil disposition; and
4. Ensuring the oldest stock of Cannabis, including seeds,
parts of plants, extracts, cannabidiol oil, and THC-A oil product is used
first. The procedure may permit deviation from this requirement, if such
deviation is temporary and appropriate.
D. The processor shall store all Cannabis, including
seeds, parts of plants, extracts, cannabidiol oil, and THC-A oil, in the
process of production, transfer, or analysis in such a manner as to prevent
diversion, theft, or loss; shall make Cannabis, including the seeds, parts of
plants, extracts, cannabidiol oil, and THC-A oil accessible only to the minimum
number of specifically authorized employees essential for efficient operation;
and shall return the aforementioned items to their secure location immediately
after completion of the production, transfer, or analysis process or at the end
of the scheduled business day. If a production process cannot be completed at
the end of a working day, the pharmacist shall securely lock the processing
area or tanks, vessels, bins, or bulk containers containing Cannabis, including
the seeds, parts of plants, extracts, cannabidiol oil, and THC-A oil, inside an
area or building that affords adequate security.
18VAC110-60-260. Recordkeeping requirements.
A. If a pharmaceutical processor uses an electronic
system for the storage and retrieval of patient information or other records
related to cultivating, producing, and dispensing cannabidiol oil or THC-A oil,
the pharmaceutical processor shall use a system that:
1. Guarantees the confidentiality of the information
contained therein;
2. Is capable of providing safeguards against erasures and
unauthorized changes in data after the information has been entered and
verified by the pharmacist; and
3. Is capable of being reconstructed in the event of a
computer malfunction or accident resulting in the destruction of the data bank.
B. All records relating to the inventory, laboratory
results, and dispensing shall be maintained for a period of three years and
shall be made available to the board upon request.
18VAC110-60-270. Reportable events; security.
A. Upon becoming aware of diversion, theft, loss,
discrepancies identified during inventory, or unauthorized destruction of any
cannabidiol oil or THC-A oil or of any loss or unauthorized alteration of
records related to cannabidiol oil or THC-A oil or qualifying patients, a
pharmacist or pharmaceutical processor shall immediately notify appropriate
law-enforcement authorities and the board.
B. A pharmacist or processor shall provide the notice
required by subsection A of this section to the board by way of a signed
statement that details the circumstances of the event, including an accurate
inventory of the quantity and brand names of cannabidiol oil or THC-A oil
diverted, stolen, lost, destroyed, or damaged and confirmation that the local
law-enforcement authorities were notified. A pharmacist or processor shall make
such notice no later than 24 hours after discovery of the event.
C. A pharmacist or pharmaceutical processor shall notify
the board no later than the next business day, followed by written notification
no later than 10 business days, of any of the following:
1. An alarm activation or other event that requires a
response by public safety personnel;
2. A breach of security;
3. The failure of the security alarm system due to a loss
of electrical support or mechanical malfunction that is expected to last longer
than eight hours; and
4. Corrective measures taken, if any.
Part VI
Cultivation, Production, and Dispensing of Cannabidiol Oil or THC-A Oil
18VAC110-60-280. Cultivation and production of cannabidiol
oil or THC-A oil.
A. No cannabidiol oil or THC-A oil shall have had
pesticide chemicals or petroleum-based solvents used during the cultivation,
extraction, production, or manufacturing process, except that the board may
authorize the use of pesticide chemicals for purposes of addressing an
infestation that could result in a catastrophic loss of Cannabis crops.
B. Cultivation methods for Cannabis plants and extraction
methods used to produce the cannabidiol oil and THC-A shall be performed in a
manner deemed safe and effective based on current standards or scientific
literature.
C. Any Cannabis plant, seed, parts of plant, extract,
cannabidiol oil, or THC-A oil not in compliance with this section shall be
deemed adulterated.
18VAC110-60-290. Labeling of batch of cannabidiol oil or THC-A
oil products.
A. Cannabidiol oil or THC-A oil produced for dispensing
shall not be adulterated and shall be:
1. Processed, packaged, and labeled according to the Food
and Drug Administration's Current Good Manufacturing Practice in Manufacturing,
Packaging, Labeling, or Holding Operations for Dietary Supplements," 21
CFR Part 111; and
2. Labeled with the results of an active ingredient
analysis, a microbiological contaminants analysis, a mycotoxin analysis, a
heavy metal analysis, and a pesticide chemical residue analysis that have been
completed on a batch basis by a laboratory.
B. The pharmaceutical processor shall assign a name to
each cannabidiol oil or THC-A oil product and associate each name with a
specific laboratory test that includes a terpenes profile and a list of all
active ingredients, including:
1. Tetrahydrocannabinol (THC);
2. Tetrahydrocannabinol acid (THC-A); and
3. Cannabidiol (CBD).
C. The pharmaceutical processor shall not label two
cannabidiol oil or THC-A oil products with the same name unless the laboratory
test results for each product indicate that they contain the same level of each
active ingredient listed in subsection A of this section within a range of 97%
to 103%.
D. The pharmaceutical processor shall not name a batched product
that:
1. Is identical to, or confusingly similar to, the name of
an existing noncannabidiol oil or THC-A oil product;
2. Is identical to, or confusingly similar to, the name of
an unlawful product or substance;
3. Is confusingly similar to the name of another
cannabidiol oil or THC-A oil product name;
4. Is obscene or indecent;
5. May encourage the use of cannabidiol oil or THC-A oil
for recreational purposes;
6. May encourage the use of cannabidiol oil or THC-A oil
for a condition other than intractable epilepsy;
7. Is customarily associated with persons younger than the
age of 18 years; or
8. Is related to the benefits, safety, or efficacy of the
cannabidiol oil or THC-A oil product unless supported by substantial evidence
or substantial clinical data.
E. A pharmaceutical processor shall label each cannabidiol
oil or THC-A oil product prior to dispensing by a pharmacist and shall securely
affix to the package a label that states in legible English:
1. The name of the cannabidiol oil or THC-A oil;
2. A unique serial number that will match the product with
a pharmaceutical processor batch and lot number so as to facilitate any
warnings or recalls the board or pharmaceutical processor deem appropriate;
3. The date of final testing and packaging;
4. An appropriate expiration date, not to exceed six
months;
5. The quantity of cannabidiol oil or THC-A oil contained
therein;
6. A terpenes profile and a list of all active ingredients,
including:
a. Tetrahydrocannabinol (THC);
b. Tetrahydrocannabinol acid (THC-A); and
c. Cannabidiol (CBD); and
7. A pass or fail rating based on the laboratory's
microbiological, mycotoxins, heavy metals, and chemical residue analysis.
F. A pharmaceutical processor shall not label cannabidiol
oil or THC-A oil products as "organic" unless the Cannabis plants
have been organically grown and the cannabidiol oil or THC-A oil products have
been produced, processed, manufactured, and certified to be consistent with
organic standards in compliance with 7 CFR Part 205.
18VAC110-60-300. Laboratory requirements; testing.
A. No pharmaceutical processor shall utilize a laboratory
to handle, test, or analyze cannabidiol oil or THC-A oil unless such
laboratory:
1. Is independent from all other persons involved in the
cannabidiol oil or THC-A oil industry in Virginia, which shall mean that no
person with a direct or indirect interest in the laboratory shall have a direct
or indirect financial interest in a pharmacist, pharmaceutical processor,
certifying practitioner, or any other entity that may benefit from the
production, manufacture, dispensing, sale, purchase, or use of cannabidiol oil
or THC-A oil; and
2. Has employed at least one person to oversee and be
responsible for the laboratory testing who has earned, from a college or
university accredited by a national or regional certifying authority, at least
a master's level degree in chemical or biological sciences and a minimum of two
years of post-degree laboratory experience or a bachelor's degree in biological
sciences and a minimum of four years of post-degree laboratory experience.
B. Immediately prior to producing any cannabidiol oil or
THC-A oil product, a pharmaceutical processor shall segregate all harvested
Cannabis into homogenized batches. A pharmaceutical processor shall make a sample
available from each batch for a laboratory to test for microbiological
contaminants, mycotoxins, heavy metals, and pesticide chemical residue, and for
purposes of conducting an active ingredient analysis.
C. From the time that a batch of Cannabis has been
homogenized for sample testing and eventual packaging, until the laboratory
provides the results from its tests and analysis, the pharmaceutical processor
shall segregate and withhold from use the entire batch of Cannabis, except the
samples that have been removed by the laboratory for testing. During this
period of segregation, the pharmaceutical processor shall maintain the Cannabis
in a secure, cool, and dry location so as to prevent the Cannabis from becoming
contaminated or losing its efficacy.
D. Under no circumstances shall a pharmaceutical processor
include Cannabis in a cannabidiol oil or THC-A oil product or sell it prior to
the time that the laboratory has completed its testing and analysis and
provided those results, in writing, to the pharmaceutical processor or other
designated facility employee.
E. The processor shall require the laboratory to
immediately return or properly dispose of any Cannabis upon the completion of
any testing, use, or research.
F. If a sample of Cannabis does not pass the
microbiological, mycotoxin, heavy metal, or pesticide chemical residue test
based on the standards set forth in this subsection, the pharmaceutical
processor shall dispose of the entire batch from which the sample was taken.
1. For purposes of the microbiological test, a cannabidiol
oil or THC-A oil sample shall be deemed to have passed if it satisfies the
standards set forth in Section 1111 of the United States Pharmacopeia.
2. For purposes of the mycotoxin test, a Cannabis sample
shall be deemed to have passed if it meets the following standards:
Test Specification
|
|
Aflatoxin B1
|
<20 uG/KG of Substance
|
Aflatoxin B2
|
<20 uG/KG of Substance
|
Aflatoxin O1
|
<20 uG/KG of Substance
|
Aflatoxin O2
|
<20 uG/KG of Substance
|
Ochratoxin A
|
<20 uG/KG of Substance
|
3. For purposes of the heavy metal test, a Cannabis sample
shall be deemed to have passed if it meets the following standards:
Metal
|
Natural Health Products Acceptable Limits uG/KG BW/Day
|
Arsenic
|
<0.14
|
Cadmium
|
<0.09
|
Lead
|
<0.29
|
Mercury
|
<0.29
|
4. For purposes of the pesticide chemical residue test, a
Cannabis sample shall be deemed to have passed if it satisfies the most
stringent acceptable standard for a pesticide chemical residue in any food item
as set forth in Subpart C of the federal Environmental Protection Agency's
regulations for Tolerances and Exemptions for Pesticide Chemical Residues in
Food, 40 CFR Part 180.
G. If a sample of Cannabis passes the microbiological,
mycotoxin, heavy metal, and pesticide chemical residue test, the entire batch may
be utilized by the processor for immediate manufacturing, packaging and
labeling for sale.
H. The processor shall require the laboratory to file with
the board an electronic copy of each laboratory test result for any batch that
does not pass the microbiological, mycotoxin, heavy metal, or pesticide
chemical residue test at the same time that it transmits those results to the
pharmaceutical processor. In addition, the laboratory shall maintain the
laboratory test results and make them available to the board or an agent of the
board.
I. Each pharmaceutical processor shall have such
laboratory results available upon request to registered patients, parents, or
legal guardians and registered practitioners who have certified qualifying
patients.
18VAC110-60-310. Dispensing of cannabidiol oil or THC-A oil.
