TITLE 2. AGRICULTURE
BOARD OF AGRICULTURE AND CONSUMER SERVICES
Final Regulation
Title of Regulation: 2VAC5-317. Regulations for the
Enforcement of the Noxious Weeds Law (amending 2VAC5-317-10, 2VAC5-317-20).
Statutory Authority: § 3.2-802 of the Code of
Virginia.
Effective Date: July 23, 2020.
Agency Contact: David Gianino, Program Manager, Office
of Plant Industry Services, Department of Agriculture and Consumer Services,
P.O. Box 1163, Richmond, VA 23218, telephone (804) 786-3515, FAX (804)
371-7793, TTY (800) 828-1120, or email david.gianino@vdacs.virginia.gov.
Summary:
The amendments add six plant species to the current noxious
weed list and amend the definition of "Tier 3 noxious weed" to be
"any noxious weed (i) that is present in the Commonwealth, (ii) whose
spread may be slowed by restrictions on its movement, and (iii) for which
successful eradication or suppression is not feasible."
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
2VAC5-317-10. Definitions.
The following words and terms when used in this chapter
shall have the following meanings unless the context clearly indicates
otherwise:
"Board" means the Virginia Board of Agriculture and
Consumer Services.
"Business day" means a day that is not a Saturday,
Sunday, or legal holiday, or a day on which state government offices are
closed.
"Certificate" means a document issued or authorized
by the commissioner indicating that a regulated article is not contaminated
with a noxious weed.
"Commissioner" means the Commissioner of the
Virginia Department of Agriculture and Consumer Services.
"Committee" means the Noxious Weeds Advisory
Committee established pursuant to 2VAC5-317-100.
"Compliance agreement" means a written agreement
between a person engaged in handling, receiving, or moving regulated articles
and the Virginia Department of Agriculture and Consumer Services or the U.S.
Department of Agriculture, or both, wherein the former agrees to fulfill the
requirements of the compliance agreement and comply with the provisions of this
chapter.
"Consignee" means any person to whom any regulated article
is shipped for handling, sale, resale, or any other purpose.
"Department" means the Virginia Department of
Agriculture and Consumer Services.
"Infested" or "infestation" means the
presence of a listed noxious weed or the existence of circumstances that make
it reasonable to believe that life stages of a listed noxious weed are present.
"Inspector" means an employee of the Virginia
Department of Agriculture and Consumer Services or other person authorized by
the Commissioner of the Virginia Department of Agriculture and Consumer
Services to enforce the provisions of this chapter.
"Listed noxious weed" means any plant listed in
this chapter as either a Tier 1, Tier 2, or Tier 3 noxious weed.
"Move" means to ship, offer for shipment, receive
for transportation, carry, or otherwise transport, move, or allow to be moved.
"Noxious weed" means the term as defined in
§ 3.2-800 of the Code of Virginia.
"Noxious Weeds Law" means the statute set forth in
Chapter 8 (§ 3.2-800 et seq.) of Title 3.2 of the Code of Virginia.
"Permit" means a document issued by the
commissioner to provide for movement of regulated articles to restricted
destinations for limited handling, utilization, processing, or scientific
purposes.
"Person" means the term as defined in § 1-230
of the Code of Virginia.
"Regulated article" means any listed noxious weed
or any article carrying or capable of carrying a listed noxious weed.
"Tier 1 noxious weed" means any noxious weed that
is not known to be present in the Commonwealth.
"Tier 2 noxious weed" means any noxious weed that
is present in the Commonwealth and for which successful eradication or
suppression is feasible.
"Tier 3 noxious weed" means any noxious weed (i)
that is present in the Commonwealth and not listed as a Tier 1 or Tier 2 noxious
weed, (ii) whose spread may be slowed by restrictions on its movement,
and (iii) for which successful eradication or suppression is not feasible.
"Waybill" means a document containing the details
of a shipment of goods.
2VAC5-317-20. Tier 1, Tier 2, and Tier 3 noxious weeds.
A. The following plants are hereby declared Tier 1 noxious
weeds:
1. Salvinia molesta, Giant salvinia.
2. Solanum viarum, Tropical soda apple.
3. Heracleum mantegazzianum, Giant hogweed.
B. The following plants are hereby declared Tier 2 noxious
weeds:
1. Imperata cylindrica, Cogon grass.
2. Lythrum salicaria, Purple loosestrife.
3. Ipomoea aquatica, Water spinach.
4. Vitex rotundifolia, Beach vitex.
5. Oplismenus hirtellus spp. undulatifolius, Wavyleaf
basketgrass.
6. Corydalis incisa, Incised fumewort.
C. No plant is hereby declared a Tier 3 noxious weed. The
following plants are hereby declared Tier 3 noxious weeds:
1. Ailanthus altissima, Tree of heaven.
2. Ampelopsis brevipedunculata, Porcelain berry.
3. Celastrus orbiculatus, Oriental bittersweet.
4. Hydrilla verticillata, Hydrilla.
5. Persicaria perfoliata, Mile-a-minute weed.
NOTICE: Forms used in
administering the regulation have been 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 (2VAC5-317)
Noxious
Weed Permit Application (eff. 6/2018)
VA.R. Doc. No. R18-5605; Filed May 27, 2020, 9:43 a.m.
TITLE 3. ALCOHOLIC BEVERAGES
ALCOHOLIC BEVERAGE CONTROL AUTHORITY
Fast-Track Regulation
Title of Regulation: 3VAC5-50. Retail Operations (amending 3VAC5-50-110).
Statutory Authority: §§ 4.1-103 and 4.1-111 of the
Code of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: July 23, 2020.
Effective Date: August 8, 2020.
Agency Contact: LaTonya D. Hucks-Watkins, Legal Liaison,
Virginia Alcoholic Beverage Control Authority, 2901 Hermitage Road,
Richmond, VA 23220, telephone (804) 213-4698, FAX (804) 213-4574, or email latonya.hucks-watkins@abc.virginia.gov.
Basis: Section 4.1-103 of the Code of Virginia
authorizes the Board of Directors of the Alcoholic Beverage Control Authority
to adopt regulations in accordance with the Administrative Process Act (§
2.2-4000 et seq. of the Code of Virginia) and § 4.1-111 of the Code of
Virginia. Section 4.1-111 provides the board with the authority to adopt
reasonable regulations to carry out the provisions of the Alcoholic Beverage
Control Act (§ 4.1-100 et seq. of the Code of Virginia), including the
authority to promulgate regulations that require mixed beverage licensees to
have food, cooked or prepared on the licensed premises, available for
on-premises consumption until at least 30 minutes prior to an establishment's
closing and that such food shall be available in all areas of the licensed
premises in which spirits are sold or served.
Purpose: The purpose of this amendment is to be in
compliance with the Code of Virginia as well as provide mixed beverage
licensees with guidance as to the food availability requirements associated
with their license. The amendment is essential to protect public health,
safety, or welfare because it corresponds to the provisions of the Code of
Virginia and reinforces the correlation between consumption of food and
mitigating the intoxicating effects of alcohol as well as helping to ensure
that mixed beverage licensees are meeting minimum food sales requirements.
Rationale for Using Fast-Track Rulemaking Process: The
action is expected to be noncontroversial because it aligns exactly with §
4.1-111 B 22 of the Code of Virginia, which has been in force since 2018.
Licensees have been complying with this standard now for some time already and
therefore promulgating this regulation should not be controversial.
Substance: Subdivision D 4 is added to 3VAC5-50-110 and
states that mixed beverage licensees shall have food, cooked or prepared on the
licensed premises, available for on-premises consumption until at least 30
minutes prior to an establishment's closing and that such food shall be
available in all areas of the licensed premises in which spirits are sold or
served.
Issues: The primary advantage to the public and to the
agency of this regulation change is that it will fulfill the requirements of
the legislative mandate and ensure that the regulations are consistent with
statute. There are no disadvantages to the public or the Commonwealth by
promulgating this regulation.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Virginia
Alcoholic Beverage Control Authority Board of Directors (Board) proposes to
require that mixed beverage restaurant licensees have food, cooked or prepared
on the licensed premises, available for on-premises consumption until at least
30 minutes prior to an establishment's closing. Such food would have to be
available in all areas of the licensed premises in which spirits are sold or
served.
Background. Mixed beverage restaurant licensees must already
serve food that is prepared on the premises. The proposed amendment defines
when the food must be available. The proposed text is essentially identical to
Chapter 744 of the 2017 Acts of Assembly, which required the Board to
promulgate this regulation.1
Estimated Benefits and Costs. Of the 5,347 restaurants in the
Commonwealth that have a mixed beverage restaurant license, it is not known how
many already regularly serve food cooked or prepared on the premises until at
least 30 minutes prior to closing. To the degree that costs or benefits result
from this regulation, they are largely attributable to the 2017 legislative
mandate.
Costs. Restaurants that have a mixed beverage restaurant
license and do not already serve food cooked or prepared on the premises until
at least 30 minutes prior to closing would have to either pay for food
preparers or cooks to work longer, or close (and stop selling alcohol) earlier.
Employing food preparers or cooks longer would increase costs for the
restaurants, while closing earlier would reduce revenue.
Benefits. Food consumed in close proximity to drinking can
lower the peak blood alcohol concentration.2 To the extent that
there are licensees that do not meet the current requirement and would meet it
once the rule is in effect, and to the extent that patrons choose to take
advantage of the availability of food when or near when they are drinking, the
proposed amendment could lead to some patrons leaving the premises and driving
with a lower blood alcohol concentration than they otherwise would have. Decreasing
the degree of driver impairment would be beneficial.
Businesses and Other Entities Affected. The proposed amendment
affects the share of the 5,347 restaurants in the Commonwealth that have a
mixed beverage restaurant license and do not already regularly serve food
cooked or prepared on the premises until at least 30 minutes prior to closing.
These restaurants would have to either pay for food preparers or cooks to work
longer, or close (and stop selling alcohol) earlier. Since adverse impact is indicated
if there is any increase in net cost or reduction in net revenue for any
entity, even if the benefits of the proposal exceed the costs for all entities
combined, adverse impact is indicated for this action.
Small Businesses3 Affected: Types and Estimated
Number of Small Businesses Affected. As stated above, the proposed amendment
affects the share of the 5,347 restaurants in the Commonwealth that have a
mixed beverage restaurant license and do not already regularly serve food
cooked or prepared on the premises until at least 30 minutes prior to closing.
Data are not available to determine how many meet the statutory definition of a
small business.4
Costs and Other Effects. The affected small restaurants would
have to either pay for food preparers or cooks to work longer, or close (and
stop selling alcohol) earlier.
Alternative Method that Minimizes Adverse Impact. There are no
clear alternative methods that both reduce adverse impact and meet the intended
policy goals.
Localities5 Affected.6 The proposed
amendment does not disproportionately affect any particular localities or
introduce costs for local governments.
Projected Impact on Employment. The proposed amendment may
moderately increase work hours for food preparers and cooks at restaurants that
have a mixed beverage restaurant license and do not already serve food cooked
or prepared on the premises until at least 30 minutes prior to closing.
Effects on the Use and Value of Private Property. The proposal
would require affected restaurants to either pay for food preparers or cooks to
work longer, or close (and stop selling alcohol) earlier. Employing food
preparers or cooks longer would increase costs for the restaurants, while
closing earlier would reduce revenue. Consequently, the value of these
businesses may be moderately reduced. The proposed amendment does not affect
real estate development costs.
______________________________
1See http://leg1.state.va.us/cgi-bin/legp504.exe?171+sum+SB1216
2See https://www.bgsu.edu/recwell/wellness-connection/alcohol-education/
factors-that-affect-intoxication.html
3Pursuant 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."
4Ibid
5"Locality" can refer to either local
governments or the locations in the Commonwealth where the activities relevant
to the regulatory change are most likely to occur.
6§ 2.2-4007.04 defines "particularly
affected" as bearing disproportionate material impact.
Agency's Response to Economic Impact Analysis: The
Virginia Alcoholic Beverage Control Authority concurs with the Department of
Planning and Budget's economic impact analysis.
Summary:
Pursuant to Chapter 744 of the 2017 Acts of Assembly, the
amendment adds a provision requiring a mixed beverage licensee to have food
available for on-premises consumption until at least 30 minutes prior to the
establishment closing.
3VAC5-50-110. Definitions and qualifications for retail
on-premises and on-premises and off-premises licenses generally; mixed beverage
licensee requirements; exceptions; temporary licenses.
A. The following definitions shall apply to retail licensees
with on-premises consumption privileges and mixed beverage licensees where
appropriate:
1. "Bona fide, full-service restaurant" means an
established place of business where meals are regularly sold to persons and
that has adequate facilities and sufficient employees for cooking, preparing,
and serving such meals for consumption at tables in dining areas on the
premises.
2. "Counter" means a long, narrow surface with
stools or chairs along one side for the patrons, behind which refreshments or
meals are prepared and served.
3. "Designated area" means a room or an area in
which a licensee may exercise the privilege of his license, the location,
equipment and facilities of which room or area have been approved by the board.
The facilities shall be such that patrons may purchase food prepared on the
premises for consumption on the premises at substantially all times that
alcoholic beverages are offered for sale therein.
4. "Dining area" means a public room or area in
which meals are regularly sold at substantially all hours that alcoholic
beverages are offered for sale therein.
5. "Meal" means a selection of foods for one
individual, served and eaten especially at one of the customary, regular
occasions for taking food during the day, such as breakfast, lunch, or dinner,
that consists of at least one main dish of meat, fish, poultry, legumes, nuts,
seeds, eggs, or other protein sources, accompanied by vegetable, fruit, grain,
or starch products.
6. "Table" means an article of furniture supported
by one or more vertical legs or similar supports and having a flat horizontal
surface suitable for the service of meals, not immediately adjacent to the area
where refreshments or meals are prepared.
B. Wine and beer. Retail on-premises or on-premises and
off-premises licenses may be granted to persons operating the following types
of establishments provided that meals or other foods are regularly sold at
substantially all hours that wine and beer are offered for sale and the total
monthly food sales for consumption in dining areas and other designated areas
on the premises are not less than those shown:
1. "Boat" (on premises only). A common carrier of
passengers for which a certificate as a sight-seeing carrier by boat, or a
special or charter party by boat has been issued by the State Corporation
Commission, habitually serving food on the boat:
Monthly sales
.........................................................$2,000
2. "Restaurant." A bona fide dining establishment
regularly selling meals with entrees and other foods prepared on the premises:
Monthly sales .........................................................$2,000
3. "Hotel." Any duly licensed establishment,
provided with special space and accommodation, where, in consideration of
payment, meals and other food prepared on the premises and lodging are
habitually furnished to persons and which has four or more bedrooms:
Monthly sales
.........................................................$2,000
In regard to both restaurants and hotels, at least $1,000 of
the required monthly sales must be in the form of meals.
4. "Gourmet Oyster House." Any duly licensed
establishment, located on the premises of a commercial marina and permitted by
the Department of Health to serve oysters and other fresh seafood for
consumption on the premises, where the licensee also offers to the public
events for the purpose of featuring oysters and other seafood products:
Monthly sales of oysters and other seafood….....$1,000
C. Beer. Retail on-premises or on-premises and off-premises
licenses may be granted to persons operating the following types of
establishments provided that food is regularly sold at substantially all hours
that beer is offered for sale and the total monthly food sales for consumption
in dining areas and other designated areas on the premises are not less than
those shown:
1. "Boat" (on-premises only). See subdivision B 1 of
this section:
Monthly sales
.........................................................$2,000
2. "Restaurant." An establishment regularly selling
food prepared on the premises:
Monthly sales .........................................................$2,000
3. "Hotel." See subdivision B 3 of this section;
Monthly sales
.........................................................$2,000
D. Mixed beverage licenses. Mixed beverage restaurant
licenses may be granted to persons operating bona fide, full-service
restaurants.
1. Service of food in a bona fide, full-service restaurant
shall consist of serving the food to the table on plates or appropriate
dinnerware, accompanied by appropriate tableware. The board may approve the
issuance of a mixed beverage restaurant license to a buffet restaurant if (i)
both alcoholic and nonalcoholic beverage service is provided at the table and
(ii) actual sales show that the requirements of subdivision D 2 of this section
are met.
2. Monthly sales of food prepared on the premises of a mixed
beverage restaurant licensee shall not be less than $4,000, of which at least
$2,000 shall be in the form of meals.
3. A mixed beverage restaurant licensee must have at least as
many seats at tables as at counters.
4. A mixed beverage restaurant licensee shall have food,
cooked or prepared on the licensed premises, available for on-premises
consumption until at least 30 minutes prior to an establishment's closing. Such
food shall be available in all areas of the licensed premises in which spirits
are sold or served.
E. The board may grant a license to an establishment not
meeting the qualifying figures in this section, provided the establishment
otherwise is qualified under the applicable provisions of the Code of Virginia
and this section, if it affirmatively appears that there is a substantial
public demand for such an establishment and that the public convenience will be
promoted by the issuance of the license.
F. Notwithstanding the above subsections A through
E of this section, the board may issue a temporary license for any of the above
retail operations in subsections A through E of this section. Such
licenses may be issued only after application has been filed in accordance with
§ 4.1-230 of the Code of Virginia, and in cases where the sole objection
to issuance of a license is that the establishment will not be qualified in
terms of the sale of food or edible items. If a temporary license is issued,
the board shall conduct an audit of the business after a reasonable period of
operation not to exceed 180 days. Should the business be qualified, the license
applied for may be issued. If the business is not qualified, the application
will become the subject of a hearing if the applicant so desires. No further
temporary license shall be issued to the applicant or to any other person with
respect to the establishment for a period of one year from expiration and, once
the application becomes the subject of a hearing, no temporary license may be
issued.
G. An outside terrace or patio, the location, equipment, and
facilities of which have been approved by the board, may be approved as a
"dining area" or as a "designated area" in the discretion
of the board.
H. Limited mixed beverage licenses may be granted to persons
operating restaurants as defined in § 4.1-100 of the Code of Virginia,
provided that food is regularly sold at substantially all hours that alcoholic
beverages are offered for sale, and the total monthly food sales of food cooked
or prepared on the premises for consumption in dining areas and other
designated areas on the premises are not less than $2,000.