A. A pharmacist, in good faith, may dispense cannabidiol
oil or THC-A oil to any registered patient, parent, or legal guardian as
indicated on the written certification. A pharmacist or pharmacy technician
shall require the presentation of a current registration for the patient and
parent or legal guardian, if applicable, current written certification and
current valid photographic identification issued to a registered patient,
parent, or legal guardian, prior to selling oil to such registered patient,
parent, or legal guardian. The pharmacist or pharmacy technician shall verify
in the prescription monitoring program or other program recognized by the board
that the registrations are current, the written certification has not expired,
and the date and quantity of the last dispensing of cannabidiol oil or THC-A
oil to the registered patient.
B. A pharmacist may dispense a portion of a registered
patient's one-month supply of cannabidiol oil or THC-A oil. The pharmacist may
dispense the remaining portion of the one-month supply of cannabidiol oil or
THC-A oil at any time except that no registered patient, parent, or legal
guardian shall receive more than a one-month supply of cannabidiol oil or THC-A
oil in a one-month period from any pharmaceutical processor.
C. A dispensing record shall be maintained for three years
from the date of dispensing, and the pharmacist or pharmacy technician under
the direct supervision of the pharmacist shall affix a label to the container
of oil which contains:
1. A serial number assigned to the dispensing of the oil;
2. The name or kind of cannabidiol oil or THC-A oil and its
strength;
3. The serial number assigned to the oil during production;
4. The date of dispensing the cannabidiol oil or THC-A oil;
5. The quantity of cannabidiol oil or THC-A oil dispensed,
which cannot exceed 20 fluid ounces;
6. The name and registration number of the registered
patient;
7. The name and registration number of the certifying
practitioner;
8. Such directions for use as may be included in the
practitioner's written certification or otherwise provided by the practitioner;
9. The name or initials of the dispensing pharmacist;
10. Name, address, and telephone number of the
pharmaceutical processor;
11. Any cautionary statement as may be necessary; and
12. A prominently printed expiration date based on the
pharmaceutical processor's recommended conditions of use and storage that can
be read and understood by the ordinary individual.
D. The dispensed cannabidiol oil or THC-A oil shall be
dispensed in child-resistant packaging, except as provided in 18VAC110-60-210
A. A package shall be deemed child-resistant if it satisfies the standard for
"special packaging" as set forth in the Poison Prevention Packaging
Act of 1970 Regulations, 16 CFR 1700.1(b)(4).
E. No person except a pharmacist, or a pharmacy technician
operating under the direct supervision of a pharmacist, shall alter, deface, or
remove any label so affixed.
F. A pharmacist shall be responsible for verifying the
accuracy of the dispensed oil in all respects prior to dispensing and shall
document that each verification has been performed.
G. A pharmacist shall document a registered patient's
self-assessment of the effects of cannabidiol oil or THC-A oil in treating the
registered patient's intractable epilepsy or the symptoms thereof. A
pharmaceutical processor shall maintain such documentation in writing or
electronically for two years from the date of dispensing and such documentation
shall be made available in accordance with regulation.
H. A pharmacist shall exercise professional judgment to
determine whether to dispense cannabidiol oil or THC-A oil to a registered
patient, parent, or legal guardian if the pharmacist suspects that dispensing
cannabidiol oil or THC-A oil to the registered patient, parent, or legal
guardian may have negative health or safety consequences for the registered
patient or the public.
18VAC110-60-320. Dispensing error review and reporting;
quality assurance program.
A. A pharmaceutical processor shall implement and comply
with a quality assurance program that describes, in writing, policies and
procedures to detect, identify, and prevent dispensing errors. A pharmaceutical
processor shall distribute it to all pharmaceutical processor employees and
shall make it readily available on the premises of the pharmaceutical
processor. Such policies and procedures shall include:
1. Directions for communicating the details of a dispensing
error to the practitioner who certified a qualifying patient and to the
qualifying patient, the patient's parent or legal guardian or appropriate
family member if the patient is deceased or is unable to fully comprehend the
communication. Such communication shall describe methods of correcting the
dispensing error or reducing the negative impact of the error on the qualifying
patient; and
2. A process to document and assess dispensing errors to
determine the cause of the error and an appropriate response.
B. A pharmaceutical processor shall use the findings of
its quality assurance program to develop systems and workflow processes
designed to prevent dispensing errors. A pharmaceutical processor PIC shall:
1. Inform pharmaceutical processor employees of changes to
policy, procedure, systems, or processes made as a result of recommendations
generated by the quality assurance program;
2. Notify all processor employees that the discovery or
reporting of a dispensing error shall be relayed immediately to a pharmacist on
duty;
3. Ensure that a pharmacist performs a quality assurance
review for each dispensing error. A pharmacist shall commence such review as
soon as is reasonably possible, but no later than two business days from the
date the dispensing error is discovered; and
4. Create a record of every quality assurance review. This
record shall contain at least the following:
a. The date or dates of the quality assurance review and
the names and titles of the persons performing the review;
b. The pertinent data and other information relating to the
dispensing error reviewed;
c. Documentation of contact with the registered patient,
parent, or legal guardian where applicable, and the practitioner who certified
the patient;
d. The findings and determinations generated by the quality
assurance review; and
e. Recommended changes to pharmaceutical processor policy,
procedure, systems, or processes, if any.
C. A pharmaceutical processor
shall maintain for three years a copy of the pharmaceutical processor's quality
assurance program and records of all reported dispensing errors and quality
assurance reviews in an orderly manner and filed by date.
18VAC110-60-330. Disposal of cannabidiol oil or THC-A oil.
A. To mitigate the risk of diversion, a pharmaceutical
processor, an agent of the board, or the board's agent shall routinely and
promptly dispose of undesired, excess, unauthorized, obsolete, adulterated,
misbranded, or deteriorated Cannabis plants, including seeds, parts of plants,
extracts, cannabidiol oil, or THC-A oil by disposal in the presence of an agent
of the board in such a manner as to render the cannabidiol oil or THC-A oil
nonrecoverable.
B. The person disposing of the cannabidiol oil or THC-A
oil shall maintain and make available a separate record of each such disposal
indicating:
1. The date and time of disposal;
2. The manner of disposal;
3. The name and quantity of cannabidiol oil or THC-A oil
disposed of; and
4. The signatures of the persons disposing of the
cannabidiol oil or THC-A oil, the agent of the board, and any other persons present
during the disposal.
C. The record of disposal shall be maintained at the
pharmaceutical processor for three years from the date of disposal.
VA.R. Doc. No. R17-4878; Filed July 7, 2017, 7:32 a.m.
TITLE 19. PUBLIC SAFETY
DEPARTMENT OF STATE POLICE
Final Regulation
REGISTRAR'S NOTICE: The
Department of State Police is claiming an exemption from the Administrative
Process Act pursuant to § 2.2-4002 B 6 of the Code of Virginia, which
exempts agency action relating to customary military, naval, or police
functions.
Title of Regulation: 19VAC30-70. Motor Vehicle Safety
Inspection Regulations (amending 19VAC30-70-1, 19VAC30-70-6,
19VAC30-70-9.1, 19VAC30-70-10, 19VAC30-70-20, 19VAC30-70-30, 19VAC30-70-50,
19VAC30-70-160).
Statutory Authority: § 46.2-1165 of the Code of
Virginia.
Effective Date: September 8, 2017.
Agency Contact: Kirk Marlowe, Regulatory Coordinator,
Department of State Police, 7700 Midlothian Turnpike, Chesterfield, VA 23235,
telephone (804) 674-2000, FAX (804) 674-8531, or email
kirk.marlowe@vsp.virginia.gov.
Summary:
The amendments update the Motor Vehicle Safety Inspection
Rules and Regulations by making technical corrections and other revisions to
comply with changes in Virginia law.
Part I
Administration of Virginia's Official Motor Vehicle Inspection Program
19VAC30-70-1. Purpose and authority.
The Virginia Virginia's Official Motor Vehicle
Inspection Program was developed and adopted to promote highway safety. The
program model is based on the National Highway Traffic Safety Administration
Federal Motor Vehicle Safety Standards. Vehicles submitted for inspection must
be compliant with Federal Motor Vehicle Safety Standards applicable on the date
of manufacture. Its aim The goal of the Official Motor Vehicle
Inspection Program is to assure that all Virginia registered
vehicles are mechanically safe to operate over the highways of the
Commonwealth.
The rules and regulations governing the Official Motor
Vehicle Inspection Program are contained in the Official Motor Vehicle Safety
Inspection Manual. These rules and regulations are promulgated under the
authority of Chapter 10 (§ 46.2-1000 et seq.) of Title 46.2 of the Code of
Virginia. All official inspection stations shall comply with these rules and
regulations, issuing approval certificates only to those vehicles which the
inspections shall determine to be in compliance with those rules and
regulations.
These rules and regulations are intended to ensure a uniform
system of corrective action for those who violate the rules and regulations of
the Official Motor Vehicle Inspection Program.
The Official Motor Vehicle Safety Inspection Manual covers
administrative procedure as well as numerous vehicular safety items of varying
importance. It is, therefore, necessary that the various sections of the manual
be divided into categories of seriousness. This will provide a uniform system
of corrective action for the certified inspector mechanics and the inspection
stations.
19VAC30-70-6. Class IV offenses.
Class IV offenses are those violations considered so
critically important to the integrity and credibility of the Official Annual
Motor Vehicle Inspection Program as to require immediate and severe
disciplinary action. The following violations and actions shall be considered a
Class IV offense:
1. Loss of driver's license, with the exception of an
administrative court-ordered suspension that does not exceed seven days.
2. Obvious usage of either alcohol and/or or
drugs by an employee associated with the Annual Motor Vehicle Inspection
Program.
3. Loss of inspection stickers through neglect or subsequent
violations of subsection K of 19VAC30-70-10.
4. Improper use of inspection supplies such as placement on a
vehicle that has not been inspected or failure to affix the inspection sticker
to the vehicle in its proper location, after inspection.
5. Falsifying inspection receipts or inspection records.
6. Giving false information during an inspection complaint
investigation.
7. Performing either an inspection or inspections at a station
without authority from the safety officer.
8. The arrest of any person associated with the inspection
program for a criminal offense or the institution of civil action of a nature
that would tend to immediately reflect upon the integrity and reputation of the
Department of State Police may be grounds for an immediate suspension until
final court disposition. The conviction for such a of any
criminal offense or a civil judgment or bankruptcy may result in a suspension
or revocation of the inspector or station appointment, or both.
9. The use of profanity or verbal abuse directed at customers
presenting their vehicles for inspection by inspectors, managers or business
owners.
10. Illegal use of inspection supplies such as stealing,
selling, mailing or giving away, shall be grounds for revocation.
11. Nonpayment of inspection fees.
12. Conduct displayed by station owners and/or,
managers, or safety inspectors that may be rude or discourteous, or the use
of profanity and/or or verbal abuse directed at or towards Safety
Division Personnel, may be grounds for revocation.
13. Failure of any person connected with the inspection
program to immediately notify their supervising trooper or Safety
Division Area Office within 72 hours of an arrest for a criminal offense
or the institution of civil action.
14. Any misuse or falsification of the automated Motor Vehicle
Inspection Program (MVIP) system through neglect or intentionally allowing an
assigned password or personal identification number (PIN) to be used by other
persons.
15. Willfully obtaining computer services without proper
authority from the safety officer.
16. Failure to adequately explain and differentiate, both
orally and in writing, to customers what repairs are necessary to pass the
safety inspection and those repairs that are only recommended. Each station
shall explicitly (not fine print) convey to each customer when his vehicle will
be examined beyond the parameters of the state inspection and empower the
customer with the ability to decline this service.
Disciplinary action for a Class IV offense shall be immediate
suspension or revocation. A suspension shall not be less than 90 days or more
than six months. A revocation shall not be less than one year or more than three
years. Offenses are cumulative in nature and will remain active for a period of
24 months from the date of the offense. For a subsequent violation within 24
months, the suspension shall not be less than six months or more than one year.
In the case of the loss of the driver's license, the
suspension shall remain in effect until the driver's license is reinstated and
consideration for reinstatement of inspection privileges will be made at that
time.
In cases concerning nonpayment of fees when the inspection
station has been given 15 days to reply to their a final notice,
the suspension of the affected inspection station shall remain in effect until
all inspection fees are paid. Consideration for reinstatement of inspection
privileges will be made when all fees are paid. Furthermore, stations that have
not paid their processing fee after the 15-day period will not be issued any
additional inspection supplies. Supply orders may resume when the inspection
fee is paid and the station has been reinstated to an active status.
A Class IV offense in combination with three Class I
offenses, two Class II offenses, or one Class III offense shall be grounds for
no less than a 90-day or more than a six-month suspension.
19VAC30-70-9.1. Official inspection station appointment.
A. These procedures are applicable to the application process
for initial appointment, reclassification of appointment, change in ownership,
change in name, and reinstatement of the appointment for an official inspection
station following a period of suspension or revocation.
For investigations involving changes to the original report,
only those areas of inquiry which have changed need to be reported.
For changes in station name, location, and classification
only, a narrative report is not required. These requests may be reported on the
Form SP-164. This report should include information pertinent to the change. A
statement should be included to report verification of information contained in
the station's new application for appointment.
1. Any garage or other facility that routinely performs motor
vehicle, motorcycle, or trailer repairs may apply to the Department of State
Police in writing for appointment as an Official Safety Inspection Station.
a. The Department of State Police will forward an application
package to the applicant.
b. The application form or forms are to be completed and
returned to the Department of State Police for supervising trooper
processing the application within 45 days.
c. The application shall include the names, addresses, email
addresses, telephone numbers, dates of birth, and social security numbers for
the applicant and each person who will supervise or otherwise participate in
the program. Each person will also be required to execute an Authorization for
Release of Information Form and a Criminal History Record Request (Form
SP-167). When a corporation with other established inspection stations is
applying for an additional location, it shall not be necessary for the
corporate officers to complete the Form SP-167 or undergo the usual background
investigation. In these situations, the Department of State Police is only
concerned with the personnel who will be responsible for handling and securing
the safety inspection supplies.
2. Each inspection station application will be reviewed and
the applicant must meet the following criteria:
a. The facility must have been in business at its present
location for a minimum of six months.
(1) This requirement will not apply to a change in location
for a previously appointed station or a change in ownership which does not
affect the station's ability to perform safety inspections.
(2) This requirement will not apply to a repair garage that is
an established business and is expanding its mechanical convenience to the
general public by the addition of other repair locations.
(3) This requirement will not apply to a business license as a
franchised dealer of new vehicles.
b. The facility must perform motor vehicle, motorcycle, or
trailer repairs routinely.
c. The station must have on hand or be willing to purchase the
necessary equipment as identified by the Department of State Police for
performing safety inspections.
d. The station must employ or be willing to employ at least
one full time safety inspector with the appropriate license for the desired
station's classification.
e. The facility's physical plant must meet the specific
standards for the station classification for which the appointment is required.
3. Each applicant station must undergo a background
investigation to determine if the business and associated personnel meet the
following minimum criteria:
a. A review of the history of management and all persons
employed who will participate in the inspection program must reflect general
compliance with all federal, state, and local laws.
b. The character, attitude, knowledge of safety inspection
requirements, mechanical ability, and experience of each individual who will
perform or supervise safety inspections must be satisfactory.
c. The applicant and all participants must be familiar with
and agree to comply with the Official Motor Vehicle Inspection Manual. Each
vehicle presented for safety inspection must be inspected in strict compliance
with the Code of Virginia and the Official Motor Vehicle Inspection Manual.
d. The business establishment must be financially stable. Its
future existence should not be dependent upon appointment as an inspection
station. The applicant and all persons to be associated with the inspection
program must be in compliance with any judgment order or meeting all financial
obligations, or both. The applicant and all persons to be associated with the
inspection program must be in good financial standing for a period of at least
one year.
4. Each business must agree to provide the necessary space,
equipment, and personnel to conduct inspections as required by the Department
of State Police. Facilities and equipment will be maintained in a manner
satisfactory to the superintendent. All safety inspectors will read and be thoroughly
familiar with the instructions furnished for Official Inspection Stations and
agree to abide by these instructions and to carefully inspect every motor
vehicle, trailer, and semi-trailer presented for inspection as required by the
Official Motor Vehicle Safety Inspection Manual. Businesses must operate
inspection stations in strict accordance with the Code of Virginia and the
Official Motor Vehicle Inspection Manual. The appointment of an inspection
station may be canceled at any time by the superintendent and will be
automatically canceled if any change in address, name, or ownership is made
without proper notification.
5. Any applicant whose application is rejected or withdrawn
may not reapply sooner than six months from the date he is notified of the
rejection of their his application or from the date the
application is withdrawn.
6. Each business to be appointed will be assigned one of 11
classifications based upon the physical plant specifications or other criteria
as follows:
a. Unlimited: The inspection lane shall be level or on the
same plane and in good condition for 60 feet. The front portion of the lane
shall be level or on the same plane for a minimum of 40 feet. The entrance
shall be at least 13-1/2 feet in height and no less than nine feet in width.
(Space should be adequate to allow a tractor truck towing a 53-foot trailer
access to the inspection lane.)
b. Small exemption: The inspection lane shall be level or on
the same plane for 40 feet. The entrance opening shall be at least 10 feet in
height, eight feet in width, and adequate to accommodate vehicles 40 feet in
length. Any vehicle exceeding 10 feet in height may be inspected if the
building entrance will allow such vehicle to completely enter the designated
inspection lane.
c. Large exemption: The inspection lane shall be level or on
the same plane and in good condition for 60 feet. The front portion of the lane
shall be level or on the same plane for a minimum of 40 feet. The entrance
shall be at least 13-1/2 feet in height and no less than nine feet in width.
(Space should be adequate to allow a tractor truck towing a 53-foot trailer
access to the inspection lane.) This classification is required to inspect only
vehicles with a GVWR exceeding 10,000 pounds.
d. Motorcycle: The inspection lane shall be level or on the
same plane. The entrance shall be adequate to accommodate the motorcycle and
the operator.
e. Unlimited trailer: The inspection lane shall be reasonably
level and in good condition for 60 feet. The entrance shall be at least 13-1/2
feet in height and no less than nine feet in width. This classification is
required to inspect all trailers.
f. Small trailer exemption: The inspection lane shall be
reasonably level and in good condition for 40 feet. The entrance shall be at
least 10 feet in height and adequate to accommodate trailers 40 feet in length.
This classification is required to inspect only those trailers not exceeding 40
feet in length or 10 feet in height measured to the highest part of the trailer
but not including racks, air conditioners, antennas, etc.
g. Large trailer exemption: The inspection lane shall be
reasonably level and in good condition for 60 feet. The entrance shall be at
least 13-1/2 feet in height and adequate to accommodate all legal size
trailers. This classification is required to inspect only property-carrying
trailers exceeding 10 feet in height or 40 feet in length.
h. Safety and emissions: The inspection lane shall be level or
on the same plane. The lane must accommodate most passenger cars and light
trucks. The emissions equipment must be placed in the lane at a location to
allow the inspected vehicle to be positioned with all four wheels on the floor
or on an above-ground ramp on a plane to the floor to accommodate headlight
aiming and other required inspection procedures. Any above-ground structure
must be constructed so as to permit proper steering, suspension, brake, and
undercarriage inspection as outlined in the Official Motor Vehicle Safety
Inspection Manual. A list of local inspection stations that can accommodate
vehicles that cannot be safety inspected due to the pretenses of emissions
equipment must be maintained and available for customers. A "bottle"
jack or other appropriate lifting equipment may be used for safety inspection
on above-ground structures.
i. Private station: The inspection lane shall be level or on
the same plane. The entrance and size must be adequate to accommodate any
vehicle in the fleet. An applicant who owns and operates less than 20 vehicles
will not be considered.
j. Private station (fleet service contractor): The inspection
lane shall be level or on the same plane. The entrance and size must be
adequate to accommodate any vehicle in the fleet to be inspected. This
classification will permit the inspection of all vehicles that the applicant
has a written agreement to service and repair. An applicant who does not have
at least six written agreements to service private fleets with at least five
vehicles in each fleet or at least one written agreement to service a private
fleet with at least 30 vehicles in the fleet will not be considered for this
type of appointment. Vehicles not covered by a written agreement for service,
and repair other than the vehicles owned by the applicant's company or
corporation, shall not be inspected by a garage having this type of
classification.
k. Private station (government): The inspection lane shall be
level or on the same plane. The entrance and size must be adequate to
accommodate any vehicle in the fleet to be inspected. This classification will
permit the inspection of all vehicles in the government entity's fleet, the
fleet of any volunteer or paid fire department, or any other unit or agency of
the government structure having a written agreement with such governmental
entity for repair and/or, inspection service, or both. An
applicant for this classification must own or have a written agreement to
inspect 30 or more vehicles. Vehicles not owned by or covered by a written
agreement shall not be inspected by a garage having this type of
classification.
7. Classifications listed in subdivisions 6 a through 6
h of this subsection must be open to the public and have at least one safety
inspector available to perform inspections during normal business hours as set
forth in 19VAC30-70-10.
8. Private inspection station classifications may be assigned
to businesses or governmental entities with fixed garage or repair facilities
operating or contracting with vehicle fleets.
B. A representative of any official inspection station may
apply to the Department of State Police in writing to request a change of the
station's status.
1. An application form or forms will be forwarded to the
applicant.
2. The applicant will complete the application form or forms
and contact the Department of State Police in keeping with the application
instructions. Applications will include all data as set forth in this section.
3. A Safety Division trooper will be assigned to complete the
appropriate investigation to affect the change. A change in status
investigation will include:
(1) A review of the existing station file.
(2) An update of the file to include personnel, facility, or
other significant changes. Criteria for appointment and background
investigation procedures for a change in status will be in keeping with this
section.
(3) Official inspection stations will be permitted to continue
to perform safety inspections during a change of ownership investigation
provided at least one safety inspector is retained from the prior owner.
(4) If disqualifying criteria is revealed, the station's
appointment shall be canceled until final disposition of the application is
made or until issues of disqualifying criteria are resolved.
C. Once an official inspection station has been suspended,
regardless of the cause for the suspension, management may request
reinstatement up to 60 days prior to the expiration of the suspension period.
Stations whose appointments are revoked may complete the application process as
set forth for original appointments after the expiration of the period of
revocation.
1. The applicant station must submit a letter to Safety
Division Headquarters (Attention: Station Files) requesting reinstatement.
2. An application package will be forwarded to the applicant.
3. The completed application forms are to be returned to
Safety Division Headquarters (Attention: Station Files).