VA.R. Doc. No. R20-6256; Filed May 22, 2020, 4:01 p.m.
TITLE 3. ALCOHOLIC BEVERAGES
ALCOHOLIC BEVERAGE CONTROL AUTHORITY
Final Regulation
Title of Regulation: 3VAC5-50. Retail Operations (adding 3VAC5-50-250).
Statutory Authority: §§ 4.1-103 and 4.1-111 of the
Code of Virginia.
Effective Date: July 23, 2020.
Agency Contact: LaTonya D. Hucks-Watkins, Legal Liaison,
Virginia Alcoholic Beverage Control Authority, 2901 Hermitage Road, Richmond,
VA 23220, telephone (804) 213-4698, FAX (804) 213-4574, or email latonya.hucks-watkins@abc.virginia.gov.
Summary:
The action implements the confectionery license created by
Chapters 173 and 334 of the 2018 Acts of Assembly, which authorizes the
licensee to prepare and sell confectionery on the licensed premises for
off-premises consumption. The provisions require that the confectionery contain
5.0% or less alcohol by volume and that any alcohol contained in such
confectionery shall not be in liquid form at the time such confectionery is
sold. The regulation defines the term "confectionery" and includes
labeling requirements for such confectionery.
Summary of Public Comments and Agency's Response: No
public comments were received by the promulgating agency.
3VAC5-50-250. Confectionery; definition; restrictions;
labeling.
A. "Confectionery" means baked goods and candies
having an alcohol content not more than 5.0% by volume.
B. Any alcohol contained in such confectionery shall not
be in liquid form at the time such confectionery is sold. Such alcohol shall be
fully integrated or blended into the confectionery product.
C. Any such confectionery shall only be sold to those
individuals who can lawfully consume alcohol.
D. Any establishment licensed to sell confectioneries for
off-premises consumption shall properly label the product with such label
including:
1. Notice that the product contains alcohol;
2. Notice that the product can only be consumed off
premises; and
3. Warning that the product should not be consumed by
anyone younger than 21 years of age.
VA.R. Doc. No. R18-5486; Filed May 22, 2020, 4:07 p.m.
TITLE 3. ALCOHOLIC BEVERAGES
ALCOHOLIC BEVERAGE CONTROL AUTHORITY
Fast-Track Regulation
Title of Regulation: 3VAC5-70. Other Provisions (amending 3VAC5-70-220).
Statutory Authority: §§ 4.1-103 and 4.1-111 of the
Code of Virginia.
Public Hearing Information: No public hearings are
scheduled.
Public Comment Deadline: July 23, 2020.
Effective Date: August 8, 2020.
Agency Contact: LaTonya D. Hucks-Watkins, Legal Liaison,
Alcoholic Beverage Control Authority, 2901 Hermitage Road, Richmond, VA 23220,
telephone (804) 213-4698, FAX (804) 213-4574, or email latonya.hucks-watkins@abc.virginia.gov.
Basis: Section 4.1-103 of the Code of Virginia
authorizes the Board of Directors of the Alcoholic Beverage Control Authority
to adopt regulations in accordance with the Administrative Process Act (§
2.2-4000 et seq. of the Code of Virginia) and § 4.1-111 of the Code of
Virginia. Section 4.1-111 provides the board with the authority to adopt
reasonable regulations to carry out the provisions of the Alcoholic Beverage
Control Act (§ 4.1-100 et seq. of the Code of Virginia).
Purpose: The Alcoholic Beverage Control Authority has
undertaken this action as a measure to establish regulations that will allow
persons located within or outside the Commonwealth to sell and ship beer in
closed containers to persons in the Commonwealth to whom beer may be lawfully
sold for off-premises consumption. The amendment is essential to protect the
public health, safety, or welfare because without it, there is nothing
regulating Internet beer retailers as required by the Code of Virginia.
Rationale for Using Fast-Track Rulemaking Process: This
rulemaking change should be noncontroversial because it is in line with
established code and incorporates requirements that have already been in
effect.
Substance: The substantive changes include changing the
language throughout the existing regulation such that "Internet beer
retailer," or a variation thereof, is added to the text in any instance
where a variation of "Internet wine retailer" appears.
Issues: The primary advantage to the public and the
agency of this regulation change is that it will provide guidance for Internet
beer retailer licensees. There are no disadvantages to the public or the
Commonwealth by promulgating this regulation.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Virginia
Alcoholic Beverage Control Board (ABC) seeks to create a new Internet beer
retailer license to authorize sales and shipments of beer to consumers in
Virginia. Hence, ABC proposes to amend 3VAC5-70-220 Wine or Beer Shipper's
Licenses and Internet Wine Retailer Licenses; Application Process; Common
Carriers; Records and Reports to insert Internet Beer Retail Licenses to the
section title as well as the text of the section. As such, all provisions that
currently apply to wine or beer shipper's licenses and Internet wine retail
licenses would be extended to Internet beer retail licenses.
Background. The 2018 Acts of Assembly (Chapter 337) created and
defined an Internet beer retail license.1 Accordingly, § 4.1-208(A)(10)
of the Code of Virginia authorizes persons licensed as Internet beer retailers
and located within or outside the Commonwealth to sell and ship beer in
accordance with Virginia Code § 4.1-209.1 and board regulations.2
The language of § 4.1-208(A)(10) mirrors that of § 4.1-207(6) regarding
the Internet wine retail license.3 In 2008, ABC amended 3 VAC
5-70-220 to incorporate Internet wine retail licenses and now proposes to
incorporate Internet beer retail licenses in an identical manner.4
Estimated Benefits and Costs. Allowing Internet beer retailers
to sell, and ship, directly to individual consumers is likely to benefit
businesses engaged in beer retail as well as beer consumers by providing the
flexibility to conduct their transactions online. Internet beer retailers would
likely be able to earn greater revenue, and likely greater profits, from
selling directly to individuals who want their product. Consumers would benefit
from the convenience of purchasing beer online. Expanding the market for beer
in this way would likely increase competition among beer retailers, which would
in turn benefit consumers to the extent that it leads to lower prices, better
quality, greater variety, or any combination thereof. On the other hand, to the
extent that individual consumers substitute Internet purchases for local retail
purchases, brick-and-mortar stores that have been, until now, the only source
of beer for off-site consumption would likely experience decreases in revenue.
Those applying for an Internet beer license would have to pay a
(statutorily set) $150 annual licensure fee (in addition to a nonrefundable
application fee of $195) and would have to meet the same recordkeeping
requirements that currently apply to beer and wine shippers and Internet wine
retail licensees. As per current regulation, these licensees "shall
maintain for two years complete and accurate records of all shipments made
under the privileges of such licenses, including for each shipment:
1. Number of containers shipped;
2. Volume of each container shipped;
3. Brand of each container shipped;
4. Names and addresses of recipients; and
5. Price charged."
Further, on or before the 15th of each month, licensees are
also required to file a report with the Tax Management Section of ABC
indicating whether any shipments were made during the month, and if so, provide
all the information listed for each shipment.
Businesses and Other Entities Affected. ABC reported that since
the statute came into effect in 2018, they have already granted two Internet
beer licenses, although they could not clarify if these licensees had
previously held a shipper's license or a retail license. The proposed
amendments would benefit current and future Internet beer retail licensees.
Grocery stores, convenience stores, and other brick-and-mortar
locations selling beer would likely be adversely affected if their consumers
opt to make purchases on the Internet instead of buying from the stores, unless
they engage in online retail and choose to obtain an Internet beer retail
license.
Small Businesses5 Affected. Types and Estimated
Number of Small Businesses Affected. Although ABC does not track its small
businesses, they report that the majority of their licensees are likely to be
small businesses. Virginia has 151 breweries, 71 beer and ale wholesalers,
1,308 supermarkets and grocery stores, 1,055 convenience stores, and 99 beer
and wine stores that are considered small businesses.6 However, the
effect of the proposed amendments on any particular small business would depend
on their own decision, as well as the decisions made by their competitors,
about the extent to which they engage in Internet beer retail. Grocery stores
and convenience stores that do not currently engage in any beer retail may not
be affected at all.
Costs and Other Effects. The proposed amendments would likely
benefit small independent breweries and beer, wine and liquor stores by
allowing them to advertise online and expand their sales in parts of the state
where they do not currently ship their product. However, this benefit could be
limited depending on the competitiveness of Internet beer retail. Conversely,
small supermarkets, grocery stores and convenience stores that sell beer may
see decreased revenues from beer sales in brick-and-mortar locations. However,
brick-and-mortar locations provide consumers with the convenience of immediate
access to a wide variety of domestic and imported beers without additional
shipping costs, so any adverse impact is unlikely to be substantive in nature
at least in the short run.
Alternative Method that Minimizes Adverse Impact. There are no
clear alternative methods that both reduce adverse impact and meet the intended
policy goals.
Localities7 Affected.8 The proposed
amendments do not disproportionately affect particular localities or introduce
new costs for local governments.
Projected Impact on Employment. The proposed amendments are
unlikely to affect total employment in the industry.
Effects on the Use and Value of Private Property. Real estate
development costs do not appear to be affected.
______________________________
1See http://lis.virginia.gov/cgi-bin/legp604.exe?181+ful+CHAP0337
2See https://law.lis.virginia.gov/vacode/title4.1/chapter2/section4.1-208/ (Beer License) and https://law.lis.virginia.gov/vacode/title4.1/chapter2/section4.1-209.1/ (Direct shipment of wine and beer; shipper's license.)
3See https://law.lis.virginia.gov/vacode/title4.1/chapter2/section4.1-207/ (Wine License)
4See https://townhall.virginia.gov/L/ViewAction.cfm?actionid=2517, which became effective May 1, 2008.
5Pursuant 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."
6Data source: Virginia Employment Commission
7"Locality" can refer to either local
governments or the locations in the Commonwealth where the activities relevant
to the regulatory change are most likely to occur.
8§ 2.2-4007.04 defines "particularly
affected" as bearing disproportionate material impact.
Agency's Response to Economic Impact Analysis: The
Virginia Alcoholic Beverage Control Authority concurs with the Department of
Planning and Budget's economic impact analysis.
Summary:
Chapter 337 of the 2018 Acts of Assembly creates an
Internet beer retailer license and sets the fee for such license. This
regulatory action implements Chapter 337 and establishes license requirements,
including application, shipping, record keeping, and reporting.
3VAC5-70-220. Wine or beer shipper's licenses, and
Internet wine retailer licenses, and Internet beer retailer licenses;
application process; common carriers; records and reports.
A. Any person or entity qualified for a wine shipper's
license or beer shipper's license pursuant to § 4.1-209.1 of the Code of
Virginia, or an Internet wine retailer license pursuant to subdivision 6
of § 4.1-207 of the Code of Virginia, or an Internet beer retailer
license pursuant to subdivision A 10 of § 4.1-208 of the Code of Virginia,
must apply for such license by submitting form 805-52, Application for License.
In addition to the application, each applicant shall submit as attachments a
list of all brands of wine or beer sought to be shipped by the applicant, along
with the board-assigned code numbers for each brand or a copy of the label
approval by the appropriate federal agency for any brand not previously
approved for sale in Virginia pursuant to 3VAC5-40-20 or 3VAC5-40-50
that will be sold only through direct shipment to consumers.
If the applicant is not also the brand owner of the brands
listed in the application, the applicant shall obtain and submit with the
application a dated letter identifying each brand, from the brand owner or any
wholesale distributor authorized to distribute the brand, addressed to the
Supervisor, Tax Management Section, Virginia Department of Alcoholic
Beverage Control Authority, indicating the brand owner's or wholesale
distributor's consent to the applicant's shipping the brand to Virginia
consumers.
The applicant shall attach (i) a photocopy of its current
license as a winery, farm winery, brewery, or alcoholic beverage retailer
issued by the appropriate authority for the location from which shipments will
be made and (ii) evidence of the applicant's registration with the Virginia
Department of Taxation for the collection of Virginia retail sales tax.
B. Any brewery, winery, or farm winery that applies
for a shipper's license or consents to the application by any other person,
other than a retail off-premises licensee, for a license to ship such
brewery's, winery's, or farm winery's brands of wine or beer shall
notify all wholesale licensees that have been authorized to distribute such
brands in Virginia that an application for a shipper's license has been filed.
Such notification shall be by a dated letter to each such wholesale licensee,
setting forth the brands that wholesaler has been authorized to distribute in
Virginia for which a shipper's license has been applied. A copy of each such
letter shall be forwarded to the Supervisor, Tax Management Section, by the
brewery, winery, or farm winery.
C. Any holder of a wine or beer shipper's license or,
Internet wine retailer's license, or Internet beer retailer's license
may add or delete brands to be shipped by letter to the Supervisor, Tax
Management Section, designating the brands to be added or deleted. Any letter
adding brands shall be accompanied by any appropriate brand-owner consents or
notices to wholesalers as required with an original application.
D. Any brand owner that consents to a holder of a wine
shipper's license, beer shipper's license, or Internet wine retailer's
license, or Internet beer retailer's license shipping its brands to
Virginia consumers may withdraw such consent by a dated letter to the affected
wine or beer shipper's licensee or, Internet wine retailer's
licensee, or Internet beer retailer's licensee. Copies of all such
withdrawals shall be forwarded by the brand owner, by certified mail, return
receipt requested, to the Supervisor, Tax Management Section. Withdrawals shall
become effective upon receipt of the copy by the Tax Management Section, as
evidenced by the postmark on the return receipt.
E. Wine shipper's licensees, beer shipper's licensees, and
Internet wine retailer's licensees, and Internet beer retailer's licensees
shall maintain for two years complete and accurate records of all shipments
made under the privileges of such licenses, including for each shipment:
1. Number of containers shipped;
2. Volume of each container shipped;
3. Brand of each container shipped;
4. Names and addresses of recipients; and
5. Price charged.
The records required by this subsection shall be made
available for inspection and copying by any member of the board or its special
agents upon request.
F. On or before the 15th day of each month, each wine
shipper's licensee, beer shipper's licensee, or Internet wine retailer's
licensee, or Internet beer retailer's licensee shall file with the
Supervisor, Tax Management Section, either in paper form or electronically as
directed by the department, a report of activity for the previous calendar
month. Such report shall include:
1. Whether any shipments were made during the month; and
2. If shipments were made, the following information for each
shipment:
a. Number of
containers shipped;
b. Volume of
each container shipped;
c. Brand of
each container shipped;
d. Names and
addresses of recipients; and
e. Price
charged.
Unless otherwise paid, payment of the appropriate beer or
wine tax shall accompany each report.
G. All shipments by holders of wine shipper's licenses, beer
shipper's licenses, or Internet wine retailer's licenses, or Internet
beer retailer's licenses shall be by approved common carrier only. Common
carriers possessing all necessary licenses or permits to operate as common
carriers in Virginia may apply for approval to provide common carriage of wine
or beer, or both, shipped by holders of wine shipper's licenses, beer shipper's
licenses, or Internet wine retailer's licenses, or Internet beer
retailer's licenses by dated letter to the Supervisor, Tax Management
Section, requesting such approval and agreeing to perform deliveries of beer or
wine shipped, maintain records, and submit reports in accordance with the
requirements of this section. The board may refuse, suspend, or revoke
approval if it shall have reasonable cause to believe that a carrier does not
possess all necessary licenses or permits, that a carrier has failed to comply
with the regulations of the board, or that a cause exists with respect to the
carrier that would authorize the board to refuse, suspend, or revoke a
license pursuant to Title 4.1 of the Code of Virginia. Before refusing,
suspending, or revoking such approval, the board shall follow the same
administrative procedures accorded an applicant or licensee under Title 4.1 of
the Code of Virginia and regulations of the board.
H. When attempting to deliver wine or beer shipped by a wine
shipper's licensee, beer shipper's licensee, or Internet wine retailer's
licensee, or Internet beer retailer's licensee, an approved common
carrier shall require:
1. The recipient to demonstrate, upon delivery, that he
the recipient is at least 21 years of age; and
2. The recipient to sign an electronic or paper form or other acknowledgement
acknowledgment of receipt that allows the maintenance of the records
required by this section.
The approved common carrier shall refuse delivery when the
proposed recipient appears to be under the age of younger than 21
years of age and refuses to present valid identification. All licensees
shipping wine or beer pursuant to this section shall affix a conspicuous notice
in 16-point type or larger to the outside of each package of wine or beer
shipped within or into the Commonwealth, in a conspicuous location stating:
"CONTAINS ALCOHOLIC BEVERAGES; SIGNATURE OF PERSON AGED 21 YEARS OR OLDER
REQUIRED FOR DELIVERY." Such notice shall also contain the wine shipper's,
beer shipper's, or Internet wine retailer's license, or Internet beer
retailer's license number of the shipping licensee. No approved common
carrier shall accept for shipment any wine or beer to be shipped to anyone
other than a licensee of the board unless the package bears the information
required by this subsection.
I. Approved common carriers shall maintain for two years
complete and accurate records of all shipments of wine or beer received from
and delivered for wine or beer shipper's licensees, or Internet wine
retailer's licensees, or Internet beer retailer's licensees, including
for each shipment:
1. Date of
shipment and delivery;
2. Number of
items shipped and delivered;
3. Weight of
items shipped and delivered;
4.
Acknowledgement signed by recipient; and
5. Names and
addresses of shippers and recipients.
The records required by this subsection shall be made
available for inspection and copying by any member of the board or its special
agents upon request.
J. On or before the 15th day of each January, April, July,
and October, each approved common carrier shall file with the Supervisor, Tax
Management Section, a report of activity for the previous calendar quarter.
Such report shall include:
1. Whether any shipments were delivered during the quarter;
and
2. If shipments were made, the following information for each
shipment:
a. Dates of each delivery; and
b. Names and address of shippers and recipients for each
delivery.
VA.R. Doc. No. R20-6257; Filed May 22, 2020, 3:59 p.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Withdrawal of Forms Action
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation.
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre.
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities.
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects.
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities.