4. After review, the application package is forwarded to the
appropriate Safety Division Area Office for investigation.
a. The trooper assigned to the investigation will compare the
information in the new application package to the information in the existing
files.
b. The investigation will focus on any changes or
inconsistencies.
c. The applicant station must meet all criteria for
appointment as set forth in this section.
d. Any applicant whose application for reinstatement is
rejected or withdrawn may not reapply sooner than six months from the date he
is notified of the rejection or withdrawal of the application.
D. Failure to comply with the provisions of this section
shall be grounds for termination of the application process or cancellation of
the official inspection station's appointment. An applicant having an
application terminated or an official inspection station having an appointment
canceled for noncompliance may not reapply for a period of one year.
Part II
Inspection Requirements
19VAC30-70-10. Official inspection station requirements.
A. Official inspection stations, except private appointments,
shall be open at least eight hours of each normal business day and shall be
able to perform inspections 12 months throughout the year, except during
illness of limited duration or normal vacation.
1. Normal business hours, Monday through Friday, are defined
as an eight-hour period of time between 8 a.m. and 6 p.m.
2. Stations are not prohibited from performing inspections at
times other than during normal business hours.
3. A station that advertises inspections beyond normal
business hours shall be able to perform such inspections.
4. If a station desires to maintain business hours that are
different from those defined in this section, written permission must be
obtained from the safety officer and a sign setting forth the inspection hours
must be posted conspicuously at the station where it can be observed by a
person desiring to have a vehicle inspected.
B. At least one full-time safety inspector to perform
inspections and one inspection lane meeting the minimum requirements shall be
available for inspection at all times during the normal business day. All
inspections must be made only at the locations and in the inspection lane
approved by the Department of State Police. All stations shall have other
lanes, bays, or areas in which repairs can be made so the inspection lane can
remain available.
The designated inspection areas, including any location where
customers are permitted to enter when submitting vehicles for inspection, must
be kept clean and free from excessive dirt, grease, and loose materials. If
requested, customers presenting vehicles for inspection shall be allowed to
observe the inspection process from a safe location designated by the station.
C. Inspection station facilities must be properly maintained
and must present a businesslike appearance to the general public. Property
adjacent to the inspection station that is owned or controlled by the station
must be free of debris, litter, used parts and junk vehicles. Vehicles properly
contained within fenced storage areas shall be deemed to comply with this
requirement.
D. Inspections shall be performed on a first-come, first-served
basis. "First-come, first-served" means a procedure whereby customers
seeking an inspection shall be attended to in the order that they arrive to the
station. Motorists shall not be required to make an appointment to obtain an
inspection, except those appointments required by subdivision A 12 of
§ 46.2-1158.01 of the Code of Virginia. Stations that take in vehicles for
inspection at the beginning of the work day shall not be required to stop
inspecting those vehicles to provide an inspection for a drive-in request,
provided inspections are currently being performed at the time and will
continue throughout the day. Stations must maintain a procedure to validate
when vehicles were brought to the station for inspection. Inspections shall
begin concurrently with repair lanes during the station's normal business
hours, without delay. Stations may suggest to motorists a timeframe of no
greater than three hours during which it may be anticipated that an inspection
may be provided. Stations shall cooperate fully with Department of State Police
personnel regarding any issues detailed in this section, as with all other
investigations.
In addition to accepting vehicles on a first-come,
first-served basis, any official inspection station consisting of two or more
inspection lanes may accept prescheduled appointments for the safety inspection
of a motor vehicle pursuant to § 46.2-1157 of the Code of Virginia, so
long as at least one lane is reserved for the sole purpose of first-come,
first-served safety inspections. An additional certified safety inspector shall
be available to perform those inspections that are made by an appointment.
Stations shall make every effort to keep the designated
inspection lanes available. Stations with more than one repair bay shall not
perform work in the designated inspection lanes when customers are waiting for
an inspection. This will not apply to minor adjustments that require minimal
time to perform. Stations shall not let vehicles occupy the designated
inspection lanes while awaiting parts or customer authorization to complete the
inspection pursuant to 19VAC30-70-60.
A station may inquire about accepting safety inspections
by appointment. If the requirements are met, then the official inspection
station may, in addition to having one lane for the first-come, first-served
customers, also have a second inspection lane designated for customers who have
made appointments for a designated time slot. An additional certified safety
inspector shall be available to perform those inspections that are made by an
appointment. If interested, stations should first contact their supervising
trooper for specific requirements and guidelines.
E. Safety inspectors, managers who supervise inspection
activities, and business owners, through participation in the Official Motor
Vehicle Inspection Program, are representatives of the Department of State
Police and should conduct themselves in a manner to avoid controversy in
dealing with customers presenting vehicles for inspection. The use of profanity
or verbal abuse directed at customers presenting their vehicles for inspection
will be grounds for suspension from participation in the inspection program and
will be considered a Class IV offense as set forth in 19VAC30-70-6.
Controversy that cannot be calmly resolved by the safety
inspector, managers, and owners should be referred to the supervising trooper
for handling.
F. The "Certificate of Appointment" must be framed
under glass or clear plastic and posted in the customer waiting area where it
can be observed and read by a person submitting a vehicle for inspection.
Inspection stations must have garage liability insurance in
the amount of at least $500,000 with an approved surplus lines carrier or
insurance company licensed to write such insurance in this Commonwealth. This
requirement shall not apply to inspection stations that only inspect their
company-owned, government-owned, or leased vehicles.
G. The required "Official Inspection Procedure"
sheet and the "Direct Inquiries" sheet furnished to each station must
both be framed under glass or clear plastic and posted conspicuously in the
customer waiting area where they can be observed and read by a person
submitting a vehicle for inspection.
H. The poster designating the station as an official inspection
station shall be posted in a prominent location, outside or visible outside the
station, to alert passersby that inspection services are available. Private
inspection stations shall not display an outside poster.
I. Each official inspection station shall display a list with
the names and license expiration dates of all employees licensed to inspect at
that station, adjacent to the certificate of appointment. The Official Motor
Vehicle Safety Inspection Manual will be kept at or near the point of inspection
for ready reference. The manual may be kept in written or electronic form.
J. Important -- Any change in name, ownership or location of
any official inspection station cancels the appointment of that station, and
the Department of State Police must be notified immediately. The department
shall be notified when an official inspection station discontinues operation.
K. All inspection supplies, inspection binders and manual,
unused stickers, duplicates of certificates issued, bulletins and other forms
are the property of the Department of State Police and must be safeguarded
against loss.
L. Inspection supplies issued to an inspection station can be
used only by that station and are not to be loaned or reissued to any other
station with the exception of inserts.
1. Stations must maintain a sufficient supply of approval
stickers, trailer and motorcycle approval stickers, rejection stickers and
inserts. When reordering supplies, station owners or managers shall request
sufficient supplies to sustain their business for at least six months. However,
it is realized that a few stations will not be able to comply with the
six-month requirement since there is a maximum of 100 books per order limit.
Also, when ordering supplies, the following information should be considered so
that the station does not order an excessive amount of supplies: each book of
approval stickers contains 25 stickers, the rejection book contains 50
stickers, the month inserts are packaged in strips of 50 each, and trailer and
motorcycle decals are five per strip. In December of each year, a supply of
year inserts will be shipped to each station based on the station's previous
year's usage. In November, each station shall check its stock of month inserts
and order what is needed for the months of January through June. In May, the
same should be done for the months of July through December.
2. Inspection stations that exhaust their supply of approval
stickers, trailer and motorcycle approval stickers, rejection stickers, and
inserts shall immediately stop performing new inspections and contact their
supervising trooper or the nearest Safety Division Area Office.
M. All losses of stickers must be reported immediately to the
supervising inspection trooper or the nearest Safety Division Area Office.
N. Every precaution against the loss of stickers must be
taken. If the loss occurs through carelessness or neglect, a suspension of the
station may result.
O. Manuals, bulletins, other regulations and lists of
approved equipment must be available at all times for reference and may be kept
in written or electronic form. Revisions to the Motor Vehicle Safety Inspection
Manual will be sent to each station electronically through the MVIP system.
Station management shall be responsible to see that each safety inspector is
familiar with all bulletins and manual revisions and shall be required to
furnish evidence to the department that all bulletins and manual revisions have
been reviewed by each licensed inspector.
A copy of the diagram drawn by the investigating trooper,
showing the approved inspection lane or lanes, will be maintained for review
and kept available with the station's inspection supplies.
P. Private appointment may be made of company stations or
government stations that own and operate a minimum of 20 vehicles and they may
inspect only company-owned or government-owned vehicles respectively. When
authorized by the department, they may inspect vehicles of a wholly-owned
subsidiary or leased vehicles.
1. A private station may perform inspections during each month
of the year or may elect to inspect only during certain designated months.
2. A private station not electing to inspect vehicles every
month of the year that finds it necessary to inspect a vehicle during a month
other than those selected for inspection may issue a sticker to the vehicle
from the nearest past inspection month.
Q. All official inspection station owners, managers, and
certified safety inspectors shall comply with the Virginia inspection laws and
the inspection rules and regulations and will adhere to all instructions given
by the supervising trooper or the Safety Division. Reports of violations will
be investigated and, if found to be valid, may result in the suspension of the
station, suspension of the inspector, possible court action, or other
appropriate action, or any combination of these actions. Repeated violations or
serious violations may result in a revocation of the station appointment by the
superintendent.
R. The arrest of any person associated with the inspection
program for a criminal offense of a nature that would tend to immediately
reflect upon the integrity and reputation of the Department of State Police may
be grounds for an immediate suspension and the conviction for such an offense
may result in a revocation of the station's appointment.
S. When a station has been suspended or revoked, it must
release to an employee of the Department of State Police all inspection
supplies, posters, and papers including the certificate of appointment. Failure
to do so is a violation of § 46.2-1172 of the Code of Virginia.
T. The authority of the superintendent to suspend the
designation or appointment of an official inspection station as provided in § 46.2-1163
of the Code of Virginia, or to suspend the certification of an inspector
designated to perform inspections at an official inspection station, and, in
keeping with the provisions of § 46.2-1166 of the Code of Virginia, is hereby
delegated to any of the following supervisory ranks of the Department of State
Police: Lieutenant Colonel, Major, Captain, Lieutenant, First Sergeant and
Sergeant.
U. Each station must purchase and keep in proper operating
condition the following equipment: computer, printer, internet connection,
paper hole punch, black ball point pen or pens or black marker or markers,
sticker scraper with replacement razor blades, tire tread depth gauge, amp
meter, headlight and auxiliary lamp adjustment tools, 12-inch ruler, 25-foot
measuring tape, torque wrench or torque sticks, brake pads/shoes/disc/drum
measuring device, dial indicator, micrometer, pry bars, roller jack (at least
4-ton), and an approved type optical headlight aiming device. Each station that
requests an additional inspection lane that is not in close proximity to the
originally approved inspection lane must purchase an additional approved
headlight machine for each lane that meets the minimum requirements. Stations
are required to have one of the following headlight aiming devices effective
January 1, 2013: the Hopkins Vision1, Hopkins Vision 100, American Aimers
Vision 100, American Aimers Vision 2 Pro, or the Symtech (former L.E.T.) HBA-5,
PLA-11, and PLA-12. This shall not apply to "trailer-only" inspection
stations.
19VAC30-70-20. General inspection requirements.