The State Water Control Board has
WITHDRAWN the Forms revision action that was published in 36:21 VA.R. 2298 June 8, 2020. This action would have amended two
forms. The action is being withdrawn because the State Water Control Board will
be updating additional forms for these chapters and incorporating the updated
forms from this action into that future consolidated Forms revision action.
Contact Information: Gary Graham, Regulatory Analyst,
Department of Environmental Quality, 1111 East Main Street, Suite 1400,
Richmond, VA 23219, telephone (804) 698-4103, or email gary.graham@deq.virginia.gov.
VA.R. Doc. No. R20-6373; Filed June 3, 2020, 11:05 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Final Regulation
Title of Regulation: 9VAC25-260. Water Quality Standards (amending 9VAC25-260-155).
Statutory Authority: § 62.1-44.15 the Code of Virginia; Clean Water Act (33 USC § 1251 et seq.); 40 CFR 131.
Effective Date: Effective upon the filing of notice of approval by the U.S. Environmental Protection Agency with the Registrar of Regulations.
Agency Contact: David Whitehurst, Department of Environmental Quality, 1111 East Main Street, Suite 1400, P.O. Box 1105, Richmond, VA 23218, telephone (804) 698-4121, FAX (804) 698-4032, or email david.whitehurst@deq.virginia.gov.
Summary:
The amendments, which originally were part of the Triennial Review of the water quality standards, update the freshwater ammonia water quality criteria for the protection of freshwater aquatic life to the latest recommendations of the U.S. Environmental Protection Agency and provide for implementation of the new criteria by regulated dischargers.
Changes to the proposed regulation include (i) prohibiting the four-day average ammonia concentration in freshwater to exceed 2.5 times the chronic criterion within a 30-day period more than once every three years on the average; and (ii) adding a phased implementation plan for regulated dischargers that meets the funding and timing requirements consistent with the federal Clean Water Act pursuant to Chapters 510 and 511 of the 2018 Acts of Assembly.
Summary of Public Comments and Agency's Response: No public comments were received by the promulgating agency.
9VAC25-260-155. Ammonia surface water quality criteria.
A. The Department of Environmental Quality, after consultation with the Virginia Department of [ Game and Inland Fisheries Wildlife Resources ] and the U.S. Fish and Wildlife Service, has determined that the majority of Virginia freshwaters are likely to contain, or have contained in the past, freshwater mussel species in the family Unionidae and contain early life stages of fish during most times of the year. Therefore, the ammonia criteria presented in subsections B and C of this section are designed to provide protection to these species and life stages. In an instance where it can be adequately demonstrated that either freshwater mussels or early life stages of fish are not present in a specific waterbody, potential options for alternate, site-specific criteria are presented in subsection D of this section. Acute criteria are a one-hour average concentration not to be exceeded more than once every three years1 on the average, and chronic criteria are 30-day average concentrations not to be exceeded more than once every three years on the average.2 [ In addition, the four-day average concentration of total ammonia nitrogen (in mg N/L) shall not exceed 2.5 times the chronic criterion within a 30-day period more than once every three years on the average. ]
[ 1The default design flow for calculating steady state wasteload allocations for the acute ammonia criterion for freshwater is the 1Q10 (see 9VAC25-260-140 B footnote 6) unless statistically valid methods are employed that demonstrate compliance with the duration and return frequency of the water quality criteria.
2The default design flow for calculating steady state wasteload allocations for the chronic ammonia criterion for freshwater is the 30Q10 (see 9VAC25-260-140 B footnote 6) unless statistically valid methods are employed which demonstrate compliance with the duration and return frequency of the water quality criteria. ]
B. The one-hour average concentration of total ammonia nitrogen (in mg N/L) in freshwater shall not exceed, more than once every three years on the average1, the acute criteria for total ammonia (in mg N/L) for freshwaters with trout absent or present are [ below in the following tables ]:
Acute Ammonia Freshwater Criteria Total Ammonia Nitrogen (mg N/L)
|
pH
| Trout Present
| Trout Absent
|
6.5
| 32.6
| 48.8
|
6.6
| 31.3
| 46.8
|
6.7
| 29.8
| 44.6
|
6.8
| 28.1
| 42.0
|
6.9
| 26.2
| 39.1
|
7.0
| 24.1
| 36.1
|
7.1
| 22.0
| 32.8
|
7.2
| 19.7
| 29.5
|
7.3
| 17.5
| 26.2
|
7.4
| 15.4
| 23.0
|
7.5
| 13.3
| 19.9
|
7.6
| 11.4
| 17.0
|
7.7
| 9.65
| 14.4
|
7.8
| 8.11
| 12.1
|
7.9
| 6.77
| 10.1
|
8.0
| 5.62
| 8.40
|
8.1
| 4.64
| 6.95
|
8.2
| 3.83
| 5.72
|
8.3
| 3.15
| 4.71
|
8.4
| 2.59
| 3.88
|
8.5
| 2.14
| 3.20
|
8.6
| 1.77
| 2.65
|
8.7
| 1.47
| 2.20
|
8.8
| 1.23
| 1.84
|
8.9
| 1.04
| 1.56
|
9.0
| 0.885
| 1.32
|
The acute criteria for trout present shall apply to all Class V-Stockable Trout Waters and Class VI-Natural Trout Waters as listed in 9VAC25-260-390 through 9VAC25-260-540. The acute criteria for trout absent apply to all other fresh waters.
To calculate total ammonia nitrogen acute criteria values in freshwater at different pH values than those listed in this subsection, use the following formulas equations and round the result to two significant digits:
Where trout are present absent:
Acute Criterion Concentration (mg N/L) =
| 0.275
| +
| 39.0
|
| (1 + 107.204-pH)
| (1 + 10pH-7.204)
|
| 0.7249 X ( | 0.0114 | + | 1.6181 | ) X MIN |
| 1 + 107.204-pH | 1 + 10pH-7.204 |
Where MIN = 51.93 or 23.12 X 100.036 X (20 – T), whichever is less
T = Temperature in oC
Or where trout are absent present, whichever of the [ below following ] calculation results is less:
Acute Criterion Concentration (mg N/L) =
| 0.411
| +
| 58.4
|
| (1 + 107.204-pH)
| (1 + 10pH-7.204)
|
1The default design flow for calculating steady state waste load allocations for the acute ammonia criterion is the 1Q10 (see 9VAC25-260-140 B footnote 10) unless statistically valid methods are employed which demonstrate compliance with the duration and return frequency of the water quality criteria.
| ( | 0.275 | + | 39.0 | ) |
| 1 + 107.204-pH | 1 + 10pH-7.204 |
or
| 0.7249 X ( | 0.0114 | + | 1.6181 | ) X (23.12 X 100.036X(20 – T)) |
| 1 + 107.204-pH | 1 + 10pH-7.204 |
T = Temperature in oC
B. C. The 30-day average concentration of chronic criteria for total ammonia nitrogen (in mg N/L) where freshwater mussels and early life stages of fish are present in freshwater shall not exceed, more than once every three years on the average2, the chronic criteria are [ below in the following table ]:
Chronic Ammonia Freshwater Criteria Early Life Stages of Fish Present Total Ammonia Nitrogen (mg N/L)
|
| Temperature (°C)
|
pH
| 0
| 14
| 16
| 18
| 20
| 22
| 24
| 26
| 28
| 30
|
6.5
| 6.67
| 6.67
| 6.06
| 5.33
| 4.68
| 4.12
| 3.62
| 3.18
| 2.80
| 2.46
|
6.6
| 6.57
| 6.57
| 5.97
| 5.25
| 4.61
| 4.05
| 3.56
| 3.13
| 2.75
| 2.42
|
6.7
| 6.44
| 6.44
| 5.86
| 5.15
| 4.52
| 3.98
| 3.50
| 3.07
| 2.70
| 2.37
|
6.8
| 6.29
| 6.29
| 5.72
| 5.03
| 4.42
| 3.89
| 3.42
| 3.00
| 2.64
| 2.32
|
6.9
| 6.12
| 6.12
| 5.56
| 4.89
| 4.30
| 3.78
| 3.32
| 2.92
| 2.57
| 2.25
|
7.0
| 5.91
| 5.91
| 5.37
| 4.72
| 4.15
| 3.65
| 3.21
| 2.82
| 2.48
| 2.18
|
7.1
| 5.67
| 5.67
| 5.15
| 4.53
| 3.98
| 3.50
| 3.08
| 2.70
| 2.38
| 2.09
|
7.2
| 5.39
| 5.39
| 4.90
| 4.31
| 3.78
| 3.33
| 2.92
| 2.57
| 2.26
| 1.99
|
7.3
| 5.08
| 5.08
| 4.61
| 4.06
| 3.57
| 3.13
| 2.76
| 2.42
| 2.13
| 1.87
|
7.4
| 4.73
| 4.73
| 4.30
| 3.78
| 3.32
| 2.92
| 2.57
| 2.26
| 1.98
| 1.74
|
7.5
| 4.36
| 4.36
| 3.97
| 3.49
| 3.06
| 2.69
| 2.37
| 2.08
| 1.83
| 1.61
|
7.6
| 3.98
| 3.98
| 3.61
| 3.18
| 2.79
| 2.45
| 2.16
| 1.90
| 1.67
| 1.47
|
7.7
| 3.58
| 3.58
| 3.25
| 2.86
| 2.51
| 2.21
| 1.94
| 1.71
| 1.50
| 1.32
|
7.8
| 3.18
| 3.18
| 2.89
| 2.54
| 2.23
| 1.96
| 1.73
| 1.52
| 1.33
| 1.17
|
7.9
| 2.80
| 2.80
| 2.54
| 2.24
| 1.96
| 1.73
| 1.52
| 1.33
| 1.17
| 1.03
|
8.0
| 2.43
| 2.43
| 2.21
| 1.94
| 1.71
| 1.50
| 1.32
| 1.16
| 1.02
| 0.897
|
8.1
| 2.10
| 2.10
| 1.91
| 1.68
| 1.47
| 1.29
| 1.14
| 1.00
| 0.879
| 0.773
|
8.2
| 1.79
| 1.79
| 1.63
| 1.43
| 1.26
| 1.11
| 0.973
| 0.855
| 0.752
| 0.661
|
8.3
| 1.52
| 1.52
| 1.39
| 1.22
| 1.07
| 0.941
| 0.827
| 0.727
| 0.639
| 0.562
|
8.4
| 1.29
| 1.29
| 1.17
| 1.03
| 0.906
| 0.796
| 0.700
| 0.615
| 0.541
| 0.475
|
8.5
| 1.09
| 1.09
| 0.990
| 0.870
| 0.765
| 0.672
| 0.591
| 0.520
| 0.457
| 0.401
|
8.6
| 0.920
| 0.920
| 0.836
| 0.735
| 0.646
| 0.568
| 0.499
| 0.439
| 0.386
| 0.339
|
8.7
| 0.778
| 0.778
| 0.707
| 0.622
| 0.547
| 0.480
| 0.422
| 0.371
| 0.326
| 0.287
|
8.8
| 0.661
| 0.661
| 0.601
| 0.528
| 0.464
| 0.408
| 0.359
| 0.315
| 0.277
| 0.244
|
8.9
| 0.565
| 0.565
| 0.513
| 0.451
| 0.397
| 0.349
| 0.306
| 0.269
| 0.237
| 0.208
|
9.0
| 0.486
| 0.486
| 0.442
| 0.389
| 0.342
| 0.300
| 0.264
| 0.232
| 0.204
| 0.179
|
To calculate total ammonia nitrogen chronic criteria values in freshwater when fish freshwater mussels and early life stages of fish are present at different pH and temperature values than those listed in this subsection, use the following formulas equation and round the result to two significant digits:
Chronic Criteria Concentration =
( | 0.0577 | + | 2.487 | ) | x MIN |
(1 + 107.688-pH) | (1 + 10pH-7.688) |
Where MIN = 2.85 or 1.45 x 100.028(25-T), whichever is less.
| 0.8876 X ( | 0.0278 | + | 1.1994 | ) X (2.126 X 100.028 X (20 - MAX(T,7))) |
| 1 + 107.688-pH | 1 + 10pH-7.688 |
Where MAX = 7 or temperature in degrees Celsius, whichever is greater
T = temperature in °C
2The default design flow for calculating steady state waste load allocations for the chronic ammonia criterion where early life stages of fish are present is the 30Q10 (see 9VAC25-260-140 B footnote 10) unless statistically valid methods are employed which demonstrate compliance with the duration and return frequency of the water quality criteria.
D. Site-specific considerations and alternate criteria. If it can be adequately demonstrated that freshwater mussels or early life stages of fish are not present at a site, then alternate site-specific criteria can be considered using the information provided in this subsection. Recalculated site-specific criteria shall provide for the attainment and maintenance of the water quality standards of downstream waters.
1. Site-specific modifications to the ambient water quality criteria for ammonia to account for the absence of freshwater mussels or early life stages of fish shall be conducted in accordance with the procedures contained in this subdivision. Because the department presumes that most state waterbodies have freshwater mussels and early life stages of fish present during most times of the year, the criteria shall be calculated assuming freshwater mussels and early life stages of fish are present using subsections B and C of this section unless the following demonstration that freshwater mussels or early life stages of fish are absent is successfully completed. Determination of the absence of freshwater mussels requires special field survey methods. This determination must be made after an adequate survey of the waterbody is conducted by an individual certified by the Virginia Department of [ Game and Inland Fisheries (DGIF) Wildlife Resources ] for freshwater mussel identification and surveys. Determination of absence of freshwater mussels will be done in consultation with the [ DGIF Department of Wildlife Resources ]. Early life stages of fish are defined in subdivision 2 of this subsection. Modifications to the ambient water quality criteria for ammonia based on the presence or absence of early life stages of fish shall only apply at temperatures below 15°C.
a. During the review of any new or existing activity that has a potential to discharge ammonia in amounts that may cause or contribute to a violation of the ammonia criteria contained in subsection B of this section, the department may examine data from the following approved sources in subdivisions 1 a (1) through (5) of this subsection or may require the gathering of data in accordance with subdivisions 1 a (1) through (5) on the presence or absence of early life stages of fish in the affected waterbody.
(1) Species and distribution data contained in the Virginia Department of [ Game and Inland Fisheries Wildlife Resources ] Wildlife Information System database.
(2) Species and distribution data contained in Freshwater Fishes of Virginia, 1994.
(3) Data and fish species distribution maps contained in Handbook for Fishery Biology, Volume 3, 1997.
(4) Field data collected in accordance with U.S. EPA's Rapid Bioassessment Protocols for Use in Streams and Wadeable Rivers, Second Edition, EPA 841-B-99-002. Field data must comply with all quality assurance and quality control criteria.
(5) The American Society for Testing and Materials (ASTM) Standard E-1241-88, Standard Guide for Conducting Early Life-Stage Toxicity Tests with Fishes.
b. If data or information from sources other than subdivisions 1 a (1) through (5) of this subsection are considered, then any resulting site-specific criteria modifications shall be reviewed and adopted in accordance with the site-specific criteria provisions in 9VAC25-260-140 D and submitted to EPA for review and approval.
c. If the department determines that the data and information obtained from subdivisions 1 a (1) through (5) of this subsection demonstrate that there are periods of each year when no early life stages are expected to be present for any species of fish that occur at the site, the department shall issue a notice to the public and make available for public comment the supporting data and analysis along with the department's preliminary decision to authorize the site-specific modification to the ammonia criteria. Such information shall include, at a minimum:
(1) Sources of data and information.
(2) List of fish species that occur at the site as defined in subdivision 3 of this subsection.
(3) Definition of the site. Definition of a "site" can vary in geographic size from a stream segment to a watershed to an entire eco-region.
(4) Duration of early life stage for each species in subdivision 1 c (2) of this subsection.
(5) Dates when early life stages of fish are expected to be present for each species in subdivision 1 c (2) of this subsection.
(6) Based on subdivision 1 c (5) of this subsection, identify the dates (beginning date, ending date), if any, where no early life stages are expected to be present for any of the species identified in subdivision 1 c (2) of this subsection.
d. If, after reviewing the public comments received in subdivision 1 c of this subsection and supporting data and information, the department determines that there are times of the year [ where when ] no early life stages are expected to be present for any fish species that occur at the site, then the applicable ambient water quality criteria for ammonia for those time periods shall be calculated using the table in this subsection, or the formula for calculating the chronic criterion concentration for ammonia when early life stages of fish are absent.
e. The department shall maintain a comprehensive list of all sites where the department has determined that early life stages of fish are absent. For each site the list will identify the waterbodies affected and the corresponding times of the year that early life stages of fish are absent. This list is available either upon request from the Office of Water Quality Programs at [ 629 1111 ] East Main Street, [ Suite 1400 ] Richmond, VA 23219, or from the department website at http://www.deq.virginia.gov/programs/water/waterqualityinformationtmdls/waterqualitystandards.aspx.
2. The duration of the "early life stages" extends from the beginning of spawning through the end of the early life stages. The early life stages include the prehatch embryonic period, the post-hatch free embryo or yolk-sac fry, and the larval period, during which the organism feeds. Juvenile fish, which are anatomically similar to adults, are not considered an early life stage. The duration of early life stages can vary according to fish species. The department considers the sources of information in subdivisions 1 a (1) through (5) of this subsection to be the only acceptable sources of information for determining the duration of early life stages of fish under this procedure.
3. "Occur at the site" includes the species, genera, families, orders, classes, and phyla that are usually present at the site; are present at the site only seasonally due to migration; are present intermittently because they periodically return to or extend their ranges into the site; or were present at the site in the past or are present in nearby bodies of water, but are not currently present at the site due to degraded conditions, and are expected to return to the site when conditions improve. "Occur at the site" does not include taxa that were once present at the site but cannot exist at the site now due to permanent physical alteration of the habitat at the site.
4. Any modifications to ambient water quality criteria for ammonia in subdivision 1 of this subsection shall not likely jeopardize the continued existence of any federal or state listed, threatened, or endangered species or result in the destruction or adverse modification of such species' critical habitats.
5. Site-specific modifications to the ambient water quality criteria for ammonia to account for the absence of freshwater mussels shall be conducted in accordance with the procedures contained in this [ subdivision subsection ]. Because the department presumes that most state waterbodies have freshwater mussel species, the criteria shall be calculated assuming mussels are present using subsections B and C of this section unless the demonstration that freshwater mussels are absent is successfully completed and accepted by DEQ and [ DGIF the Department of Wildlife Resources ].
6. Equations for calculating ammonia criteria for four different site-specific scenarios are provided [ below in subdivisions 6 a through d of this subsection ] as follows: (i) acute criteria when mussels are absent but trout are present, (ii) acute criteria when mussels and trout are absent, (iii) chronic criteria when mussels are absent and early life stages of fish are present, and (iv) chronic criteria when mussels and early life stages of fish are absent. Additional information regarding site-specific criteria can be reviewed in appendix N (pages 225‑242) of the EPA Aquatic Life Ambient Water Quality Criteria to Ammonia--Freshwater 2013 (EPA 822-R-13-001).
a. Acute criteria: freshwater mussels absent and trout present. To calculate total ammonia nitrogen acute criteria values (in mg N/L) in freshwater with freshwater mussels absent (procedures for making this determination are in subdivisions 1 through 5 of this subsection) and trout present, use the [ following ] equations [ below ]. The acute criterion is the lesser of the [ following ] calculation results [ below ]. Round the result to two significant digits.
| ( | 0.275 | + | 39 | ) |
| 1 + 107.204-pH | 1 + 10pH-7.204 |
or
| 0.7249 X ( | 0.0114 | + | 1.6181 | ) X (62.15 X 100.036X(20 – T)) |
| 1 + 107.204-pH | 1 + 10pH-7.204 |
b. Acute criteria: freshwater mussels absent and trout absent. To calculate total ammonia nitrogen acute criteria values (in mg N/L) in freshwater where freshwater mussels are absent and trout are absent, use the following equation. Round the result to two significant digits.
| 0.7249 X ( | 0.0114 | + | 1.6181 | ) X MIN |
| 1 + 107.204-pH | 1 + 10pH-7.204 |
Where MIN = 51.93 or 62.15 X 100.036 X (20 – T), whichever is less
T = Temperature in oC
C. The 30-day average concentration of c. Chronic criteria: freshwater mussels absent and early life stages of fish present. The chronic criteria for total ammonia nitrogen (in mg N/L) where early life stages of fish freshwater mussels are absent (procedures for making this determination are in subdivisions 1 through 4 5 of this subsection) in freshwater shall not exceed, more than once every three years on the average3, the chronic criteria [ below: ] concentration values calculated using the [ following ] equation. Round the result to two significant digits.
Chronic Ammonia Freshwater Criteria Early Life Stages of Fish Absent Total Ammonia Nitrogen (mg N/L)
|
| Temperature (°C)
|
pH
| 0-7
| 8
| 9
| 10
| 11
| 12
| 13
| 14
| 15
| 16
|
6.5
| 10.8
| 10.1
| 9.51
| 8.92
| 8.36
| 7.84
| 7.35
| 6.89
| 6.46
| 6.06
|
6.6
| 10.7
| 9.99
| 9.37
| 8.79
| 8.24
| 7.72
| 7.24
| 6.79
| 6.36
| 5.97
|
6.7
| 10.5
| 9.81
| 9.20
| 8.62
| 8.08
| 7.58
| 7.11
| 6.66
| 6.25
| 5.86
|
6.8
| 10.2
| 9.58
| 8.98
| 8.42
| 7.90
| 7.40
| 6.94
| 6.51
| 6.10
| 5.72
|
6.9
| 9.93
| 9.31
| 8.73
| 8.19
| 7.68
| 7.20
| 6.75
| 6.33
| 5.93
| 5.56
|
7.0
| 9.60
| 9.00
| 8.43
| 7.91
| 7.41
| 6.95
| 6.52
| 6.11
| 5.73
| 5.37
|
7.1
| 9.20
| 8.63
| 8.09
| 7.58
| 7.11
| 6.67
| 6.25
| 5.86
| 5.49
| 5.15
|
7.2
| 8.75
| 8.20
| 7.69
| 7.21
| 6.76
| 6.34
| 5.94
| 5.57
| 5.22
| 4.90
|
7.3
| 8.24
| 7.73
| 7.25
| 6.79
| 6.37
| 5.97
| 5.60
| 5.25
| 4.92
| 4.61
|
7.4
| 7.69
| 7.21
| 6.76
| 6.33
| 5.94
| 5.57
| 5.22
| 4.89
| 4.59
| 4.30
|
7.5
| 7.09
| 6.64
| 6.23
| 5.84
| 5.48
| 5.13
| 4.81
| 4.51
| 4.23
| 3.97
|
7.6
| 6.46
| 6.05
| 5.67
| 5.32
| 4.99
| 4.68
| 4.38
| 4.11
| 3.85
| 3.61
|
7.7
| 5.81
| 5.45
| 5.11
| 4.79
| 4.49
| 4.21
| 3.95
| 3.70
| 3.47
| 3.25
|
7.8
| 5.17
| 4.84
| 4.54
| 4.26
| 3.99
| 3.74
| 3.51
| 3.29
| 3.09
| 2.89
|
7.9
| 4.54
| 4.26
| 3.99
| 3.74
| 3.51
| 3.29
| 3.09
| 2.89
| 2.71
| 2.54
|
8.0
| 3.95
| 3.70
| 3.47
| 3.26
| 3.05
| 2.86
| 2.68
| 2.52
| 2.36
| 2.21
|
8.1
| 3.41
| 3.19
| 2.99
| 2.81
| 2.63
| 2.47
| 2.31
| 2.17
| 2.03
| 1.91
|
8.2
| 2.91
| 2.73
| 2.56
| 2.40
| 2.25
| 2.11
| 1.98
| 1.85
| 1.74
| 1.63
|
8.3
| 2.47
| 2.32
| 2.18
| 2.04
| 1.91
| 1.79
| 1.68
| 1.58
| 1.48
| 1.39
|
8.4
| 2.09
| 1.96
| 1.84
| 1.73
| 1.62
| 1.52
| 1.42
| 1.33
| 1.25
| 1.17
|
8.5
| 1.77
| 1.66
| 1.55
| 1.46
| 1.37
| 1.28
| 1.20
| 1.13
| 1.06
| 0.990
|
8.6
| 1.49
| 1.40
| 1.31
| 1.23
| 1.15
| 1.08
| 1.01
| 0.951
| 0.892
| 0.836
|
8.7
| 1.26
| 1.18
| 1.11
| 1.04
| 0.976
| 0.915
| 0.858
| 0.805
| 0.754
| 0.707
|
8.8
| 1.07
| 1.01
| 0.944
| 0.885
| 0.829
| 0.778
| 0.729
| 0.684
| 0.641
| 0.601
|
8.9
| 0.917
| 0.860
| 0.806
| 0.756
| 0.709
| 0.664
| 0.623
| 0.584
| 0.548
| 0.513
|
9.0
| 0.790
| 0.740
| 0.694
| 0.651
| 0.610
| 0.572
| 0.536
| 0.503
| 0.471
| 0.442
|
At 15°C and above, the criterion for fish early life stages absent is the same as the criterion for fish early life stages present.
To calculate total ammonia nitrogen chronic criteria values in freshwater when fish early life stages are absent at different pH and temperature values than those listed in this subsection, use the following formulas:
Chronic Criteria Concentration =
(
| 0.0577
| +
| 2.487
| )
| x 1.45(100.028(25-MAX))
|
(1 + 107.688-pH)
| (1 + 10pH-7.688)
|
MAX = temperature in °C or 7, whichever is greater.
3The default design flow for calculating steady state waste load allocations for the chronic ammonia criterion where early life stages of fish are absent is the 30Q10 (see 9VAC25-260-140 B footnote 10) unless statistically valid methods are employed that demonstrate compliance with the duration and return frequency of the water quality criteria.
1. Site-specific modifications to the ambient water quality criteria for ammonia to account for the absence of early life stages of fish shall be conducted in accordance with the procedures contained in this subdivision. Because the department presumes that most state waterbodies have early life stages of fish present during most times of the year, the criteria shall be calculated assuming early life stages of fish are present using subsection B of this section unless the following demonstration that early life stages are absent is successfully completed. Early life stages of fish are defined in subdivision 2 of this subsection. Modifications to the ambient water quality criteria for ammonia based on the presence or absence of early life stages of fish shall only apply at temperatures below 15°C.
a. During the review of any new or existing activity that has a potential to discharge ammonia in amounts that may cause or contribute to a violation of the ammonia criteria contained in subsection B of this section, the department may examine data from the following approved sources in subdivisions 1 a (1) through (5) of this subsection or may require the gathering of data in accordance with subdivisions 1 a (1) through (5) on the presence or absence of early life stages of fish in the affected waterbody.
(1) Species and distribution data contained in the Virginia Department of Game and Inland Fisheries Wildlife Information System database.
(2) Species and distribution data contained in Freshwater Fishes of Virginia, 1994.
(3) Data and fish species distribution maps contained in Handbook for Fishery Biology, Volume 3, 1997.
(4) Field data collected in accordance with U.S. EPA's Rapid Bioassessment Protocols for Use in Streams and Wadeable Rivers, Second Edition, EPA 841-B-99-002. Field data must comply with all quality assurance/quality control criteria.
(5) The American Society for Testing and Materials (ASTM) Standard E-1241-88, Standard Guide for Conducting Early Life-Stage Toxicity Tests with Fishes.
b. If data or information from sources other than subdivisions 1 a (1) through (5) of this subsection are considered, then any resulting site-specific criteria modifications shall be reviewed and adopted in accordance with the site-specific criteria provisions in 9VAC25-260-140 D, and submitted to EPA for review and approval.
c. If the department determines that the data and information obtained from subdivisions 1 a (1) through (5) of this subsection demonstrate that there are periods of each year when no early life stages are expected to be present for any species of fish that occur at the site, the department shall issue a notice to the public and make available for public comment the supporting data and analysis along with the department's preliminary decision to authorize the site-specific modification to the ammonia criteria. Such information shall include, at a minimum:
(1) Sources of data and information.
(2) List of fish species that occur at the site as defined by subdivision 3 of this subsection.
(3) Definition of the site. Definition of a "site" can vary in geographic size from a stream segment to a watershed to an entire eco-region.
(4) Duration of early life stage for each species in subdivision 1 c (2) of this subsection.
(5) Dates when early life stages of fish are expected to be present for each species in subdivision 1 c (2) of this subsection.
(6) Based on subdivision 1 c (5) of this subsection, identify the dates (beginning date, ending date), if any, where no early life stages are expected to be present for any of the species identified in subdivision 1 c (2) of this subsection.
d. If, after reviewing the public comments received in subdivision 1 c of this subsection and supporting data and information, the department determines that there are times of the year where no early life stages are expected to be present for any fish species that occur at the site, then the applicable ambient water quality criteria for ammonia for those time periods shall be calculated using the table in this subsection, or the formula for calculating the chronic criterion concentration for ammonia when fish early life stages are absent.
e. The department shall maintain a comprehensive list of all sites where the department has determined that early life stages of fish are absent. For each site the list will identify the waterbodies affected and the corresponding times of the year that early life stages are absent. This list is available either upon request from the Office of Water Quality Programs at P.O. Box 1105, Richmond, Virginia 23218 or from the department website http://www.deq.virginia.gov/wqs.
2. The duration of the "early life stages" extends from the beginning of spawning through the end of the early life stages. The early life stages include the prehatch embryonic period, the post-hatch free embryo or yolk-sac fry, and the larval period, during which the organism feeds. Juvenile fish, which are anatomically similar to adults, are not considered an early life stage. The duration of early life stages can vary according to fish species. The department considers the sources of information in subdivisions 1 a (1) through (5) of this subsection to be the only acceptable sources of information for determining the duration of early life stages of fish under this procedure.
3. "Occur at the site" includes the species, genera, families, orders, classes, and phyla that: are usually present at the site; are present at the site only seasonally due to migration; are present intermittently because they periodically return to or extend their ranges into the site; were present at the site in the past or are present in nearby bodies of water, but are not currently present at the site due to degraded conditions, and are expected to return to the site when conditions improve. "Occur at the site" does not include taxa that were once present at the site but cannot exist at the site now due to permanent physical alteration of the habitat at the site.
4. Any modifications to ambient water quality criteria for ammonia in subdivision 1 of this subsection shall not likely jeopardize the continued existence of any federal or state listed, threatened or endangered species or result in the destruction or adverse modification of such species' critical habitat.
| 0.9405 X ( | 0.0278 | + | 1.1994 | ) X MIN |
| 1 + 107.688-pH | 1 + 10pH-7.688 |
Where MIN = 6.920 or 7.547 X 100.028 x (20 – T) whichever is less
T = temperature in °C
d. Chronic criteria: freshwater mussels absent and early life stages of fish absent. The chronic criteria for total ammonia nitrogen (in mg N/L) where freshwater mussels are absent and early life stages of fish are absent (procedures for making this determination are in subdivisions 1 through 5 of this subsection) in freshwater shall not exceed concentration values calculated using the [ following ] equation [ below ]. Round the result to two significant digits.
| 0.9405 X ( | 0.0278 | + | 1.1994 | ) X(7.547 X 100.028 X (20 -MAX(T,7))) |
| 1 + 107.688-pH | 1 + 10pH-7.688 |
Where MAX = 7 or temperature in degrees Celsius, whichever is greater
T = temperature in °C
D. E. The one-hour average concentration of total ammonia nitrogen (in mg N/L) in saltwater shall not exceed, more than once every three years on the average, the acute criteria [ below in the following table ]:
Acute Ammonia Saltwater Criteria Total Ammonia Nitrogen (mg N/L) Salinity = 10 g/kg |
| Temperature °C |
pH | 0 | 5 | 10 | 15 | 20 | 25 | 30 | 35 |
7.00 | 231.9 | 159.8 | 110.1 | 75.88 | 52.31 | 36.08 | 24.91 | 17.21 |
7.20 | 146.4 | 100.9 | 69.54 | 47.95 | 33.08 | 22.84 | 15.79 | 10.93 |
7.40 | 92.45 | 63.73 | 43.94 | 30.32 | 20.94 | 14.48 | 10.03 | 6.97 |
7.60 | 58.40 | 40.28 | 27.80 | 19.20 | 13.28 | 9.21 | 6.40 | 4.47 |
7.80 | 36.92 | 25.48 | 17.61 | 12.19 | 8.45 | 5.88 | 4.11 | 2.89 |
8.00 | 23.37 | 16.15 | 11.18 | 7.76 | 5.40 | 3.78 | 2.66 | 1.89 |
8.20 | 14.81 | 10.26 | 7.13 | 4.97 | 3.48 | 2.46 | 1.75 | 1.27 |
8.40 | 9.42 | 6.54 | 4.57 | 3.20 | 2.27 | 1.62 | 1.18 | 0.87 |
8.60 | 6.01 | 4.20 | 2.95 | 2.09 | 1.50 | 1.09 | 0.81 | 0.62 |
8.80 | 3.86 | 2.72 | 1.93 | 1.39 | 1.02 | 0.76 | 0.58 | 0.46 |
9.00 | 2.51 | 1.79 | 1.29 | 0.95 | 0.71 | 0.55 | 0.44 | 0.36 |
Salinity = 20 g/kg |
| Temperature °C |
pH | 0 | 5 | 10 | 15 | 20 | 25 | 30 | 35 |
7.00 | 247.6 | 170.5 | 117.5 | 80.98 | 55.83 | 38.51 | 26.58 | 18.36 |
7.20 | 156.3 | 107.7 | 74.21 | 51.17 | 35.30 | 24.37 | 16.84 | 11.66 |
7.40 | 98.67 | 68.01 | 46.90 | 32.35 | 22.34 | 15.44 | 10.70 | 7.43 |
7.60 | 62.33 | 42.98 | 29.66 | 20.48 | 14.17 | 9.82 | 6.82 | 4.76 |
7.80 | 39.40 | 27.19 | 18.78 | 13.00 | 9.01 | 6.26 | 4.37 | 3.07 |
8.00 | 24.93 | 17.23 | 11.92 | 8.27 | 5.76 | 4.02 | 2.83 | 2.01 |
8.20 | 15.80 | 10.94 | 7.59 | 5.29 | 3.70 | 2.61 | 1.86 | 1.34 |
8.40 | 10.04 | 6.97 | 4.86 | 3.41 | 2.41 | 1.72 | 1.24 | 0.91 |
8.60 | 6.41 | 4.47 | 3.14 | 2.22 | 1.59 | 1.15 | 0.85 | 0.65 |
8.80 | 4.11 | 2.89 | 2.05 | 1.47 | 1.07 | 0.80 | 0.61 | 0.48 |
9.00 | 2.67 | 1.90 | 1.36 | 1.00 | 0.75 | 0.57 | 0.46 | 0.37 |
Salinity = 30 g/kg |
| Temperature °C |
pH | 0 | 5 | 10 | 15 | 20 | 25 | 30 | 35 |
7.00 | 264.6 | 182.3 | 125.6 | 86.55 | 59.66 | 41.15 | 28.39 | 19.61 |
7.20 | 167.0 | 115.1 | 79.31 | 54.68 | 37.71 | 26.03 | 17.99 | 12.45 |
7.40 | 105.5 | 72.68 | 50.11 | 34.57 | 23.87 | 16.50 | 11.42 | 7.92 |
7.60 | 66.61 | 45.93 | 31.69 | 21.88 | 15.13 | 10.48 | 7.28 | 5.07 |
7.80 | 42.10 | 29.05 | 20.07 | 13.88 | 9.62 | 6.68 | 4.66 | 3.27 |
8.00 | 26.63 | 18.40 | 12.73 | 8.83 | 6.14 | 4.29 | 3.01 | 2.13 |
8.20 | 16.88 | 11.68 | 8.10 | 5.64 | 3.94 | 2.78 | 1.97 | 1.42 |
8.40 | 10.72 | 7.44 | 5.18 | 3.63 | 2.56 | 1.82 | 1.31 | 0.96 |
8.60 | 6.83 | 4.77 | 3.34 | 2.36 | 1.69 | 1.22 | 0.90 | 0.68 |
8.80 | 4.38 | 3.08 | 2.18 | 1.56 | 1.13 | 0.84 | 0.64 | 0.50 |
9.00 | 2.84 | 2.01 | 1.45 | 1.06 | 0.79 | 0.60 | 0.47 | 0.39 |
| | | | | | | | | | | | | | | | |
To calculate total ammonia nitrogen acute criteria values in saltwater at different pH and temperature values than those listed in this subsection, use the following formulas:
I = | 19.9273S |
(1000 - 1.005109S) |
Where I = molal ionic strength of water
S = Salinity ppt (g/kg)
The regression model used to relate I to pKa (negative log of the ionization constant) is
pKa = 9.245 + 0.138(I)
pKa as defined by these equations is at 298 degrees Kelvin (25°C).