A. Each official inspection station must inspect every
vehicle presented for inspection as prescribed by this chapter, either
approving or rejecting it. Inspections will not be performed unless requested.
1. Dealers' vehicles shall be inspected according to these
standards. The dealer's name rather than the license number shall be shown on
the rear of the approval/rejection approval or rejection sticker.
2. Out-of-state vehicles may be inspected, but shall not be
approved unless they meet the requirements of the Official Motor Vehicle Safety
Inspection Manual.
3. When a vehicle is presented for inspection, the entire
previous approval sticker, if any, on the vehicle must shall
be removed and destroyed before any inspection is begun conducted
(except a rejection sticker). For purposes of the safety inspection program,
"destroyed" shall mean that the previous inspection sticker will be
disposed of in a manner so it cannot be reused or placed on another vehicle's
windshield. After removing the inspection sticker, the safety inspector who
is to perform the inspection must drive the vehicle into an approved inspection
lane unless the safety inspector is not qualified to operate the vehicle.
During the operation of the vehicle, the safety inspector must make application
of the service and parking brakes and check for conditions as set forth in the
Service Brake Section of the Official Motor Vehicle Safety Inspection Manual
applicable to the vehicle being inspected.
WARNING: No razor blades or similar devices should be used to
remove stickers from "Securiflex,",
"Anti-Lacerative" or "Inner Shield" type windshield. These
windshields are identified as AS-14. Any questions concerning removal should be
directed to the nearest Safety Division Area Office.
B. Each inspection shall be a complete, uninterrupted
inspection and shall include a check of all applicable items in the Official
Motor Vehicle Safety Inspection Manual. All repair tools and testing equipment
required prior to a station's appointment shall be properly maintained and
available for use during each inspection.
C. The term "inspection" as used in this chapter
shall not include repairs or adjustments. Repairs or adjustments necessary to
bring the vehicle in conformity with these regulations this chapter
may be made by agreement between the owner and such station or whatever repair
shop the owner may select. When requested to do so by the person submitting a
vehicle for inspection, any repairs or adjustments necessary to bring the
vehicle into compliance with the inspection program rules and regulations shall
be made by the inspection station performing the inspection. The inspection
station management may utilize the option of subcontracting the repairs or
adjustments provided the application filed for the station appointment
reflected that such repairs or adjustments will be subcontracted.
D. Each vehicle that meets the requirements as set forth in these
regulations this chapter shall be issued an approval sticker. Those
vehicles that do not meet the inspection requirements shall be issued a
rejection sticker. Any trailer required to be inspected under the provisions of
the Code of Virginia may, only if the size or configuration of the trailer and
the size and configuration of the facilities of the inspection station prevent
the trailer from being inspected inside the inspection station, be inspected
outside the inspection station. The location on the outside of an inspection
station where trailers may be inspected shall be approved by the Department of
State Police and shown on the station diagram.
E. Inspections may be made when it is raining or snowing.
Care must be exercised when making inspections in inclement weather. Vehicles
covered with ice, snow, mud or other debris to the extent that required parts
cannot be inspected, may be refused inspection until the operator removes such
debris.
19VAC30-70-30. Inspector requirements.
A. The inspection of motor vehicles required by these rules
and regulations shall be made only by those individuals who are certified and
licensed as safety inspectors by the Department of State Police. The procedures
outlined in this section are applicable to the processing of applications for
initial certification, reclassification of safety inspector's licenses, and
reinstatement of suspended or revoked safety inspector's licenses.
B. All certified inspectors shall: 1. Be be at
least 18 years of age; and 2. Have a. In addition, all certified
inspectors shall have:
1. A minimum of one year's year of
practical experience as an automotive mechanic, or have
satisfactorily six months of practical experience as an automotive
mechanic combined with an additional and separate six months of mirroring a
certified state inspector, or
satisfactorily 2. Satisfactorily completed a
training program in the field of automotive mechanics approved by the
Superintendent of State Police.
A person who has a minimum of one year's practical
experience met either of the practical experience requirements in
repairing motorcycles may be certified to inspect motorcycles only and a person
who has one year's practical experience meets them in repairing
trailers may be certified to inspect trailers only.
C. All mechanics Each mechanic entering the
inspection program will be required to satisfactorily pass a written and
practical examination exhibiting his knowledge of the inspection procedures.
D. Each certified inspector shall possess a valid Virginia
driver's license with the following exceptions:
1. An inspector who is a resident of an adjoining state
holding a valid driver's license in that state and who commutes regularly to
work in Virginia; or
2. A member of the armed forces of the United States on active
duty who holds a driver's license from his home state.
E. An inspector whose driver's license is suspended or
revoked, including the seven-day administrative suspension for a DUI arrest,
must immediately notify the station's supervising trooper or the local Safety
Division Area Office of the suspension or revocation. The suspension or revocation
of an inspector's driver's license shall automatically act as a suspension of
his privilege to inspect motor vehicles until such suspension or revocation is
terminated and the reinstatement has been made by the Superintendent of State
Police.
F. Each licensed safety inspector must have a valid safety
inspector's license in his possession at all times while conducting
inspections.
G. Each safety inspector with a valid safety inspector's
license need only present such valid license to his new employer to commence
participation in the program at his new place of employment. Management of the
inspection station is required to notify the Safety Division when a safety
inspector begins or ends employment. This may be handled by contacting the
Safety Division Headquarters in Richmond by telephone.
H. An inspector must promptly notify the Safety Division in
writing of any change in his home address as shown on the safety inspector's
license. In the event the license becomes mutilated, lost or stolen, the inspector
must notify the Department of State Police immediately in writing, requesting a
duplicate. The Safety Inspector Notification Form shall be used and all
requested information should be printed plainly and completely. For those
inspectors who are not employed, write "Inactive" in the station name
block. In those cases where notification is being made due to an address
change, it will be necessary to: (i) fill out the form completely and (ii)
retain a copy of the form and license until a permanent (new) license is
received. In those cases where the license has been lost, stolen or mutilated,
complete steps in clauses (i) and (ii) as set forth in this section
subsection. The notification form may be duplicated as necessary.
I. An inspector must immediately notify the station's
supervising trooper or local Safety Division Area Office of an arrest for a
criminal offense or the institution of a civil action.
J. Requirements for safety inspector applicants with a
specific learning disability:
1. Applicants will be required to furnish documentation from
the particular school division where the applicant was classified as having a
learning disability. The specific learning disability will be clearly
identified.
2. Once the learning disability has been documented, and if
applicable, the applicant will be allowed to test with the written exam being
orally presented.
3. The station management where the applicant is employed or
to be employed must agree to have someone present during the hours the employee
is conducting inspections to assist with the reading of the Official Motor
Vehicle Safety Inspection Manual when necessary during the initial three-year
certification period. If the inspector changes stations within the first
three-year period, it is the inspector's responsibility to notify station
management of his disability and this requirement.
19VAC30-70-50. Approval stickers and decals.
A. If the vehicle meets all inspection requirements, the
certified safety inspector performing the inspection shall immediately enter
the receipt information via the MVIP system.
The inspection sticker is not valid unless the rear portion
is completed with the vehicle make, year built, license plate number (dealer
name if a dealer tag is displayed), body type, and the complete vehicle
identification number (VIN). The inspection sticker shall be completed using
black indelible ink.
B. Approval stickers and decals shall be issued according to
the following schedule:
ANNUAL PROGRAM
|
Vehicles inspected in January are issued stickers bearing
the Number "1"
Vehicles inspected in February are issued stickers bearing the Number
"2"
Vehicles inspected in March are issued stickers bearing the Number
"3"
Vehicles inspected in April are issued stickers bearing the Number
"4"
Vehicles inspected in May are issued stickers bearing the Number
"5"
Vehicles inspected in June are issued stickers bearing the Number
"6"
Vehicles inspected in July are issued stickers bearing the Number
"7"
Vehicles inspected in August are issued stickers bearing the Number
"8"
Vehicles inspected in September are issued stickers bearing the Number
"9"
Vehicles inspected in October are issued stickers bearing the Number
"10"
Vehicles inspected in November are issued stickers bearing the Number
"11"
Vehicles inspected in December are issued stickers bearing the Number
"12"
|
All February annual inspection stickers for trailer and
motorcycle decals (#2) due to expire at midnight, February 28 automatically
will be valid through midnight February 29 each leap year.
C. The numeral decal indicating the month of expiration shall
be inserted in the box identified as month and the numeral decal indicating the
year of expiration shall be inserted in the box identified as year of the
approval sticker and the trailer or motorcycle sticker. Extreme care should be
used by inspectors in applying these inserts. On all windshields, except school
buses, the sticker is to be placed at the bottom of the windshield so that the
inside or left edge of the sticker is one inch to the right of the vertical
center of the windshield when looking through the windshield from inside the
vehicle. (If the vehicle is normally operated from the right side, the sticker
must be placed one inch to the left of the vertical center of the windshield.)
On passenger vehicles not equipped with a windshield, the
sticker shall be placed on or under the dash and protected in some manner from
the weather.
The approval sticker on official yellow school buses is to be
placed at the bottom and in the right corner of the windshield when looking
through the windshield from inside the vehicle.
EXCEPTIONS: The approval sticker shall be placed one inch to
the right of the vertical center of the windshield when looking through the
windshield from the inside on all new flat-face cowl yellow school buses. On
vehicles equipped with heating and grid elements on the inside of the windshield,
the sticker shall be placed one inch above the top of the grid element and the
inside left edge of the sticker shall be one inch to the right of the vertical
center when looking through the windshield from the inside.
Stickers or decals used by counties, cities and towns in lieu
of license plates affixed adjacent to the old approval sticker and which are
affixed in the location where the new approval sticker is required to be placed
will not be removed. In these cases, the approval sticker will be placed as
close to one inch to the right of the vertical center of the windshield as it
can be placed without removing or overlapping the county, city or town decal.
D. The Code of Virginia requires that the inspection sticker
be displayed on the windshield or at other designated places at all times. The
inspection sticker cannot be transferred from one vehicle to another.
EXCEPTION: If the windshield in a vehicle is replaced, a
valid sticker may be removed from the old windshield and placed on the new
windshield.
E. The sticker issued to a motorcycle shall be affixed to the
left side of the cycle where it will be most visible after mounting. The
sticker may be placed on a plate on the left side where it will be most visible
and securely fastened to the motorcycle for the purpose of displaying the
sticker. The sticker may be placed horizontally or vertically.
F. Trailer stickers will be issued to all trailers and
semitrailers required to be inspected. (No boat, utility, or travel trailer
that is not equipped with brakes shall be required to be inspected.)
G. All inspected trailers must display a trailer sticker on
that particular vehicle. These stickers are to be placed on the left side of
the trailer near the front corner. The sticker must be affixed to the trailer body
or frame. In those instances where a metal back container with a removable
transparent cover has been permanently affixed to the trailer body, the sticker
may be glued to it. The container must be permanently mounted in such a manner
that the sticker must be destroyed to remove it.
H. In all other cases involving unusually designed trailers
such as pole trailers, the safety inspector is to exercise his own good
judgment in placing the sticker at a point where it will be as prominent as
possible and visible for examination from the left side.
I. Motorcycles have a separate sticker that is orange and
issued with the prefix M. Trailers have a separate sticker that is blue and
issued with the prefix T. The trailer and motorcycle receipts are completed in
the same manner as other inspection receipts.
J. Appointed stations will keep sufficient inspection
supplies on hand to meet their needs. Requests for additional supplies shall be
ordered via the MVIP system. Requests for supplies that are to be picked up at
the Safety Division Headquarters must be made at least 24 hours prior to pick
up.
Packing slips mailed with inspection supplies will be kept on
file at the station for at least 24 months.
K. All unused center inserts used to indicate the month that
a sticker expires, in possession of the inspection station at the end of each
month, shall be retained by the inspection station, properly safeguarded, and
used in the inspection of vehicles for that particular month in the following
year or be disposed of as directed by the Department of State Police.
All inspection supplies that are voided, damaged, disfigured
or become unserviceable in any manner, will be returned to the Safety Division.
New replacement supplies will be issued to the station. Expired stickers will
be picked up by the station's supervising trooper.
L. All voided approval/rejection approval or
rejection stickers will be picked up by the station's supervising trooper.
M. The MVIP system approval or rejection printed receipt
shall be given to the owner or operator of the vehicle.
N. All yellow receipt copies of approval stickers and decals
will be retained in the books and shall be kept on file at the station for at
least 24 six months. They may be inspected by any law-enforcement
officer during normal business hours.
O. Safety Division troopers may replace inspection stickers
that have separated from the windshield of motor vehicles and become lost or
damaged without conducting an inspection of the safety components of the
vehicle. Such replacement of inspection stickers shall be made only in
accordance with the following provisions:
1. A vehicle owner or operator complaining of the loss or
damage to the inspection sticker on the windshield of their vehicle due to
separation of the sticker from the windshield shall be directed to the nearest
Safety Division Area Office or Safety Division trooper.
2. Safety Division troopers, upon receipt of a complaint from
a vehicle owner or operator that their inspection sticker has been stolen, lost
or become damaged due to separation from the windshield, will make arrangements
to meet the person to effect the replacement of the sticker. A vehicle owner or
operator alleging theft of the inspection sticker will furnish proof to the
Safety Division trooper that such theft has been reported to the proper
law-enforcement authority.
3. The vehicle owner or operator must produce the original
safety inspection approval sticker receipt indicating a valid approval
inspection sticker was issued to the vehicle within the past 11 months. (The
vehicle must be reinspected if the expiration of the original inspection
sticker is in the month the request is being made.)
4. The Safety Division trooper will verify by the inspection
receipt that the vehicle was issued an approval inspection sticker within the
past 11 months and will then issue a replacement inspection sticker to the
vehicle. If any obvious equipment defects are detected during the replacement
process, the vehicle will not be issued a replacement approval sticker.
5. The Safety Division trooper will complete the inspection
sticker receipt for the approval sticker from information contained on the
original receipt. The date the replacement sticker is issued will be used in
the date space. In the space for Inspection Related Charges, the trooper will
insert the word "REPLACEMENT" and the sticker number from the
original inspection receipt.
6. The Safety Division trooper will sign the receipt
vertically in the O.K. column in the "Equipment Inspected" blocks.
These blocks will not otherwise be completed.
7. The Safety Division trooper shall place month and year
inserts on the inspection sticker to reflect the expiration as shown on the
original approval inspection sticker and place the inspection sticker on the
windshield in accordance with the requirements of subsection C of this section.
8. The Safety Division trooper will enter the replacement
information into the MVIP system.
P. New vehicle safety inspections.
1. Section 46.2-1158.01 of the Code of Virginia allows an
employee who customarily performs the inspection requirement of a manufacturer
or distributor of new motor vehicles to place an inspection sticker furnished
by the Department of State Police on the vehicle once it has met the
requirements of that manufacturer or distributor. This employee does not have
to be a certified safety inspector.
2. With the addition of other personnel using Department of
State Police inspection supplies, a system shall be developed at each
inspection station to afford accountability of all supplies. The system shall
include proper safeguards to prevent the loss of supplies through carelessness,
neglect, theft, or unauthorized use.
3. Inspection stations shall not mix annual state inspections
with predelivery inspections (PDI) in the same book of inspection stickers.
4. All employees shall be reminded that anyone who performs
inspections, whether it be for the annual inspection or the PDI inspection, is
subject to criminal prosecution if inspection supplies are used illegally or
used in some other unauthorized way.
5. Station management and licensed safety inspectors are
subject to administrative sanctions for any misuse of inspection supplies.
6. The inspection receipts shall be completed as usual with
the following exceptions: On the "inspector" line, the initials
"PDI" (for predelivery inspection) and the printed employee's name
performing the inspection shall be entered. On the "inspector's license
number" line, the letters "N/A" shall be entered. In the
equipment inspected section, the words "New Vehicle" shall be entered
in the "adjust" column. The PDI employee performing the inspection
shall sign his name in the "O.K." column.
19VAC30-70-160. Auxiliary lamps: backup; cornering; driving;
fog; spot and warning.
A. Auxiliary lamps on a vehicle consist of seven general
types: backup lamps (SAE-R), cornering lamps (SAE-K), driving lamps (SAE-Y),
front fog lamps with an amber or clear lens (SAE-F and rear fog lamps with red
lens (SAE-F2), spot lamps (SAE-O), warning lamps (SAE-W, W2, W3), and daytime
running lamps (DRLs) (SAE-Y2).
B. School buses may be equipped with an eight-lamp warning
system of two red and two amber warning lamps of an approved type (SAE-W2) on
the front and rear of such vehicle.
1. School buses may also be equipped with roof-mounted
flashing white or amber warning lamps of an approved type (SAE-W2).
2. In addition to required warning lamps, school buses may be
equipped with a stop signal arm consisting of an octagonal sign which meets
FMVSS specifications (Federal Motor Vehicle Safety Standards, 49 CFR Part 571).
The stop signal arm shall be reflectorized or be equipped with two red warning
lamps of an approved type.
C. There is no limit on the number of backup lamps that a
vehicle may have so long as they are of an approved type (SAE-R).
D. No more than four lamps, including two headlamps, may be
lighted at any time to provide general illumination ahead of the vehicle.
E. Approved type (DOT or SAE-W) blue or blue and red lights
are permitted on Department of Corrections vehicles designated by the Director
of the Department of Corrections and any law-enforcement vehicle.
1. Approved type secondary warning lights installed only on
the four corners, on law-enforcement vehicles, Department of Corrections, fire
apparatus, government-owned vehicle operated on official business by a local
fire chief or other local fire official, rescue squad vehicle, ambulance, or
any other emergency medical vehicles. These lights shall also have primary
warning lights installed.
2. The hide-away or undercover strobe lights shall be
installed in the side marker lights, tail lights or parking lights. The strobe
itself must be clear and the lens color must continue to be the same type and
color as originally approved. It will not be permissible to install the
hide-away lights in the headlights or in the backup lights.
3. Approved type (SAE-W) red warning lights or red and white
lights showing to the front are permitted on fire department vehicles,
including publicly-owned state forest warden vehicles, ambulances, any rescue
vehicle used for emergency calls, local department of emergency management,
animal warden vehicles, school buses and vehicles used by security personnel at
the Newport News Shipbuilding and Drydock Company, Bassett-Walker, Incorporated,
the Tultex Corporation, the Winchester Medical Center, or the National
Aeronautics and Space Administration's Wallops Flight Facility.
4. No more than two flashing or steady-burning red lights or
red and white combination lights of an approved type (SAE-W) may be installed
on one vehicle owned by any member of a fire department, volunteer fire company
or volunteer rescue squad, any ambulance driver employed by a privately-owned
ambulance service, and any police chaplain.
F. Vehicles mentioned in subsection E of this section
permitted to be equipped with flashing, blinking or alternating red, red and
white, blue, or blue and red emergency lights (except vehicles owned by any
member of a fire department, volunteer fire company, volunteer rescue squad or any
ambulance driver employed by a privately-owned ambulance service) may be
equipped with the means to flash their headlamps when their emergency warning
lamps are activated provided:
1. The headlamps are wired to allow either the upper beam or
lower beam to flash but not both.
2. The headlamp system includes a switch or device which
prevents flashing of headlamps when headlamps are required to be lighted
pursuant to current statute.
3. Emergency vehicles in Chesapeake, Poquoson, and York County
may be equipped with flashing headlights that will function whenever their
warning lights are activated.
G. Any firefighting vehicle, ambulance, rescue or life-saving
vehicle, Virginia Department of Transportation vehicle, or tow truck may be
equipped with clear auxiliary lamps which shall be used exclusively for
lighting emergency scenes. Such lamps shall be of a type permitted by the
superintendent. Any government-owned police vehicle may be equipped with clear
auxiliary lamps of a type approved by the superintendent.
H. Approved type (SAE-W) amber flashing, blinking or
alternating lights are permitted on vehicles used for the principal purpose of
towing or servicing disabled vehicles or in constructing, maintaining and
repairing highways or utilities on or along public highways and vehicles used
for the principal purpose of removing hazardous or polluting substances from
the state waters or drainage areas on or along public highways. Such lamps are
permitted on vehicles used for servicing automatic teller machines, refuse
collection vehicles, hi-rail vehicles and on vehicles used for towing or
escorting over-dimensional materials, equipment, boats, or manufactured housing
units by authority of highway hauling permit.
1. Approved type (SAE-W) amber flashing, blinking or
alternating lights are permitted on fire apparatus, government-owned vehicles
operated on official business by a local fire chief or other local fire
official, rescue squad vehicles, ambulances, and any other emergency medical
vehicles to be equipped with alternating blinking or flashing red, or red and
white secondary lights mounted inside the vehicle's tail lights or marker
lights.
2. Approved type (SAE-W) amber flashing, blinking or
alternating lights are permitted on vehicles owned and used by municipal safety
officers in the performance of their official duties, businesses providing
security services and vehicles used to collect and deliver the United States
mail, vehicles used by law-enforcement personnel in the enforcement of laws
governing motor vehicle parking, government-owned law-enforcement vehicles
provided the lights are used for giving directional warning and vehicles used
to provide escort for funeral processions.
3. Approved type (SAE-W) amber flashing, blinking or
alternating lights are permitted on vehicles used as pace cars, security
vehicles, or firefighting vehicles by any speedway or motor vehicle race track.
4. An approved type (SAE-W) amber flashing, blinking or
alternating light may be mounted on the rear of any vehicle used to transport
petroleum products. The light must be wired through the reverse gear circuit
and activate in conjunction with the back-up lights and audible alarm.
5. An approved type (SAE-W) green warning light is permitted
on vehicles used by police, firefighting, or rescue personnel as command
centers at the scene of incidents. Such lights shall not be activated while the
vehicle is operating upon the highway.
I. Inspect for and reject if:
1. Vehicle has an auxiliary lamp being used for a purpose
other than for which it was approved.
EXCEPTION: Any lighting device that is both covered and not
illuminated, other than lamps required, shall not be considered for inspection.
Fog and driving lamps mounted below the level of the regular headlamps must be
checked for aim as outlined in subdivisions I 10 i and I 11 g of this
section if not covered.
NOTE: The covers shall be a type that would be installed as
original equipment and not tape, paper bags, aluminum foil or similar materials
per subdivision I 11 g (2) of this section.
2. A vehicle has installed on it a warning lamp (DOT or SAE-W)
that is not of an approved type or has been altered.
Reject if the vehicle has wire, unapproved lens or plastic
covers, any other materials that are not original equipment or any colored material
placed on or in front of any auxiliary lamps: backup, cornering, driving, fog,
spot, or warning lamps.