T °Kelvin = °C + 273
To correct for other temperatures:
pKaST = pKaS298 + 0.0324(298 - T °Kelvin)
The unionized ammonia fraction (UIA) is given by:
The acute ammonia criterion in saltwater is given by:
Multiply the acute value by 0.822 to get the ammonia-N acute criterion.
E. F. The 30-day average concentration of total ammonia nitrogen (in mg N/L) in saltwater shall not exceed, more than once every three years on the average, the chronic criteria [ below in the following table ]:
Chronic Ammonia Saltwater Criteria Total Ammonia Nitrogen (mg N/L) Salinity = 10 g/kg |
| Temperature °C |
pH | 0 | 5 | 10 | 15 | 20 | 25 | 30 | 35 |
7.00 | 34.84 | 24.00 | 16.54 | 11.40 | 7.86 | 5.42 | 3.74 | 2.59 |
7.20 | 21.99 | 15.15 | 10.45 | 7.20 | 4.97 | 3.43 | 2.37 | 1.64 |
7.40 | 13.89 | 9.57 | 6.60 | 4.55 | 3.15 | 2.18 | 1.51 | 1.05 |
7.60 | 8.77 | 6.05 | 4.18 | 2.88 | 2.00 | 1.38 | 0.96 | 0.67 |
7.80 | 5.55 | 3.83 | 2.65 | 1.83 | 1.27 | 0.88 | 0.62 | 0.43 |
8.00 | 3.51 | 2.43 | 1.68 | 1.17 | 0.81 | 0.57 | 0.40 | 0.28 |
8.20 | 2.23 | 1.54 | 1.07 | 0.75 | 0.52 | 0.37 | 0.26 | 0.19 |
8.40 | 1.41 | 0.98 | 0.69 | 0.48 | 0.34 | 0.24 | 0.18 | 0.13 |
8.60 | 0.90 | 0.63 | 0.44 | 0.31 | 0.23 | 0.16 | 0.12 | 0.09 |
8.80 | 0.58 | 0.41 | 0.29 | 0.21 | 0.15 | 0.11 | 0.09 | 0.07 |
9.00 | 0.38 | 0.27 | 0.19 | 0.14 | 0.11 | 0.08 | 0.07 | 0.05 |
Salinity = 20 g/kg | |
| Temperature °C | |
pH | 0 | 5 | 10 | 15 | 20 | 25 | 30 | 35 | |
7.00 | 37.19 | 25.62 | 17.65 | 12.16 | 8.39 | 5.78 | 3.99 | 2.76 | |
7.20 | 23.47 | 16.17 | 11.15 | 7.69 | 5.30 | 3.66 | 2.53 | 1.75 | |
7.40 | 14.82 | 10.22 | 7.04 | 4.86 | 3.36 | 2.32 | 1.61 | 1.12 | |
7.60 | 9.36 | 6.46 | 4.46 | 3.08 | 2.13 | 1.47 | 1.02 | 0.71 | |
7.80 | 5.92 | 4.08 | 2.82 | 1.95 | 1.35 | 0.94 | 0.66 | 0.46 | |
8.00 | 3.74 | 2.59 | 1.79 | 1.24 | 0.86 | 0.60 | 0.43 | 0.30 | |
8.20 | 2.37 | 1.64 | 1.14 | 0.79 | 0.56 | 0.39 | 0.28 | 0.20 | |
8.40 | 1.51 | 1.05 | 0.73 | 0.51 | 0.36 | 0.26 | 0.19 | 0.14 | |
8.60 | 0.96 | 0.67 | 0.47 | 0.33 | 0.24 | 0.17 | 0.13 | 0.10 | |
8.80 | 0.62 | 0.43 | 0.31 | 0.22 | 0.16 | 0.12 | 0.09 | 0.07 | |
9.00 | 0.40 | 0.28 | 0.20 | 0.15 | 0.11 | 0.09 | 0.07 | 0.06 | |
Salinity = 30 g/kg | |
| Temperature °C | |
pH | 0 | 5 | 10 | 15 | 20 | 25 | 30 | 35 | |
7.00 | 39.75 | 27.38 | 18.87 | 13.00 | 8.96 | 6.18 | 4.27 | 2.95 | |
7.20 | 25.09 | 17.29 | 11.91 | 8.21 | 5.67 | 3.91 | 2.70 | 1.87 | |
7.40 | 15.84 | 10.92 | 7.53 | 5.19 | 3.59 | 2.48 | 1.72 | 1.19 | |
7.60 | 10.01 | 6.90 | 4.76 | 3.29 | 2.27 | 1.57 | 1.09 | 0.76 | |
7.80 | 6.32 | 4.36 | 3.01 | 2.08 | 1.44 | 1.00 | 0.70 | 0.49 | |
8.00 | 4.00 | 2.76 | 1.91 | 1.33 | 0.92 | 0.64 | 0.45 | 0.32 | |
8.20 | 2.53 | 1.75 | 1.22 | 0.85 | 0.59 | 0.42 | 0.30 | 0.21 | |
8.40 | 1.61 | 1.12 | 0.78 | 0.55 | 0.38 | 0.27 | 0.20 | 0.14 | |
8.60 | 1.03 | 0.72 | 0.50 | 0.35 | 0.25 | 0.18 | 0.14 | 0.10 | |
8.80 | 0.66 | 0.46 | 0.33 | 0.23 | 0.17 | 0.13 | 0.10 | 0.08 | |
9.00 | 0.43 | 0.30 | 0.22 | 0.16 | 0.12 | 0.09 | 0.07 | 0.06 | |
| | | | | | | | | | | | | | | | | | | | | | | |
To calculate total ammonia nitrogen chronic criteria values in saltwater at different pH and temperature values than those listed in this subsection, use the following formulas:
I = | 19.9273S |
(1000 - 1.005109S) |
Where I = molal ionic strength of water
S = Salinity ppt (g/kg)
The regression model used to relate I to pKa (negative log of the ionization constant) is
pKa = 9.245 + 0.138(I)
pKa as defined by these equations is at 298 degrees Kelvin (25°C).
T °Kelvin = °C + 273
To correct for other temperatures:
pKaST = pKaS298 + 0.0324(298 - T °Kelvin)
The unionized ammonia fraction (UIA) is given by:
The chronic ammonia criterion in saltwater is given by:
Multiply the chronic value by 0.822 to get the ammonia-N chronic criterion.
[ 1The default design flow for calculating steady state wasteload allocations for the acute ammonia criterion for freshwater is the 1Q10 (see 9VAC25-260-140 B footnote 10 unless statistically valid methods are employed which demonstrate compliance with the duration and return frequency of the water quality criteria.
2The default design flow for calculating steady state wasteload allocations for the chronic ammonia criterion for freshwater is the 30Q10 (see 9VAC25-260-140 B footnote 10 unless statistically valid methods are employed which demonstrate compliance with the duration and return frequency of the water quality criteria. ]
G. [ Implementation of ammonia criteria through Virginia Pollutant Discharge Elimination System (VPDES) Permits. The ammonia criteria in subsections A, B, and C of this section shall be addressed during individual VPDES permit reissuance for existing dischargers subject to new or more restrictive water quality-based ammonia effluent limits in accordance with the department's standard permitting practices except as follows:
1. Notwithstanding any other regulatory requirement, a compliance schedule may be established that exceeds the term of the permit, subject to a demonstration by the permittee that a longer period is necessary to allow a reasonable opportunity to attain compliance with the new or more restrictive ammonia discharge requirements. The department's consideration for such a demonstration shall be made on a case-by-case basis and shall require compliance as soon as possible, but not later than the applicable statutory deadline under the Clean Water Act.
2. Information to be provided under subdivision 1 of this subsection may include such factors as (i) opportunities to minimize costs to the public or facility owners by phasing in the implementation of multiple projects, (ii) time needed for freshwater mussel habitat determinations, and (iii) other relevant factors.
3. If a permit establishes a schedule of compliance that exceeds the term of the permit, the compliance schedule shall set forth interim requirements and the dates for their achievement.
a. The time between interim dates shall not exceed one year.
b. If the time necessary for completion of any interim requirement is more than one year and is not readily divisible into stages for completion, the permit shall specify interim dates for the submission of reports of progress toward completion of the interim requirements and indicate a projected completion date.
c. The permit shall be written to require that no later than 14 days following each interim date and the final date of compliance, the permittee shall notify the department in writing of its compliance or noncompliance with the interim or final requirements, or submit progress reports if subdivision 3 b of this subsection is applicable.
d. Any change to an interim compliance date in the schedule of compliance will be deemed to be a minor modification of the permit, provided the new date is not more than 120 days after the date specified in the existing permit and does not interfere with attainment of the final compliance date requirement.
Implementation of freshwater ammonia water quality criteria in subsections B and C of this section through VPDES permits issued pursuant to Virginia Pollutant Discharge Elimination System (VPDES) Permit Regulation (9VAC25-31).
1. The criteria in subsections B and C of this section shall be implemented in VPDES permits that are being reissued to facilities in accordance with the following schedule:
a. Major municipal facilities with design flows greater than or equal to five million gallons per day and major industrial facilities - 12 months following the Water Quality Standards effective date.
b. Municipal facilities with design flows greater than or equal to 500,000 gallons per day and less than five million gallons per day and all minor industrial facilities - 24 months following the Water Quality Standards effective date.
c. Minor municipal facilities with design flows that are less than 500,000 gallons per day - 36 months following the Water Quality Standards effective date.
2. VPDES permits shall not be revoked and reissued to avoid or delay being subject to the freshwater ammonia water quality criteria in subsections B and C of this section in accordance with the schedule in subdivision G 1 of this section.
3. The provisions of 9VAC25-31-250 A 3 notwithstanding, a permittee may request and the board may authorize, as appropriate, an extended schedule of compliance, which exceeds the term of the VPDES permit and may include multiple permit cycles to achieve effluent limits based on the freshwater ammonia water quality criteria in subsections B and C of this section.
a. Any extended schedule of compliance necessary for the implementation of the freshwater ammonia water quality criteria shall require compliance as soon as possible in accordance with 9VAC25-31-250 A 1. The board may consider the following factors on a case-by-case basis, relying on information provided by the permittee, in making a determination of the timeframe that meets the standard of "as soon as possible":
(1) The relative priority of freshwater ammonia water quality criteria and other water quality and water infrastructure needs of the local community or permittee;
(2) Availability of grant funding pursuant to § 10.1-2131 of the Code of Virginia and other treatment facility expansion and upgrade plans;
(3) Whether an extended schedule of compliance is appropriate for facilities or classes of facilities; and
(4) Appropriate mechanisms to address affordability limitations and financial hardship situations remaining notwithstanding subdivisions G 1 a, G 1 b, and G 1 c of this section.
b. Any request by the permittee for an extended schedule of compliance shall include at the time of permit application at a minimum the following information:
(1) Documentation of other water quality and water infrastructure projects that are in the planning, design, or construction process and the relative priority of the projects in relation to compliance with the freshwater ammonia water quality criteria.
(2) A preliminary engineering analysis of treatment facility upgrade or source reduction alternatives necessary to meet the freshwater ammonia criteria. The analysis may include any additional upgrade or expansion plans currently under consideration. The analysis shall be prepared by a professional engineer registered in Virginia and shall include an estimation of the capital and operations and maintenance costs.
(3) An assessment of project affordability and identification of all potential sources of funding for enhanced ammonia treatment. In the case of publicly owned treatment works, include an evaluation of the required sewer use fees versus median household income.
(4) Documentation that demonstrates the minimum estimated time required and schedule to design, fund, and construct the selected treatment or source reduction alternative.
(5) An evaluation prepared by a professional engineer registered in Virginia of the highest achievable condition (HAC) regarding nitrification capabilities of the existing treatment facility under the influent loading conditions expected during the term of the VPDES permit as well as under design loading conditions.
c. Any VPDES permit that authorizes an extended schedule of compliance for meeting the freshwater ammonia water quality criteria that exceeds the permit term shall include interim effluent limitations based on the HAC attainable during the term of the permit, final effluent limitations, and a final compliance date.
d. New dischargers defined in 9VAC25-31 are not eligible for extended schedules of compliance under this section; however, they remain eligible for schedules of compliance consistent with 9VAC25-31-250.
A permittee may seek a site-specific modification or variance to the freshwater ammonia water quality criteria under 9VAC25-260-140 D or E as applicable. ]
VA.R. Doc. No. R20-5530; Filed June 2, 2020, 8:30 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Withdrawal of Forms Action
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation.
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre.
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities.
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects.
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities.
The State Water Control Board has
WITHDRAWN the Forms revision action that was published in 36:21 VA.R. 2298 June 8, 2020. This action would have amended two
forms. The action is being withdrawn because the State Water Control Board will
be updating additional forms for these chapters and incorporating the updated
forms from this action into that future consolidated Forms revision action.
Contact Information: Gary Graham, Regulatory Analyst,
Department of Environmental Quality, 1111 East Main Street, Suite 1400,
Richmond, VA 23219, telephone (804) 698-4103, or email gary.graham@deq.virginia.gov.
VA.R. Doc. No. R20-6373; Filed June 3, 2020, 11:05 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Withdrawal of Forms Action
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation.
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre.
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities.
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects.
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities.
The State Water Control Board has
WITHDRAWN the Forms revision action that was published in 36:21 VA.R. 2298 June 8, 2020. This action would have amended two
forms. The action is being withdrawn because the State Water Control Board will
be updating additional forms for these chapters and incorporating the updated
forms from this action into that future consolidated Forms revision action.
Contact Information: Gary Graham, Regulatory Analyst,
Department of Environmental Quality, 1111 East Main Street, Suite 1400,
Richmond, VA 23219, telephone (804) 698-4103, or email gary.graham@deq.virginia.gov.
VA.R. Doc. No. R20-6373; Filed June 3, 2020, 11:05 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Withdrawal of Forms Action
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation.
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre.
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities.
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects.
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities.
The State Water Control Board has
WITHDRAWN the Forms revision action that was published in 36:21 VA.R. 2298 June 8, 2020. This action would have amended two
forms. The action is being withdrawn because the State Water Control Board will
be updating additional forms for these chapters and incorporating the updated
forms from this action into that future consolidated Forms revision action.
Contact Information: Gary Graham, Regulatory Analyst,
Department of Environmental Quality, 1111 East Main Street, Suite 1400,
Richmond, VA 23219, telephone (804) 698-4103, or email gary.graham@deq.virginia.gov.
VA.R. Doc. No. R20-6373; Filed June 3, 2020, 11:05 a.m.
TITLE 9. ENVIRONMENT
STATE WATER CONTROL BOARD
Withdrawal of Forms Action
Titles of Regulations: 9VAC25-210. Virginia Water
Protection Permit Program Regulation.
9VAC25-660. Virginia Water Protection General Permit for
Impacts Less Than One-Half Acre.
9VAC25-670. Virginia Water Protection General Permit for
Facilities and Activities of Utility and Public Service Companies Regulated by
the Federal Energy Regulatory Commission or the State Corporation Commission
and Other Utility Line Activities.
9VAC25-680. Virginia Water Protection General Permit for
Linear Transportation Projects.
9VAC25-690. Virginia Water Protection General Permit for
Impacts from Development and Certain Mining Activities.
The State Water Control Board has
WITHDRAWN the Forms revision action that was published in 36:21 VA.R. 2298 June 8, 2020. This action would have amended two
forms. The action is being withdrawn because the State Water Control Board will
be updating additional forms for these chapters and incorporating the updated
forms from this action into that future consolidated Forms revision action.
Contact Information: Gary Graham, Regulatory Analyst,
Department of Environmental Quality, 1111 East Main Street, Suite 1400,
Richmond, VA 23219, telephone (804) 698-4103, or email gary.graham@deq.virginia.gov.
VA.R. Doc. No. R20-6373; Filed June 3, 2020, 11:05 a.m.
TITLE 12. HEALTH
STATE BOARD OF BEHAVIORAL HEALTH AND DEVELOPMENTAL SERVICES
Final Regulation
Title of Regulation: 12VAC35-105. Rules and
Regulations for Licensing Providers by the Department of Behavioral Health and
Developmental Services (amending 12VAC35-105-20, 12VAC35-105-30,
12VAC35-105-50, 12VAC35-105-120, 12VAC35-105-150, 12VAC35-105-155,
12VAC35-105-160, 12VAC35-105-170, 12VAC35-105-320, 12VAC35-105-330,
12VAC35-105-400, 12VAC35-105-440, 12VAC35-105-450, 12VAC35-105-460,
12VAC35-105-500, 12VAC35-105-520, 12VAC35-105-530, 12VAC35-105-580,
12VAC35-105-590, 12VAC35-105-620, 12VAC35-105-650, 12VAC35-105-660,
12VAC35-105-665, 12VAC35-105-675, 12VAC35-105-691, 12VAC35-105-800,
12VAC35-105-830, 12VAC35-105-1140, 12VAC35-105-1250, 12VAC35-105-1360; adding
12VAC35-105-1245).
Statutory Authority: §§ 37.2-302 and 37.2-400 of the
Code of Virginia.
Effective Date: August 1, 2020.
Agency Contact: Emily Bowles, Legal Coordinator, Office
of Licensing, Department of Behavioral Health and Developmental Services, 1220
Bank Street, P.O. Box 1797, Richmond, VA 23218, telephone (804) 225-3281, FAX
(804) 692-0066, TTY (804) 371-8977, or email emily.bowles@dbhds.virginia.gov.
Summary:
This regulatory action addresses several items necessary
for compliance with the U.S. Department of Justice's Settlement Agreement with
Virginia, including facilitating the submission of necessary information by
providers after a serious incident occurs, establishing the required quality
and risk management processes, and strengthening case management services.
The amendments to provider provisions include requiring (i)
the person leading risk management activities to have certain training and
experience in investigations, root cause analysis, and data analysis; (ii)
annual risk assessments, to include review of the environment, staff
competence, seclusion and restraint, serious incidents, and risk triggers and
thresholds; (iii) policies and procedures for a quality improvement program
that includes a quality improvement plan reviewed and updated at least
annually; (iv) a root cause analysis of serious incidents that occur during the
provision of a service or on the provider's premises; and (v) case management
direct assessments. The amendments also establish three levels of patient
incidents to improve reporting of serious incidents.
Changes to the proposed regulation were made for
consistency, clarification purposes, and for improved organization.
Summary of Public Comments and Agency's Response: A
summary of comments made by the public and the agency's response may be
obtained from the promulgating agency or viewed at the office of the Registrar
of Regulations.
Article 2
Definitions
12VAC35-105-20. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Abuse" (§ 37.2-100 of the Code of Virginia)
means any act or failure to act by an employee or other person responsible for
the care of an individual in a facility or program operated, licensed, or
funded by the department, excluding those operated by the Virginia Department
of Corrections, that was performed or was failed to be performed knowingly,
recklessly, or intentionally, and that caused or might have caused physical or
psychological harm, injury, or death to a person an individual
receiving care or treatment for mental illness, mental retardation
(intellectual disability) developmental disabilities, or substance
abuse (substance use disorders). Examples of abuse include acts such as:
1. Rape, sexual assault, or other criminal sexual behavior;
2. Assault or battery;
3. Use of language that demeans, threatens, intimidates, or
humiliates the person individual;
4. Misuse or misappropriation of the person's individual's
assets, goods, or property;
5. Use of excessive force when placing a person an
individual in physical or mechanical restraint;
6. Use of physical or mechanical restraints on a person
an individual that is not in compliance with federal and state laws,
regulations, and policies, professional accepted standards of practice, or the
person's his individualized services plan; or
7. Use of more restrictive or intensive services or denial of
services to punish the person an individual or that is not
consistent with the person's his individualized services plan.
"Activities of daily living" or "ADLs"
means personal care activities and includes bathing, dressing, transferring,
toileting, grooming, hygiene, feeding, and eating. An individual's degree of
independence in performing these activities is part of determining the
appropriate level of care and services.
"Admission" means the process of acceptance into a
service as defined by the provider's policies.
"Authorized representative" means a person
permitted by law or 12VAC35-115 to authorize the disclosure of information or
consent to treatment and services or participation in human research.
"Behavior intervention" means those principles and
methods employed by a provider to help an individual receiving services to
achieve a positive outcome and to address challenging behavior in a
constructive and safe manner. Behavior intervention principles and methods must
shall be employed in accordance with the individualized services plan
and written policies and procedures governing service expectations, treatment
goals, safety, and security.
"Behavioral treatment plan," "functional
plan," or "behavioral support plan" means any set of documented
procedures that are an integral part of the individualized services plan and
are developed on the basis of a systematic data collection, such as a
functional assessment, for the purpose of assisting individuals to achieve the
following:
1. Improved behavioral functioning and effectiveness;
2. Alleviation of symptoms of psychopathology; or
3. Reduction of challenging behaviors.
"Brain injury" means any injury to the brain that
occurs after birth, but before age 65, that is acquired through traumatic or
nontraumatic insults. Nontraumatic insults may include anoxia, hypoxia,
aneurysm, toxic exposure, encephalopathy, surgical interventions, tumor, and
stroke. Brain injury does not include hereditary, congenital, or degenerative
brain disorders or injuries induced by birth trauma.
"Care" or "treatment" "Care,"
"treatment," or "support" means the individually
planned therapeutic interventions that conform to current acceptable
professional practice and that are intended to improve or maintain functioning
of an individual receiving services delivered by a provider.
"Case management service" or "support
coordination service" means services that can include assistance to
individuals and their family members in assessing accessing
needed services that are responsive to the person's individual individual's
needs. Case management services include identifying potential users of the
service; assessing needs and planning services; linking the individual to
services and supports; assisting the individual directly to locate, develop, or
obtain needed services and resources; coordinating services with other
providers; enhancing community integration; making collateral contacts;
monitoring service delivery; discharge planning; and advocating for individuals
in response to their changing needs. "Case management service" does
not include assistance in which the only function is maintaining service
waiting lists or periodically contacting or tracking individuals to determine
potential service needs.
"Clinical experience" means providing direct services
to individuals with mental illness or the provision of direct geriatric
services or special education services. Experience may include supervised
internships, practicums, and field experience.
"Commissioner" means the Commissioner of the
Department of Behavioral Health and Developmental Services.
"Community gero-psychiatric residential services"
means 24-hour care provided to individuals with mental illness, behavioral
problems, and concomitant health problems who are usually age 65 or older in a
geriatric setting that is less intensive than a psychiatric hospital but more
intensive than a nursing home or group home. Services include assessment and
individualized services planning by an interdisciplinary services team, intense
supervision, psychiatric care, behavioral treatment planning and behavior
interventions, nursing, and other health related services.
"Community intermediate care facility/mental
retardation" or "ICF/MR" means a residential facility in which
care is provided to individuals who have mental retardation (intellectual
disability) or a developmental disability who need more intensive training and
supervision than may be available in an assisted living facility or group home.
Such facilities shall comply with Title XIX of the Social Security Act
standards and federal certification requirements, provide health or
rehabilitative services, and provide active treatment to individuals receiving
services toward the achievement of a more independent level of functioning or
an improved quality of life.
"Complaint" means an allegation of a violation of
this chapter or a provider's policies and procedures related to this chapter.
"Co-occurring disorders" means the presence of more
than one and often several of the following disorders that are identified
independently of one another and are not simply a cluster of symptoms resulting
from a single disorder: mental illness, mental retardation (intellectual
disability) a developmental disability, or substance abuse
(substance use disorders);, or brain injury; or developmental
disability.
"Co-occurring services" means individually planned
therapeutic treatment that addresses in an integrated concurrent manner the
service needs of individuals who have co-occurring disorders.
"Corrective action plan" means the provider's
pledged corrective action in response to cited areas of noncompliance
documented by the regulatory authority. A corrective action plan must be
completed within a specified time.
"Correctional facility" means a facility operated
under the management and control of the Virginia Department of Corrections.
"Crisis" means a deteriorating or unstable
situation often developing suddenly or rapidly that produces acute, heightened,
emotional, mental, physical, medical, or behavioral distress or any situation
or circumstance in which the individual perceives or experiences a sudden loss
of the individual's ability to use effective problem-solving and coping skills.
"Crisis stabilization" means direct, intensive
nonresidential or residential direct care and treatment to nonhospitalized
individuals experiencing an acute crisis that may jeopardize their current
community living situation. Crisis stabilization is intended to avert
hospitalization or rehospitalization; provide normative environments with a
high assurance of safety and security for crisis intervention; stabilize
individuals in crisis; and mobilize the resources of the community support
system, family members, and others for ongoing rehabilitation and recovery.
"Day support service" means structured programs of activity
or training services training, assistance, and specialized supervision
in the acquisition, retention, or improvement of self-help, socialization, and
adaptive skills for adults with an intellectual disability or a
developmental disability, generally in clusters of two or more continuous
hours per day provided to groups or individuals in nonresidential
community-based settings. Day support services may provide opportunities for
peer interaction and community integration and are designed to enhance the
following: self-care and hygiene, eating, toileting, task learning, community
resource utilization, environmental and behavioral skills, social skills,
medication management, prevocational skills, and transportation skills. The term
"day support service" does not include services in which the primary
function is to provide employment-related services, general educational
services, or general recreational services.
"Department" means the Virginia Department of
Behavioral Health and Developmental Services.
"Developmental disabilities" disability"
means autism or a severe, chronic disability that meets all of the
following conditions identified in 42 CFR 435.1009: 1. Attributable to cerebral
palsy, epilepsy, or any other condition, other than mental illness, that is
found to be closely related to mental retardation (intellectual disability)
because this condition results in impairment of general intellectual
functioning or adaptive behavior similar to behavior of individuals with mental
retardation (intellectual disability) and requires treatment or services
similar to those required for these individuals; 2. Manifested before the
individual reaches age 18; 3. Likely to continue indefinitely; and 4. Results
in substantial functional limitations in three or more of the following areas
of major life activity: a. Self-care; b. Understanding and use of language; c.
Learning; d. Mobility; e. Self-direction; or f. Capacity for independent living
of an individual that (i) is attributable to a mental or physical impairment
or a combination of mental and physical impairments other than a sole diagnosis
of mental illness; (ii) is manifested before the individual reaches 22 years of
age; (iii) is likely to continue indefinitely; (iv) results in substantial
functional limitations in three or more of the following areas of major life
activity: self-care, receptive and expressive language, learning, mobility,
self-direction, capacity for independent living, or economic self-sufficiency;
and (v) reflects the individual's need for a combination and sequence of
special interdisciplinary or generic services, individualized supports, or
other forms of assistance that are of lifelong or extended duration and are
individually planned and coordinated. An individual from birth to nine years of
age, inclusive, who has a substantial developmental delay or specific
congenital or acquired condition may be considered to have a developmental
disability without meeting three or more of the criteria described in clauses (i)
through (v) if the individual without services and supports has a high
probability of meeting those criteria later in life.
"Developmental services" means planned,
individualized, and person-centered services and supports provided to
individuals with developmental disabilities for the purpose of enabling these
individuals to increase their self-determination and independence, obtain
employment, participate fully in all aspects of community life, advocate for
themselves, and achieve their fullest potential to the greatest extent
possible.
"Direct care position" means any position that
includes responsibility for (i) treatment, case management, health, safety,
development, or well-being of an individual receiving services or (ii)
immediately supervising a person in a position with this responsibility.
"Discharge" means the process by which the
individual's active involvement with a service is terminated by the provider,
individual, or authorized representative.
"Discharge plan" means the written plan that
establishes the criteria for an individual's discharge from a service and
identifies and coordinates delivery of any services needed after discharge.
"Dispense" means to deliver a drug to an ultimate
user by or pursuant to the lawful order of a practitioner, including the
prescribing and administering, packaging, labeling, or compounding
necessary to prepare the substance for that delivery (§ 54.1-3400 et seq. of
the Code of Virginia).
"Emergency service" means unscheduled and sometimes
scheduled crisis intervention, stabilization, and referral assistance provided
over the telephone or face-to-face, if indicated, available 24 hours a day and
seven days per week. Emergency services also may include walk-ins, home visits,
jail interventions, and preadmission screening activities associated with the
judicial process.
"Group home or community residential service" means
a congregate service providing 24-hour supervision in a community-based home
having eight or fewer residents. Services include supervision, supports,
counseling, and training in activities of daily living for individuals whose
individualized services plan identifies the need for the specific types of
services available in this setting.
"HCBS Waiver" means a Medicaid Home and
Community Based Services Waiver.
"Home and noncenter based" means that a service is
provided in the individual's home or other noncenter-based setting. This
includes noncenter-based day support, supportive in-home, and intensive in-home
services.
"IFDDS Waiver" means the Individual and Family
Developmental Disabilities Support Waiver.
"Individual" or "individual receiving
services" means a person receiving services that are licensed under
this chapter whether that person is referred to as a patient, consumer, client,
resident, student, individual, recipient, family member, relative, or other
term current direct recipient of public or private mental health,
developmental, or substance abuse treatment, rehabilitation, or habilitation
services and includes the terms "consumer," "patient,"
"resident," "recipient," or "client". When
the term is used in this chapter, the requirement applies to every
individual receiving licensed services from the provider.
"Individualized services plan" or "ISP"
means a comprehensive and regularly updated written plan that describes the
individual's needs, the measurable goals and objectives to address those needs,
and strategies to reach the individual's goals. An ISP is person-centered,
empowers the individual, and is designed to meet the needs and preferences of
the individual. The ISP is developed through a partnership between the
individual and the provider and includes an individual's treatment plan,
habilitation plan, person-centered plan, or plan of care, which are all
considered individualized service plans.
"Informed choice" means a decision made after
considering options based on adequate and accurate information and knowledge.
These options are developed through collaboration with the individual and his
authorized representative, as applicable, and the provider with the intent of
empowering the individual and his authorized representative to make decisions
that will lead to positive service outcomes.
"Informed consent" means the voluntary written
agreement of an individual, or that individual's authorized representative, to
surgery, electroconvulsive treatment, use of psychotropic medications, or any
other treatment or service that poses a risk of harm greater than that
ordinarily encountered in daily life or for participation in human research. To
be voluntary, informed consent must be given freely and without undue
inducement; any element of force, fraud, deceit, or duress; or any form of
constraint or coercion.
"Initial assessment" means an assessment conducted
prior to or at admission to determine whether the individual meets the
service's admission criteria; what the individual's immediate service, health,
and safety needs are; and whether the provider has the capability and staffing
to provide the needed services.
"Inpatient psychiatric service" means intensive
24-hour medical, nursing, and treatment services provided to individuals with
mental illness or substance abuse (substance use disorders) in a hospital as
defined in § 32.1-123 of the Code of Virginia or in a special unit of such a
hospital.
"Instrumental activities of daily living" or
"IADLs" means meal preparation, housekeeping, laundry, and managing
money. A person's degree of independence in performing these activities is part
of determining appropriate level of care and services.
"Intellectual disability" means a disability
originating before 18 years of age, characterized concurrently by (i)
significant subaverage intellectual functioning as demonstrated by performance
on a standardized measure of intellectual functioning administered in
conformity with accepted professional practice that is at least two standard
deviations below the mean and (ii) significant limitations in adaptive behavior
as expressed in conceptual, social, and practical adaptive skills.
"Intensive community treatment service" or
"ICT" means a self-contained interdisciplinary team of at least five
full-time equivalent clinical staff, a program assistant, and a full-time
psychiatrist that:
1. Assumes responsibility for directly providing needed
treatment, rehabilitation, and support services to identified individuals with
severe and persistent mental illness, especially those who have severe symptoms
that are not effectively remedied by available treatments or who because of
reasons related to their mental illness resist or avoid involvement with mental
health services;
2. Minimally refers individuals to outside service providers;
3. Provides services on a long-term care basis with continuity
of caregivers over time;
4. Delivers 75% or more of the services outside program
offices; and
5. Emphasizes outreach, relationship building, and
individualization of services.
"Intensive in-home service" means family
preservation interventions for children and adolescents who have or are at-risk
of serious emotional disturbance, including individuals who also have a
diagnosis of mental retardation (intellectual disability) developmental
disability. Intensive in-home service is usually time-limited and is
provided typically in the residence of an individual who is at risk of being
moved to out-of-home placement or who is being transitioned back home from an
out-of-home placement. The service includes 24-hour per day emergency response;
crisis treatment; individual and family counseling; life, parenting, and
communication skills; and case management and coordination with other services.
"Intermediate care facility/individuals with
intellectual disability" or "ICF/IID" means a facility or
distinct part of a facility certified by the Virginia Department of Health as
meeting the federal certification regulations for an intermediate care facility
for individuals with intellectual disability and persons with related
conditions and that addresses the total needs of the residents, which include
physical, intellectual, social, emotional, and habilitation, providing active
treatment as defined in 42 CFR 435.1010 and 42 CFR 483.440.
"Investigation" means a detailed inquiry or
systematic examination of the operations of a provider or its services
regarding an alleged violation of regulations or law. An investigation may be
undertaken as a result of a complaint, an incident report, or other information
that comes to the attention of the department.
"Licensed mental health professional" or
"LMHP" means a physician, licensed clinical psychologist, licensed
professional counselor, licensed clinical social worker, licensed substance
abuse treatment practitioner, licensed marriage and family therapist, certified
psychiatric clinical nurse specialist, licensed behavior analyst, or licensed
psychiatric/mental health nurse practitioner.
"Location" means a place where services are or
could be provided.
"Medically managed withdrawal services" means
detoxification services to eliminate or reduce the effects of alcohol or other
drugs in the individual's body.
"Mandatory outpatient treatment order" means an
order issued by a court pursuant to § 37.2-817 of the Code of Virginia.
"Medical detoxification" means a service provided
in a hospital or other 24-hour care facility under the supervision of medical
personnel using medication to systematically eliminate or reduce effects of
alcohol or other drugs in the individual's body.
"Medical evaluation" means the process of assessing
an individual's health status that includes a medical history and a physical
examination of an individual conducted by a licensed medical practitioner
operating within the scope of his license.
"Medication" means prescribed or over-the-counter
drugs or both.
"Medication administration" means the direct
application of medications by injection, inhalation, ingestion, or any other
means to an individual receiving services by (i) persons legally permitted to
administer medications or (ii) the individual at the direction and in the
presence of persons legally permitted to administer medications.
"Medication assisted treatment (Opioid treatment
service)" means an intervention strategy that combines outpatient
treatment with the administering or dispensing of synthetic narcotics, such as
methadone or buprenorphine (suboxone), approved by the federal Food and Drug
Administration for the purpose of replacing the use of and reducing the craving
for opioid substances, such as heroin or other narcotic drugs.
"Medication error" means an error in administering
a medication to an individual and includes when any of the following occur: (i)
the wrong medication is given to an individual, (ii) the wrong individual is
given the medication, (iii) the wrong dosage is given to an individual, (iv)
medication is given to an individual at the wrong time or not at all, or (v)
the wrong method is used to give the medication to the individual.
"Medication storage" means any area where
medications are maintained by the provider, including a locked cabinet, locked
room, or locked box.