3. Motor vehicles may be equipped with more than two fog or
auxiliary lights; however, only two of these types of lights can be illuminated
at any time. Reject a vehicle equipped with a headlamp mounted or used as an
auxiliary lamp.
4. Vehicle is equipped with an auxiliary lamp that does not
function properly. (If an auxiliary lamp has been modified by removing the
wiring, bulb and socket, the unit will be considered an ornament and not a lamp
and will not be considered in inspection.)
5. Vehicle is equipped with a lighted advertising sign, except
commercial motor vehicles, buses operated as public carriers, taxicabs, and
privately-owned passenger cars used for home delivery of commercially prepared
food. Commercial motor vehicles, buses operated as public carriers, and
taxicabs may be equipped with vacant and destination signs and one steady
burning white light for the nighttime illumination of external advertising.
Privately-owned passenger cars used for home delivery of commercially prepared
food may be equipped with one steady burning white light for the nighttime
illumination of a sign identifying the business delivering the food. Do not reject
approved identification lights.
6. Any lamp is not of an approved type or if lamps to be
burned together as a pair do not emit the same color light.
7. The lens has a piece broken from it. The lens may have one
or more cracks provided an off-color light does not project through the crack
or cracks. Taping or gluing cracks or pieces is not permitted.
8. Backup lamps are not required. However, if installed they
must operate and be inspected.
Inspect for and reject if:
a. Lamps are not of an approved type (DOT or SAE-R) or a lamp
has been altered;
b. Wiring or electrical connections are defective or filaments
do not burn;
c. The lens has a piece broken from it. The lens may have one
or more cracks provided an off-color light does not project through the crack
or cracks. Taping or gluing cracks or pieces is not permitted;
d. Lens is other than clear. LED (light-emitting diode) lights
with a clear lens are acceptable if of an approved type. For those vehicles
that are equipped with a multiple LED light (not filament-burning bulbs), they
will pass inspection if more than 50% of the diode lights are burning;
e. Lamps are not wired into the reverse gear. Vehicles
manufactured without backup lamps may be wired into an independent circuit.
9. Cornering lamps are not required. However, if installed
they must operate and be inspected.
Inspect for and reject if:
a. Lamps are not of an approved type (DOT or SAE-K) or a lamp
has been altered;
b. Wiring or electrical connections are defective or filaments
do not burn;
c. The lens has a piece broken from it. The lens may have one
or more cracks provided an off-color light does not project through the crack
or cracks. Taping or gluing cracks or pieces is not permitted;
d. The color of the light is other than clear or amber;
e. The lamps do not burn in conjunction with the turn signals.
10. Driving lamps are not required. However, if installed they
must operate and be inspected.
Inspect for and reject if:
a. Driving lamps are installed on vehicles equipped with the
four-headlamp system, except the "F" type headlamp system;
b. A vehicle is equipped with more than two driving lamps;
c. Driving lamps are not of an approved type or have been
altered;
d. The color of the lamp is other than white;
e. The lens has a piece broken from it or is rotated away from
its proper position. The lens may have one or more cracks provided an off-color
light does not project through the crack or cracks. Taping or gluing cracks or
pieces is not permitted;
f. Wiring or electrical connections are defective;
g. Any driving lamp is mounted above the level of the regular
headlamps, or is not mounted firmly to prevent excessive vibration;
h. Driving lamps are not wired so that they will burn only
when the high beams of the regular headlamps are activated;
i. Driving lamps are not aimed so that the center of the hot
spot drops three inches in 25 feet so that the hot spot is directly ahead of
the lamp;
NOTE: Driving lamps must be aimed using the optical headlight
aimer. A tolerance of four inches in 25 feet is allowed in both the horizontal
and the vertical adjustment.
11. Fog lamps are not required. However, if installed they
must operate and be inspected.
Inspect for and reject if:
a. A vehicle may be equipped with more than two fog lamps;
however, not more than two fog lamps can be illuminated at any time;
b. Lamps are not of an approved type (DOT or SAE-F on front or
F2 on rear plus two-digit year and manufacturer) or a lamp has been altered;
c. The lens is other than clear or amber. Fog lamps may have
black-end bulbs or small metal caps over the end of the bulb;
d. The lens has a piece broken from it or is rotated away from
its proper position. The lens may have one or more cracks provided an off-color
light does not project through the crack or cracks. Taping or gluing cracks or
pieces is not permitted;
e. Wiring or electrical connections are defective or filaments
do not burn;
f. Any fog lamp is mounted above the level of the regular
headlamps, or is not mounted firmly;
g. Lamps are not wired and aimed according to the following
instructions:
(1) Fog lamps are general illumination lamps as covered in
subsection A of this section. They must burn through the tail light circuit
even if on a separate switch. If installed on a vehicle with a four-headlamp
system, or a vehicle equipped with driving lamps, they must be wired into the
low beam circuit.
(2) Fog lamps must be aimed so that the top edge of the high
intensity zone is set at the horizontal centerline and the left edge of the
high intensity zone is set at the vertical centerline. (Same as low beam
headlights.)
NOTE: Fog lamps must be aimed using the optical headlight
aimer. A tolerance of four inches in 25 feet is allowed in both the horizontal
and the vertical adjustment.
12. Spot lamps are not required; however, if installed they
must operate and be inspected.
Inspect for and reject if:
a. Vehicle is equipped with more than two spot lamps;
b. Lamps are not of an approved type (DOT or SAE-O) or a lamp
has been altered;
c. The lens in any spot lamp is other than clear;
d. The lens has a piece broken from it or is rotated away from
its proper position. The lens may have one or more cracks provided an off-color
light does not project through the crack or cracks. Taping or gluing cracks or
pieces is not permitted;
e. Wiring or electrical connections are defective or filaments
do not burn.
13. Daytime running lamps (DRLs) are not required. However, if
installed they must operate and be inspected. DRLs must be installed in pairs.
NOTE: DRLs may or may not be wired into the tail light
circuit.
Inspect for and reject if:
a. Any lamp, except headlamps, used as DRLs if not an approved
type (SAE-Y2) and is not marked "DRL";
b. Fog lamps or parking lamps are used as DRLs;
c. More than one pair of lamps is used and/or and
designated as DRLs;
d. A DRL is mounted higher than 34 inches measured to the
center of the lamp;
e. The color is other than white to amber;
f. DRLs do not deactivate when the headlamps are in any
"on" position.
Any DRL optically combined with a turn signal or hazard lamp
must deactivate when the turn signal or hazard lamp is activated and then
reactivate when the turn signal or hazard lamp deactivates.
VA.R. Doc. No. R17-5173; Filed July 6, 2017, 10:33 a.m.
TITLE 23. TAXATION
DEPARTMENT OF TAXATION
Fast-Track Regulation
Title of Regulation: 23VAC10-330. Bank Franchise Tax (amending 23VAC10-330-20, 23VAC10-330-30).
Statutory Authority: § 58.1-203 of the Code of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: October 6, 2017.
Effective Date: October 23, 2017.
Agency Contact: James Savage, Tax Policy Analyst,
Department of Taxation, P.O. Box 27185, Richmond, VA 23261, telephone (804)
371-2301, or email james.savage@tax.virginia.gov.
Basis: Section 58.1-203 of the Code of Virginia provides
that the "Tax Commissioner shall have the power to issue regulations
relating to the interpretation and enforcement of the laws of this Commonwealth
governing taxes administered by the Department." The authority for the
current regulatory action is discretionary.
Purpose: This regulatory action is needed to amend two
sections of the Bank Franchise Tax Regulation, 23VAC10-330-20 and 23VAC10-330-30,
that do not conform to legislative changes and current tax policy. Some of the
language in these sections can be repealed because it refers to tax forms that
the department no longer uses. Other language will be updated so that it
conforms to legislative changes and current tax policy. Amendment of these
sections does not reflect any change in existing tax policy and will have no
impact on the administration of the tax. As this regulatory action does not
reflect a change in existing departmental policy, it will have no effect on the
health, safety, and welfare of citizens.
Rationale for Using Fast-Track Rulemaking Process: The
fast-track rulemaking process is intended for regulatory actions that are
expected to be noncontroversial. As the regulation will be amended to reflect
current law and will not make any changes to the department's current policy
regarding the Bank Franchise Tax, this action is not expected to be
controversial. Current law and tax policy form the basis for the proposed changes
to this regulation.
Substance: This regulatory action will amend Bank
Franchise Tax Regulation sections, 23VAC10-330-20 and 23VAC10-330-30,
relating to the computation of net capital and deductions from gross capital.
Some language is outdated because it has not been amended to conform to the
following legislation enacted by the General Assembly:
• Chapter 84 of the 1999 Acts of Assembly: This legislation
replaced a deduction for any reserve for loan losses with an addback to gross
capital in the amount of one half of any reserve for loan losses net of
applicable deferred tax.
• Chapter 667 of the 2002 Acts of Assembly: This legislation
created a deduction equal to 90% of goodwill created in connection with any
acquisition or merger occurring on or after July 1, 2001, and provided that
"goodwill" must be determined using generally accepted accounting
principles.
• Chapter 3 of the 2004 Acts of Assembly: This legislation
created a deduction for any portion of the amount added to federal taxable
income pursuant to subdivision B 9 of § 58.1-402 of the Code of Virginia by a
corporation that is for interest expenses and costs paid to the bank for a loan
or other obligation made by the bank to such corporation, provided that certain
conditions are met.
Some language is also outdated because it refers to Schedule A
of Form 64, which the department no longer uses. Therefore, this regulatory
action will repeal language that is outdated and will update other language to
conform to legislative changes and current tax policy. Amending this section
does not reflect any change in existing tax policy and will have no impact on
the administration of tax.
Issues: The advantage of this regulatory action is that
it will ease voluntary taxpayer compliance and the department's administration
of the state tax laws by amending regulation sections that do not conform to
legislative changes and current policy. Amending this regulatory section will
result in no disadvantage to the public or the Commonwealth.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The
Department of Taxation (Tax) proposes to amend its bank franchise tax
regulation to remove references to an obsolete tax form schedule and to conform
language dealing with the calculation of gross capital and deductions to
legislative changes that were passed in 1999, 2002 and 2004.
Result of Analysis. Benefits likely outweigh costs for all
proposed changes.
Estimated Economic Impact. The sections of this regulation that
this regulatory action changes (23VAC10-330-20 and 23VAC10-330-30) were
promulgated in 1985 and have not been changed since. Tax now proposes to update
this regulation to remove a reference to Schedule A of Form 64 (the Bank
Franchise Tax Return) that is no longer used. Tax also proposes to make changes
to these sections to conform them to legislative changes passed in 19991,
20022 and 2004.3 Since all proposed changes to this
regulation have already been in force as statutory law, no entity is likely to
incur costs on account of this regulatory action. Interested parties who read
this regulation will likely benefit from these changes as they remove and amend
obsolete language that may cause confusion.
Businesses and Entities Affected. These proposed regulatory
changes will affect all banks that pay the bank franchise tax. Tax reports that
123 banks in Virginia paid this tax in fiscal year 2016.
Localities Particularly Affected. No locality is likely to be
particularly affected by these proposed regulatory changes.
Projected Impact on Employment. These proposed regulatory
changes are unlikely to 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. No small businesses are likely to
incur any additional costs on account of these proposed regulatory changes.