"Mental Health Community Support Service (MHCSS)"
or "MCHSS" means the provision of recovery-oriented services
to individuals with long-term, severe mental illness. MHCSS includes skills
training and assistance in accessing and effectively utilizing services and
supports that are essential to meeting the needs identified in the
individualized services plan and development of environmental supports necessary
to sustain active community living as independently as possible. MHCSS may be
provided in any setting in which the individual's needs can be addressed,
skills training applied, and recovery experienced.
"Mental illness" means a disorder of thought, mood,
emotion, perception, or orientation that significantly impairs judgment,
behavior, capacity to recognize reality, or ability to address basic life
necessities and requires care and treatment for the health, safety, or recovery
of the individual or for the safety of others.
"Mental retardation (intellectual disability)"
means a disability originating before the age of 18 years characterized
concurrently by (i) significantly subaverage intellectual functioning as
demonstrated by performance on a standardized measure of intellectual
functioning administered in conformity with accepted professional practice that
is at least two standard deviations below the mean; and (ii) significant
limitations in adaptive behavior as expressed in conceptual, social, and practical
adaptive skills (§ 37.2-100 of the Code of Virginia).
"Missing" means a circumstance in which an
individual is not physically present when and where he should be and his
absence cannot be accounted for or explained by his supervision needs or pattern
of behavior.
"Neglect" means the failure by an individual
a person, or a program or facility operated, licensed, or funded by the
department, excluding those operated by the Department of Corrections,
responsible for providing services to do so, including nourishment, treatment,
care, goods, or services necessary to the health, safety, or welfare of a
person an individual receiving care or treatment for mental illness,
mental retardation (intellectual disability) developmental
disabilities, or substance abuse (substance use disorders).
"Neurobehavioral services" means the assessment,
evaluation, and treatment of cognitive, perceptual, behavioral, and other
impairments caused by brain injury that affect an individual's ability to
function successfully in the community.
"Outpatient service" means treatment provided to
individuals on an hourly schedule, on an individual, group, or family basis,
and usually in a clinic or similar facility or in another location. Outpatient
services may include diagnosis and evaluation, screening and intake,
counseling, psychotherapy, behavior management, psychological testing and
assessment, laboratory and other ancillary services, medical services, and
medication services. "Outpatient service" specifically includes:
1. Services operated by a community services board or a
behavioral health authority established pursuant to Chapter 5 (§ 37.2-500 et
seq.) or Chapter 6 (§ 37.2-600 et seq.) of Title 37.2 of the Code of Virginia;
2. Services contracted by a community services board or a
behavioral health authority established pursuant to Chapter 5 (§ 37.2-500 et
seq.) or Chapter 6 (§ 37.2-600 et seq.) of Title 37.2 of the Code of Virginia;
or
3. Services that are owned, operated, or controlled by a
corporation organized pursuant to the provisions of either Chapter 9 (§
13.1-601 et seq.) or Chapter 10 (§ 13.1-801 et seq.) of Title 13.1 of the Code
of Virginia.
"Partial hospitalization service" means
time-limited active treatment interventions that are more intensive than
outpatient services, designed to stabilize and ameliorate acute symptoms, and
serve as an alternative to inpatient hospitalization or to reduce the length of
a hospital stay. Partial hospitalization is focused on individuals with serious
mental illness, substance abuse (substance use disorders), or co-occurring
disorders at risk of hospitalization or who have been recently discharged from
an inpatient setting.
"Person-centered" means focusing on the needs and
preferences of the individual; empowering and supporting the individual in
defining the direction for his life; and promoting self-determination,
community involvement, and recovery.
"Program of assertive community treatment service"
or "PACT" means a self-contained interdisciplinary team of at least
10 full-time equivalent clinical staff, a program assistant, and a full-
full-time or part-time psychiatrist that:
1. Assumes responsibility for directly providing needed
treatment, rehabilitation, and support services to identified individuals with
severe and persistent mental illnesses, including those who have severe
symptoms that are not effectively remedied by available treatments or who
because of reasons related to their mental illness resist or avoid involvement
with mental health services;
2. Minimally refers individuals to outside service providers;
3. Provides services on a long-term care basis with continuity
of caregivers over time;
4. Delivers 75% or more of the services outside program
offices; and
5. Emphasizes outreach, relationship building, and
individualization of services.
"Provider" means any person, entity, or
organization, excluding an agency of the federal government by whatever name or
designation, that delivers (i) services to individuals with mental illness, mental
retardation (intellectual disability) developmental disabilities, or
substance abuse (substance use disorders), or (ii) services to
individuals who receive day support, in-home support, or crisis stabilization
services funded through the IFDDS Waiver, or (iii) residential services for
individuals with brain injury. The person, entity, or organization shall
include a hospital as defined in § 32.1-123 of the Code of Virginia,
community services board, behavioral health authority, private provider, and
any other similar or related person, entity, or organization. It shall not
include any individual practitioner who holds a license issued by a health
regulatory board of the Department of Health Professions or who is exempt from
licensing pursuant to §§ 54.1-2901, 54.1-3001, 54.1-3501, 54.1-3601,
and 54.1-3701 of the Code of Virginia.
"Psychosocial rehabilitation service" means a
program of two or more consecutive hours per day provided to groups of adults
in a nonresidential setting. Individuals must demonstrate a clinical need for
the service arising from a condition due to mental, behavioral, or emotional
illness that results in significant functional impairments in major life
activities. This service provides education to teach the individual about
mental illness, substance abuse, and appropriate medication to avoid
complication and relapse and opportunities to learn and use independent skills
and to enhance social and interpersonal skills within a consistent program
structure and environment. Psychosocial rehabilitation includes skills
training, peer support, vocational rehabilitation, and community resource
development oriented toward empowerment, recovery, and competency.
"Qualified developmental disability professional"
or "QDDP" means a person who possesses at least one year of
documented experience working directly with individuals who have a
developmental disability and who possesses one of the following credentials:
(i) a doctor of medicine or osteopathy licensed in Virginia, (ii) a registered
nurse licensed in Virginia, (iii) a licensed occupational therapist, or (iv)
completion of at least a bachelor's degree in a human services field, including
sociology, social work, special education, rehabilitation counseling, or
psychology.
[ "Quality improvement plan" means a detailed
work plan developed by a provider that defines steps the provider will take to
review the quality of services it provides and to manage initiatives to improve
quality. A quality improvement plan consists of systematic and continuous
actions that lead to measurable improvement in the services, supports, and
health status of the individuals receiving services. ]
"Qualified mental health professional" or
"QMHP" means a person who by education and experience is
professionally qualified and registered by the Board of Counseling in
accordance with 18VAC115-80 to provide collaborative mental health services for
adults or children. A QMHP shall not engage in independent or autonomous
practice. A QMHP shall provide such services as an employee or independent
contractor of the department or a provider licensed by the department.
"Qualified mental health professional-adult" or
"QMHP-A" means a person who by education and experience is
professionally qualified and registered with the Board of Counseling in accordance
with 18VAC115-80 to provide collaborative mental health services for adults. A
QMHP-A shall provide such services as an employee or independent contractor of
the department or a provider licensed by the department. A QMHP-A may be an
occupational therapist who by education and experience is professionally
qualified and registered with the Board of Counseling in accordance with
18VAC115-80.
"Qualified mental health professional-child" or
"QMHP-C" means a person who by education and experience is professionally
qualified and registered with the Board of Counseling in accordance with
18VAC115-80 to provide collaborative mental health services for children. A
QMHP-C shall provide such services as an employee or independent contractor of
the department or a provider licensed by the department. A QMHP-C may be an
occupational therapist who by education and experience is professionally
qualified and registered with the Board of Counseling in accordance with
18VAC115-80.
"Qualified mental health professional-eligible" or
"QMHP-E" means a person receiving supervised training in order to
qualify as a QMHP in accordance with 18VAC115-80 and who is registered with the
Board of Counseling.
"Qualified paraprofessional in mental health" or
"QPPMH" means a person who must meet at least one of the following
criteria: (i) registered with the United States Psychiatric Association (USPRA)
as an Associate Psychiatric Rehabilitation Provider (APRP); (ii) has an
associate's degree in a related field (social work, psychology, psychiatric
rehabilitation, sociology, counseling, vocational rehabilitation, human
services counseling) and at least one year of experience providing direct
services to individuals with a diagnosis of mental illness; (iii) licensed as
an occupational therapy assistant, and supervised by a licensed occupational
therapist, with at least one year of experience providing direct services to
individuals with a diagnosis of mental illness; or (iv) has a minimum of 90
hours classroom training and 12 weeks of experience under the direct personal
supervision of a QMHP-A providing services to individuals with mental illness
and at least one year of experience (including the 12 weeks of supervised
experience).
[ "Quality improvement plan" means a
detailed work plan developed by a provider that defines steps the provider will
take to review the quality of services it provides and to manage initiatives to
improve quality. A quality improvement plan consists of systematic and
continuous actions that lead to measurable improvement in the services,
supports, and health status of the individuals receiving services. ]
"Recovery" means a journey of healing and
transformation enabling an individual with a mental illness to live a
meaningful life in a community of his choice while striving to achieve his full
potential. For individuals with substance abuse (substance use disorders),
recovery is an incremental process leading to positive social change and a full
return to biological, psychological, and social functioning. For individuals
with mental retardation (intellectual disability) a developmental
disability, the concept of recovery does not apply in the sense that
individuals with mental retardation (intellectual disability) a
developmental disability will need supports throughout their entire lives
although these may change over time. With supports, individuals with mental
retardation (intellectual disability) a developmental disability are
capable of living lives that are fulfilling and satisfying and that bring
meaning to themselves and others whom they know.
"Referral" means the process of directing an
applicant or an individual to a provider or service that is designed to provide
the assistance needed.
"Residential crisis stabilization service" means
(i) providing short-term, intensive treatment to nonhospitalized individuals
who require multidisciplinary treatment in order to stabilize acute psychiatric
symptoms and prevent admission to a psychiatric inpatient unit; (ii) providing
normative environments with a high assurance of safety and security for crisis
intervention; and (iii) mobilizing the resources of the community support
system, family members, and others for ongoing rehabilitation and recovery.
"Residential service" means providing 24-hour
support in conjunction with care and treatment or a training program in a
setting other than a hospital or training center. Residential services provide
a range of living arrangements from highly structured and intensively
supervised to relatively independent requiring a modest amount of staff support
and monitoring. Residential services include residential treatment, group or
community homes, supervised living, residential crisis stabilization,
community gero-psychiatric residential, community intermediate care
facility-MR ICF/IID, sponsored residential homes, medical and social
detoxification, neurobehavioral services, and substance abuse residential
treatment for women and children.
"Residential treatment service" means providing an
intensive and highly structured mental health, substance abuse, or
neurobehavioral service, or services for co-occurring disorders in a
residential setting, other than an inpatient service.
"Respite care service" means providing for a
short-term, time limited time-limited period of care of an individual
for the purpose of providing relief to the individual's family, guardian, or
regular care giver. Persons providing respite care are recruited, trained, and
supervised by a licensed provider. These services may be provided in a variety
of settings including residential, day support, in-home, or a sponsored
residential home.
"Restraint" means the use of a mechanical device,
medication, physical intervention, or hands-on hold to prevent an individual
receiving services from moving his body to engage in a behavior that places him
or others at imminent risk. There are three kinds of restraints:
1. Mechanical restraint means the use of a mechanical device
that cannot be removed by the individual to restrict the individual's freedom
of movement or functioning of a limb or portion of an individual's body when
that behavior places him or others at imminent risk.
2. Pharmacological restraint means the use of a medication
that is administered involuntarily for the emergency control of an individual's
behavior when that individual's behavior places him or others at imminent risk
and the administered medication is not a standard treatment for the
individual's medical or psychiatric condition.
3. Physical restraint, also referred to as manual hold, means
the use of a physical intervention or hands-on hold to prevent an individual
from moving his body when that individual's behavior places him or others at
imminent risk.
"Restraints for behavioral purposes" means using a
physical hold, medication, or a mechanical device to control behavior or
involuntary restrict the freedom of movement of an individual in an instance
when all of the following conditions are met: (i) there is an emergency; (ii)
nonphysical interventions are not viable; and (iii) safety issues require an immediate
response.
"Restraints for medical purposes" means using a
physical hold, medication, or mechanical device to limit the mobility of an
individual for medical, diagnostic, or surgical purposes, such as routine
dental care or radiological procedures and related post-procedure care
processes, when use of the restraint is not the accepted clinical practice for
treating the individual's condition.
"Restraints for protective purposes" means using a
mechanical device to compensate for a physical or cognitive deficit when the
individual does not have the option to remove the device. The device may limit
an individual's movement, for example, bed rails or a gerichair, and prevent
possible harm to the individual or it may create a passive barrier, such as a helmet
to protect the individual.
"Restriction" means anything that limits or
prevents an individual from freely exercising his rights and privileges.
"Risk management" means an integrated
system-wide program to ensure the safety of individuals, employees, visitors,
and others through identification, mitigation, early detection, monitoring,
evaluation, and control of risks.
"Root cause analysis" means a method of problem
solving designed to identify the underlying causes of a problem. The focus of a
root cause analysis is on systems, processes, and outcomes that require change
to reduce the risk of harm.
"Screening" means the process or procedure for
determining whether the individual meets the minimum criteria for admission.
"Seclusion" means the involuntary placement of an
individual alone in an area secured by a door that is locked or held shut by a
staff person, by physically blocking the door, or by any other physical means
so that the individual cannot leave it.
"Serious incident" means any event or
circumstance that causes or could cause harm to the health, safety, or
well-being of an individual. The term "serious incident" includes
death and serious injury.
"Level I serious incident" means a serious
incident that occurs or originates during the provision of a service or on the
premises of the provider and does not meet the definition of a Level II or
Level III serious incident. Level I serious incidents do not result in
significant harm to individuals, but may include events that result in minor
injuries that do not require medical attention or events that have the
potential to cause serious injury, even when no injury occurs. "Level II
serious incident" means a serious incident that occurs or originates
during the provision of a service or on the premises of the provider that
results in a significant harm or threat to the health and safety of an
individual that does not meet the definition of a Level III serious incident.
"Level II serious incident" includes a significant
harm or threat to the health or safety of others caused by an individual. Level
II serious incidents include:
1. A serious injury;
2. An individual who is or was missing;
3. An emergency room visit;
4. An unplanned psychiatric or unplanned medical hospital
admission of an individual receiving services other than licensed emergency
services [ , except that a psychiatric admission in accordance with
the individual's Wellness Recovery Action Plan shall not constitute an
unplanned admission for the purposes of this chapter ];
5. Choking incidents that require direct physical
intervention by another person;
6. Ingestion of any hazardous material; or
7. A diagnosis of:
a. A decubitus ulcer or an increase in severity of level of
previously diagnosed decubitus ulcer;
b. A bowel obstruction; or
c. Aspiration pneumonia.
"Level III serious incident" means a serious
incident whether or not the incident occurs while in the provision of a service
or on the provider's premises and results in:
1. Any death of an individual;
2. A sexual assault of an individual; or
3. A suicide attempt by an individual admitted for
services, other than licensed emergency services, that results in a hospital
admission.
"Serious injury" means any injury resulting in
bodily hurt, damage, harm, or loss that requires medical attention by a
licensed physician, doctor of osteopathic medicine, physician assistant, or
nurse practitioner while the individual is supervised by or involved in
services, such as attempted suicides, medication overdoses, or reactions from
medications administered or prescribed by the service.
"Service" means (i) planned individualized
interventions intended to reduce or ameliorate mental illness, mental
retardation (intellectual disability) developmental disabilities, or
substance abuse (substance use disorders) through care, treatment, training,
habilitation, or other supports that are delivered by a provider to individuals
with mental illness, mental retardation (intellectual disability) developmental
disabilities, or substance abuse (substance use disorders). Services
include outpatient services, intensive in-home services, opioid treatment
services, inpatient psychiatric hospitalization, community gero-psychiatric
residential services, assertive community treatment and other clinical
services; day support, day treatment, partial hospitalization, psychosocial
rehabilitation, and habilitation services; case management services; and
supportive residential, special school, halfway house, in-home
services, crisis stabilization, and other residential services; and
(ii) day support, in-home support, and crisis stabilization services
provided to individuals under the IFDDS Waiver; and (iii) planned
individualized interventions intended to reduce or ameliorate the effects of
brain injury through care, treatment, or other supports or provided
in residential services for persons with brain injury.
"Shall" means an obligation to act is imposed.
"Shall not" means an obligation not to act is
imposed.
"Skills training" means systematic skill building
through curriculum-based psychoeducational and cognitive-behavioral
interventions. These interventions break down complex objectives for role performance
into simpler components, including basic cognitive skills such as attention, to
facilitate learning and competency.
"Social detoxification service" means providing
nonmedical supervised care for the individual's natural process of withdrawal
from use of alcohol or other drugs.
"Sponsored residential home" means a service where
providers arrange for, supervise, and provide programmatic, financial, and
service support to families or persons (sponsors) providing care or treatment
in their own homes for individuals receiving services.
"State board" means the State Board of Behavioral
Health and Developmental Services. The board has statutory responsibility for
adopting regulations that may be necessary to carry out the provisions of Title
37.2 of the Code of Virginia and other laws of the Commonwealth administered by
the commissioner or the department.
"State methadone authority" means the Virginia
Department of Behavioral Health and Developmental Services that is authorized
by the federal Center for Substance Abuse Treatment to exercise the
responsibility and authority for governing the treatment of opiate addiction
with an opioid drug.
"Substance abuse (substance use disorders)" means
the use of drugs enumerated in the Virginia Drug Control Act (§ 54.1-3400
et seq.) without a compelling medical reason or alcohol that (i) results in
psychological or physiological dependence or danger to self or others as a
function of continued and compulsive use or (ii) results in mental, emotional,
or physical impairment that causes socially dysfunctional or socially
disordering behavior; and (iii), because of such substance abuse, requires care
and treatment for the health of the individual. This care and treatment may
include counseling, rehabilitation, or medical or psychiatric care.
"Substance abuse intensive outpatient service"
means treatment provided in a concentrated manner for two or more consecutive
hours per day to groups of individuals in a nonresidential setting. This
service is provided over a period of time for individuals requiring more
intensive services than an outpatient service can provide. Substance abuse
intensive outpatient services include multiple group therapy sessions during
the week, individual and family therapy, individual monitoring, and case
management.