Alternative Method that Minimizes Adverse Impact. No small
businesses are likely to incur any additional costs on account of these
proposed regulatory changes.
Adverse Impacts:
Businesses. No businesses are likely to incur any additional
costs on account of these proposed regulatory changes.
Localities. Localities in the Commonwealth are unlikely to see
any adverse impacts on account of these proposed regulatory changes.
Other Entities. No other entities are likely to be adversely
affected by these proposed changes.
_______________________________
1Chapter 84 of the 1999 Acts of Assembly replaced a
deduction for any reserve for loan losses with an addback to gross capital in
the amount of one half of any reserve for loan losses net of applicable
deferred tax.
2Chapter 667 of the 2002 Acts of Assembly created a
deduction equal to 90 percent of the value of "goodwill" created in
connection with any acquisition or merger occurring on or after July 1, 2001
and specified that the value of "goodwill" must be determined using
generally accepted accounting principles.
3Chapter 3 of the 2004 Acts of Assembly created a
deduction for any portion of the amount added to federal taxable income
pursuant to subdivision B 9 of § 58.1-402 of the Code of Virginia by a
corporation that is for interest expenses and costs paid to a bank for a loan
or other obligation made by the bank to such corporation (so long as certain
conditions are met).
Agency's Response to Economic Impact Analysis: The
Department of Taxation agrees with the Department of Planning and Budget's
economic impact analysis.
Summary:
The amendments (i) repeal language that is outdated and
(ii) make updates to conform the regulation to changes in statute and current
tax policy relating to computation of net capital and deductions from gross
capital.
23VAC10-330-20. Computation of net capital.
A. Generally. The net capital of a bank is computed as
follows:
1. Compute gross capital by adding the following
accounts as reported on the report of condition: (1) (i)
preferred stock, (2) (ii) common stock, (3) (iii)
surplus, (4) (iv) undivided profits and reserve for contingencies
and other capital reserves, and (v) one half of any reserve for loan losses
net of applicable deferred tax.
2. Deducting from the gross capital: (1) (i)
assessed value of real estate as set forth in 23VAC10-330-30, (2) (ii)
book value of certain tangible personal property as set forth in
23VAC10-330-30, (3) (iii) the pro rata share of capital
attributed to U.S. government obligations as set forth in 23VAC10-330-30, (4)
(iv) certain capital accounts of bank subsidiaries as set forth in
23VAC10-330-30, (5) the total of (a) the applicable amount of any reserve
for loan losses as regulated herein and (b) (v) the applicable
amount of any reserve for marketable securities valuation as regulated herein
in this section, and (vi) the value of goodwill as defined by subdivision B
8 of this section.
B. Terms used in this section. The terms used in this
section, requiring further explanation, and which that are not
regulated elsewhere are as follows:
1. Capital stock. "Capital stock" shall
include all outstanding shares of capital stock of all classes as shown on the
official report of condition of the bank or trust company.
2. Surplus. "Surplus" shall be the amount as
shown on the official report of condition of the bank or trust company and
shall include, if any, reserves for contingencies and other capital account
reserves.
3. Undivided profits. "Undivided profits"
shall be the amount as shown on the official report of condition of the bank or
trust company.
4. Gross capital. "Gross capital" shall be
the total of capital stock, surplus, and undivided profits, and one
half of any reserve for loan losses net of applicable deferred tax as
regulated herein in this section.
5. Reserve for loan losses. An established reserve for loan
losses, not in excess of the amount of reserve allowable by the Internal
Revenue Service for federal taxable income tax purposes, is allowable in
computing the net taxable capital of a bank.
If a portion of the reserve for loan losses allowable for
federal income tax purposes is included in gross capital (surplus, undivided
profits or surplus reserves) on the bank's official report of condition, such
portion may be deducted from total capital in computing net taxable capital.
If the amount of reserve for loan losses deducted by the
bank in computing total capital accounts shown on its report of condition
exceeds the amount of reserve for loan losses allowable for federal income tax
purposes, such excess must be added to total capital accounts in computing net
taxable capital.
The details of all reserves for loan losses and any such
deduction or addition must be reflected in Schedule G of Form 64, Bank
Franchise Tax Return.
5. Reserve for loan losses. An addition to gross capital
must be made equal to one half of the reserve for loan losses net of applicable
deferred tax.
a. "Reserve for loan losses" is the amount of the
reserve for loan losses as shown on the bank's official report of condition.
b. "Applicable deferred tax" equals the
"reserve for loan losses" divided by two and then multiplied by the
bank's effective federal and state income tax rates that were used to calculate
any deferred tax amounts included in the bank's official report of condition,
but not less than zero.
6. Valuation reserve for marketable securities. For purposes
of computing net taxable capital, an established reserve carried on the books
of the bank for valuation of marketable securities is allowable to the extent
that such valuation reserve does not decrease the carrying value of securities
(gross value of securities included in report of condition less valuation
reserve) below the current market value of the securities on December 31 next
preceding the due date for filing the bank franchise tax return.
If any portion of such allowable reserve is included in total
capital accounts on the bank's report of condition, such portion may be
deducted from total capital in computing net taxable capital.
Any portion of a valuation reserve included in computing total
capital accounts which is in excess of an allowable reserve must be added to
total capital in computing net taxable capital.
The details of all valuation reserves for marketable
securities and the details of any such deduction or addition must be reflected
on Schedule A of Form 64, Bank Franchise Tax Return.
7. Official report of condition. "Official report of
condition" shall be the report of condition required by the Comptroller of
the Currency, Department of the Treasury, or the Bureau of Financial
Institutions, State Corporation Commission.
8. "Goodwill" shall be determined using generally
accepted accounting principles.
23VAC10-330-30. Deductions from gross capital.
A. Generally. In addition to items explained in
23VAC10-330-20 B, deductions from gross capital include the (1) (i)
assessed value of real estate, (2) (ii) book value of certain
tangible personal property, (3) (iii) capital attributable to
qualifying U.S. government obligations, and (4) (iv) amount of
capital accounts of certain bank subsidiaries. These items are regulated herein
in this section.
B. Assessed value of real estate.
1. Deductible assessed value of real estate for bank
franchise tax purposes is limited to the assessed value of real estate if:
a. If otherwise taxed in this Commonwealth which
that is (1) (i) owned by such bank, or (2) (ii)
used or occupied by such bank if held in the name of (a) of a
majority-owned subsidiary of the bank or, (b) of a bank
holding company which that owns a majority of the capital stock
of such bank, or (c) of any wholly owned subsidiary of the bank
holding company which that owns a majority of the capital stock
of such bank.
b. If real estate is in the nature of improvements to
real estate owned by and assessed in the name of another person (the underlying
land owner) and such improvements are (a) (i) owned by the bank,
or (b) (ii) used or occupied by the bank and owned by a
majority-owned subsidiary or by a wholly owned subsidiary of a bank holding
company, the assessed value up to the amount of unencumbered equity is
deductible. The unencumbered equity shall be deemed to mean the assessed value
of such improvements less the unpaid balance of all encumbrances thereto.
Example 1: Bank F constructs a bank building on land
owned by and leased from Corporation C. While the total value is assessed in
the name of Corporation C, the land owner, Bank F may deduct the portion of the
total real estate tax assessment attributable to the value of the building to
the extent not encumbered.
2. Real estate used or occupied by a subsidiary or real
estate originally conveyed as collateral for loans made by a subsidiary of the
bank and reacquired upon foreclosure of mortgage loans will be deemed to be
used or occupied by the bank.
1. a. The assessed value for the deduction of
real estate shall be the value for the most recent tax assessment made prior to
January 1 of the current bank franchise tax year for real estate owned by the
bank or affiliate on January 1 of the current franchise tax return year and
shall include the assessment for real estate acquired during the preceding year
even though assessed for such preceding year in the name of the prior owner.
2. b. If the same real estate is assessed by
more than one taxing jurisdiction, such as town, district and county, the
assessed value of only one of such jurisdictions may be deducted from gross
capital.
3. c. If the real estate is owned by a
majority-owned subsidiary of a bank, and the bank does not own all the stock of
such subsidiary, the bank shall be entitled to deduct only such portion of the
assessed value of the real estate as the common stock it owns in such
subsidiary bears to the outstanding common stock of such corporation.
C. Book value of certain tangible personal property. Tangible
personal property qualifying for deduction must be (1) (i) owned
by the bank or a majority-owned subsidiary of the bank, and (2) must be (ii)
held for lease, and (3) must be (iii) otherwise taxed in
Virginia.
1. The deductible amount shall be the book value of the
qualifying tangible personal property owned as of January 1 of the current year
franchise tax return.
2. If the tangible personal property is owned by a
majority-owned subsidiary, and the bank does not own all the stock of such
subsidiary, the bank shall be entitled to deduct only such portion of the book
value of such tangible personal property as the common stock it owns in such
subsidiary bears to the whole issue of common stock of such corporation.
D. Capital attributed to U.S. government obligations.
The allowable deduction for government U.S. obligations shall be
an amount which shall equal the same percentage of the gross capital account at
December 31 next preceding the bank franchise tax year, as the obligations of
the United States bear to the total assets of the bank. Qualifying government
U.S. obligations means all obligations of (1) (i) the
United States exempt from taxation under 31 U.S.C. Section USC §
3124, or the United States Constitution, or any other statute, or
(2) (ii) any instrumentality or agency of the United States which
obligations shall be exempt from State state or local taxation
under the United States Constitution, or any statute of the United
States.
1. Computation of deduction. The percentage of U.S. obligations
shall be determined by averaging the percentage of U.S. obligations to total
assets for the four most recent (or less in case of a new bank) Reports of
Condition. The average percentage shall be multiplied by the gross capital of
the bank as defined in 23VAC10-330-20. The result shall be the capital
attributed to U.S. obligations and is the deduction.
2. Merger of banks. Banks merging during the year must use the
four most recent quarterly Reports of Condition, including any reports filed in
the name of the banks prior to merger, to compute the capital attributable to
U.S. government obligations. Those quarterly Reports of Condition filed
in the name of each bank prior to merger, and used in the computation of
capital attributed to U.S. obligations, must be combined on a quarterly basis
to properly reflect the total U.S. obligations and total assets of the merging
banks.
Gross capital account means the capital, surplus and undivided
profits at December 31 next preceding the tax year. See 23VAC10-330-20.
E. Retained earnings and surplus of certain subsidiaries. The
deduction from gross capital of the bank is limited to the amount of increase
in the bank's recorded investment in its subsidiaries resulting from
undistributed earnings of such subsidiaries.
The deduction from gross capital of the bank is limited to
the amount included in gross capital on the bank's report of condition which
represents the undistributed earnings of its subsidiaries during the period of
the bank's investment in such subsidiaries. Accordingly, it may be applicable
only if a bank reports its subsidiary investment accounts at equity values.
F. Interest expenses and costs paid by a related member.
Any portion of the amount added to federal taxable income pursuant to
subdivision B 9 of § 58.1-402 of the Code of Virginia by a corporation
that is for interest expenses and costs paid to the bank for a loan or other
obligation made by the bank to such corporation shall be deducted from the
gross capital of the bank provided that the requirements set forth in
subdivision A 4 of § 58.1-1206 of the Code of Virginia are satisfied.
VA.R. Doc. No. R17-4854; Filed July 10, 2017, 9:41 a.m.