"Substance abuse residential treatment for women with
children service" means a 24-hour residential service providing an
intensive and highly structured substance abuse service for women with children
who live in the same facility.
"Suicide attempt" means a nonfatal,
self-directed, potentially injurious behavior with an intent to die as a result
of the behavior regardless of whether it results in injury.
"Supervised living residential service" means the
provision of significant direct supervision and community support services to
individuals living in apartments or other residential settings. These services
differ from supportive in-home service because the provider assumes
responsibility for management of the physical environment of the residence, and
staff supervision and monitoring are daily and available on a 24-hour basis.
Services are provided based on the needs of the individual in areas such as
food preparation, housekeeping, medication administration, personal hygiene,
treatment, counseling, and budgeting.
"Supportive in-home service" (formerly supportive
residential) means the provision of community support services and other
structured services to assist individuals, to strengthen individual skills, and
that provide environmental supports necessary to attain and sustain independent
community residential living. Services include drop-in or friendly-visitor
support and counseling to more intensive support, monitoring, training, in-home
support, respite care, and family support services. Services are based on the
needs of the individual and include training and assistance. These services
normally do not involve overnight care by the provider; however, due to the
flexible nature of these services, overnight care may be provided on an
occasional basis.
"Systemic deficiency" means violations of
regulations documented by the department that demonstrate multiple or repeat
defects in the operation of one or more services.
"Therapeutic day treatment for children and
adolescents" means a treatment program that serves (i) children and
adolescents from birth through age 17 years of age and under
certain circumstances up to 21 years of age with serious emotional
disturbances, substance use, or co-occurring disorders or (ii) children from
birth through age seven years of age who are at risk of serious
emotional disturbance, in order to combine psychotherapeutic interventions with
education and mental health or substance abuse treatment. Services include:
evaluation; medication education and management; opportunities to learn and use
daily living skills and to enhance social and interpersonal skills; and
individual, group, and family counseling.
"Time out" means the involuntary removal of an
individual by a staff person from a source of reinforcement to a different,
open location for a specified period of time or until the problem behavior has
subsided to discontinue or reduce the frequency of problematic behavior.
"Volunteer" means a person who, without financial
remuneration, provides services to individuals on behalf of the provider.
Part II
Licensing Process
12VAC35-105-30. Licenses.
A. Licenses are issued to providers who offer services to
individuals who have mental illness, mental retardation (intellectual
disability) a developmental disability, or substance abuse
(substance use disorders); have developmental disability and are served
under the IFDDS Waiver; or have brain injury and are receiving residential
services.
B. Providers shall be licensed to provide specific services
as defined in this chapter or as determined by the commissioner. These services
include:
1. Case management;
2. Community gero-psychiatric residential;
3. Community intermediate care facility-MR ICF/IID;
4. Residential crisis stabilization;
5. Nonresidential crisis stabilization;
6. Day support;
7. Day treatment, includes therapeutic day treatment for
children and adolescents;
8. Group home and community residential;
9. Inpatient psychiatric;
10. Intensive Community Treatment community
treatment (ICT);
11. Intensive in-home;
12. Managed withdrawal, including medical detoxification and
social detoxification;
13. Mental health community support;
14. Opioid treatment/medication assisted treatment;
15. Emergency;
16. Outpatient;
17. Partial hospitalization;
18. Program of assertive community treatment (PACT);
19. Psychosocial rehabilitation;
20. Residential treatment;
21. Respite care;
22. Sponsored residential home;
23. Substance abuse residential treatment for women with children;
24. Substance abuse intensive outpatient;
25. Supervised living residential; and
26. Supportive in-home.
C. A license addendum shall describe the services licensed,
the disabilities of individuals who may be served, the specific locations where
services are to be provided or administered, and the terms and conditions for
each service offered by a licensed provider. For residential and inpatient
services, the license identifies the number of individuals each residential
location may serve at a given time.
12VAC35-105-50. Issuance of licenses.
A. The commissioner may issue the following types of
licenses:
1. A conditional license shall may be issued to
a new provider for services that demonstrates compliance with administrative
and policy regulations but has not demonstrated compliance with all the
regulations.
a. A conditional license shall not exceed six months.
b. A conditional license may be renewed if the provider is not
able to demonstrate compliance with all the regulations at the end of the
license period. A conditional license and any renewals shall not exceed 12
successive months for all conditional licenses and renewals combined.
c. A provider holding a conditional license for a service
shall demonstrate progress toward compliance.
d. A provider holding a conditional license shall not add
services or locations during the conditional period.
e. A group home or community residential service provider
shall be limited to providing services in a single location, serving no more
than four individuals during the conditional period.
2. A provisional license may be issued to a provider for a
service that has demonstrated an inability to maintain compliance with all
applicable regulations, including this chapter and 12VAC35-115, has
violations of human rights or licensing regulations that pose a threat to the
health or safety of individuals being served receiving services,
has multiple violations of human rights or licensing regulations, or has failed
to comply with a previous corrective action plan.
a. A provisional license may be issued at any time.
b. The term of a provisional license shall not exceed six
months.
c. A provisional license may be renewed; but a provisional
license and any renewals shall not exceed 12 successive months for all
provisional licenses and renewals combined.
d. A provider holding a provisional license for a service
shall demonstrate progress toward compliance.
e. A provider holding a provisional license for a service
shall not increase its services or locations or expand the capacity of the
service.
f. A provisional license for a service shall be noted as a
stipulation on the provider license. The stipulation shall also indicate the
violations to be corrected and the expiration date of the provisional license.
3. A full license shall be issued after a provider or service
demonstrates compliance with all the applicable regulations.
a. A full license may be granted to a provider for service for
up to three years. The length of the license shall be in the sole discretion of
the commissioner.
b. If a full license is granted for three years, it shall be
referred to as a triennial license. A triennial license shall be granted to
providers for services that have demonstrated full compliance with the
all applicable regulations. The commissioner may issue a triennial
license to a provider for service that had violations during the previous
license period if those violations did not pose a threat to the health or
safety of individuals being served receiving services, and the
provider or service has demonstrated consistent compliance for more than a year
and has a process in place that provides sufficient oversight to maintain
compliance.
c. If a full license is granted for one year, it shall be
referred to as an annual license.
d. The term of the first full renewal license after the
expiration of a conditional or provisional license shall not exceed one year.
B. The commissioner may add stipulations on a license issued
to a provider that may place limits on the provider or to impose additional
requirements on the provider.
C. A license shall not be transferred or assigned to another
provider. A new application shall be made and a new license issued when there
is a change in ownership.
D. A license shall not be issued or renewed unless the
provider is affiliated with a local human rights committee.
E. D. No service shall be issued a license with
an expiration date that is after the expiration date of the provider license.
F. E. A license shall continue in effect after
the expiration date if the provider has submitted a renewal application before
the date of expiration and there are no grounds to deny the application. The
department shall issue a letter stating the provider or service license shall
be effective for six additional months if the renewed license is not issued
before the date of expiration.
12VAC35-105-120. Variances.
The commissioner may grant a variance to a specific
regulation if he determines that such a variance will not jeopardize the
health, safety, or welfare of individuals and upon demonstration by
the provider requesting. A provider shall submit a request for such
variance in writing to the commissioner. The request shall demonstrate
that complying with the regulation would be a hardship unique to the provider and
that the variance will not jeopardize the health, safety, or welfare of
individuals. The department may limit the length of time a variance will be
effective. A provider shall submit a request for a variance in writing
to the commissioner. A variance may be time limited or have other conditions
attached to it. The department must approve a variance prior to implementation
The provider shall not implement a variance until it has been approved in
writing by the commissioner.
12VAC35-105-150. Compliance with applicable laws, regulations
and policies.
The provider including its employees, contractors, students,
and volunteers shall comply with:
1. These regulations This chapter;
2. The terms and stipulations of the license;
3. All applicable federal, state, or local laws and
regulations including:
a. Laws regarding employment practices including the Equal
Employment Opportunity Act;
b. The Americans with Disabilities Act and the Virginians with
Disabilities Act;
c. For home and community-based services waiver settings
subject to this chapter, 42 CFR 441.301(c)(1) through (4) [ ,
contents of request for a waiver ];
d. Occupational Safety and Health Administration
regulations;
d. e. Virginia Department of Health regulations;
e. Laws and regulations of the f. Virginia
Department of Health Professions regulations;
f. g. Virginia Department of Medical Assistance
Services regulations;
g. h. Uniform Statewide Building Code; and
h. i. Uniform Statewide Fire Prevention Code.
4. Section 37.2-400 of the Code of Virginia and related human
rights regulations adopted by the state board; and
5. The provider's own policies. All required policies shall be
in writing.
12VAC35-105-155. Preadmission screening, discharge planning,
involuntary commitment, and mandatory outpatient treatment orders.
A. Providers responsible for complying with §§ 37.2-505
and 37.2-606 of the Code of Virginia regarding community service services
board and behavioral health authority preadmission screening and discharge
planning shall implement policies and procedures that include:
1. Identification, qualification, training, and
responsibilities of employees responsible for preadmission screening and
discharge planning.
2. Completion of a discharge plan prior to an individual's
discharge in consultation with the state facility that:
a. Involves the individual or his authorized representative
and reflects the individual's preferences to the greatest extent possible
consistent with the individual's needs.
b. Involves mental health, mental retardation (intellectual
disability) developmental disability, substance abuse, social,
educational, medical, employment, housing, legal, advocacy, transportation, and
other services that the individual will need upon discharge into the community
and identifies the public or private agencies or persons that have agreed to
provide them.
B. Any provider who serves individuals through an emergency
custody order, temporary detention order, or mandatory outpatient treatment
order shall implement policies and procedures to comply with §§ 37.2-800
through 37.2-817 of the Code of Virginia.
12VAC35-105-160. Reviews by the department; requests for
information; required reporting.
A. The provider shall permit representatives from the
department to conduct reviews to:
1. Verify application information;
2. Assure compliance with this chapter; and
3. Investigate complaints.
B. The provider shall cooperate fully with inspections and
investigations and shall provide all information requested to
assist representatives from by the department who conduct
inspections.
C. The provider shall collect, maintain, and review at
least quarterly all serious incidents, including Level I serious incidents, as
part of the quality improvement program in accordance with 12VAC35-105-620 to
include an analysis of trends, potential systemic issues or causes, indicated
remediation, and documentation of steps taken to mitigate the potential for
future incidents.
D. The provider shall
collect, maintain, and report or make available to the department the following
information:
1. Each allegation of abuse or neglect shall be reported to
the assigned human rights advocate and the individual's authorized
representative within 24 hours from the receipt of the initial allegation.
Reported information shall include the type of abuse, neglect, or exploitation
that is alleged and whether there is physical or psychological injury to the
individual department as provided in 12VAC35-115-230 A.
2. Each instance of death or serious injury Level II
and Level III serious incidents shall be reported in writing to the
department's assigned licensing specialist using the department's
web-based reporting application and by telephone [ or email ]
to anyone designated by the individual to receive such notice and to the
individual's authorized representative within 24 hours of discovery and
by phone to the individual's authorized representative within 24 hours.
Reported information shall include the information specified by the
department as required in its web-based reporting application, but at least the
following: the date and, place, and circumstances of the individual's
death or serious injury; serious incident. For serious injuries and
deaths, the reported information shall also include the nature of the
individual's injuries or circumstances of the death and the any
treatment received; and the circumstances of the death or serious injury.
For all other Level II and Level III serious incidents, the reported
information shall also include the consequences [ or risk of
harm ] that resulted from the serious incident. Deaths that
occur in a hospital as a result of illness or injury occurring when the
individual was in a licensed service shall be reported.
3. Each instance Instances of seclusion or restraint
that does not comply with the human rights regulations or approved variances
or that results in injury to an individual shall be reported to the
individual's authorized representative and the assigned human rights advocate
within 24 hours shall be reported to the department as provided in
12VAC35-115-230 C 4.
E. A root cause analysis shall be conducted by the
provider within 30 days of discovery of Level II serious incidents and any
Level III serious incidents that occur during the provision of a service or on
the provider's premises.
[ 1. ] The root cause analysis shall
include at least the following information:
[ (i) a a. A ] detailed
description of what happened;
[ (ii) an b. An ] analysis
of why it happened, including identification of all identifiable underlying
causes of the incident that were under the control of the provider; and
[ (iii) identified c. Identified ]
solutions to mitigate its reoccurrence [ and future risk of harm ]
when applicable. [ A more detailed root cause analysis, including
convening a team, collecting and analyzing data, mapping processes, and
charting causal factors should be considered based upon the circumstances of
the incident.
2. The provider shall develop and implement a root cause
analysis policy for determining when a more detailed root cause analysis,
including convening a team, collecting and analyzing data, mapping processes,
and charting causal factors, should be conducted. At a minimum, the policy
shall require for the provider to conduct a more detailed root cause analysis
when:
a. A threshold number, as specified in the provider's
policy based on the provider's size, number of locations, service type, number
of individuals served, and the unique needs of the individuals served by the
provider, of similar Level II serious incidents occur to the same individual or
at the same location within a six-month period;
b. Two or more of the same Level III serious incidents
occur to the same individual or at the same location within a six-month period;
c. A threshold number, as specified in the provider's
policy based on the provider's size, number of locations, service type, number
of individuals served, and the unique needs of the individuals served by the
provider, of similar Level II or Level III serious incidents occur across all
of the provider's locations within a six-month period; or
d. A death occurs as a result of an acute medical event
that was not expected in advance or based on a person's known medical
condition. ]
D. F. The provider shall submit, or make
available and, when requested, submit reports and information
that the department requires to establish compliance with these regulations and
applicable statutes.
E. G. Records that are confidential under
federal or state law shall be maintained as confidential by the department and
shall not be further disclosed except as required or permitted by law; however,
there shall be no right of access to communications that are privileged
pursuant to § 8.01-581.17 of the Code of Virginia.
F. H. Additional information requested by the
department if compliance with a regulation cannot be determined shall be
submitted within 10 business days of the issuance of the licensing report
requesting additional information. Extensions may be granted by the department
when requested prior to the due date, but extensions shall not exceed an
additional 10 business days.
G. I. Applicants and providers shall not submit
any misleading or false information to the department.
[ J. The provider shall develop and implement a
serious incident management policy, which shall be consistent with this section
and which shall describe the processes by which the provider will document,
analyze, and report to the department information related to serious incidents. ]
12VAC35-105-170. Corrective action plan.
A. If there is noncompliance with any applicable regulation
during an initial or ongoing review, inspection, or investigation, the
department shall issue a licensing report describing the noncompliance and
requesting the provider to submit a corrective action plan for each violation
cited.
B. The provider shall submit to the department [ and
implement ] a written corrective action plan for each regulation with
which it is found to be in violation as identified in the licensing report violation
cited.
C. The corrective action plan shall include a:
1. Description Detailed description of the
corrective actions to be taken that will minimize the possibility that the
violation will occur again and correct any systemic deficiencies;
2. Date of completion for each corrective action; and
3. Signature of the person responsible for [ the
service oversight of the implementation of the pledged corrective action ].
D. The provider shall submit a corrective action plan to the
department within 15 business days of the issuance of the licensing report. Extensions
One extension may be granted by the department when requested prior to
the due date, but extensions shall not exceed an additional 10 business days.
An immediate corrective action plan shall be required if the department
determines that the violations pose a danger to individuals receiving the
service.
E. Upon receipt of the corrective action plan, the department
shall review the plan and determine whether the plan is approved or not
approved. The provider has an additional 10 business days to submit a revised
corrective action plan after receiving a notice that the plan submitted has
not been approved by the department has not approved the revised plan.
If the submitted revised corrective action plan is [ still
unacceptable not approved ], the provider shall follow
the dispute resolution process identified in this section.
F. When the provider disagrees with a citation of a violation
or the disapproval of [ the a ] revised
corrective action [ plans plan ], the
provider shall discuss this disagreement with the licensing specialist
initially. If the disagreement is not resolved, the provider may ask for a
meeting with the licensing specialist's supervisor, in consultation with the
director of licensing, to challenge a finding of noncompliance. The
determination of the director is final.
G. The provider shall implement [ and
monitor implementation of the approved corrective action and include a
plan for monitoring in. The provider shall monitor implementation and
effectiveness of approved corrective actions as part of its quality
assurance activities improvement program specified in required by
12VAC30-105-620 their written corrective action plan for each violation
cited by the date of completion identified in the plan.
H. The provider shall monitor implementation and
effectiveness of approved corrective actions as part of its quality improvement
program required by 12VAC35-105-620. If the provider determines that an
approved corrective action was fully implemented, but did not prevent the
recurrence of a regulatory violation or correct any systemic deficiencies, the
provider shall:
1. Continue implementing the corrective action plan and put
into place additional measures to prevent the recurrence of the cited violation
and address identified systemic deficiencies; or
2. Submit a revised corrective action plan to the
department for approval. ]
12VAC35-105-320. Fire inspections.
The provider shall document at the time of its original
application and annually thereafter that buildings and equipment in residential
service locations [ serving more than eight individuals ] are
maintained in accordance with the Virginia Statewide Fire Prevention Code
(13VAC5-51). [ This section does not apply to correctional facilities or
home and noncenter-based or sponsored residential home services. The
provider shall evaluate each individual and, based on that evaluation, shall
provide appropriate environmental supports and adequate staff to safely
evacuate all individuals during an emergency. ]
Article 3
Physical Environment of Residential/Inpatient Residential and
Inpatient Service Locations
12VAC35-105-330. Beds.
A. The provider shall not operate more beds than the number
for which its service location or locations are is licensed.
B. A community ICF/MR An ICF/IID may not have
more than 12 beds at any one location. This applies to new applications for
services and not to existing services or locations licensed prior to December
7, 2011.
12VAC35-105-400. Criminal registry background
checks and registry searches.
A. Providers shall comply with the requirements for
obtaining criminal history background check requirements for direct care
positions checks as outlined in §§ 37.2-416, 37.2-506, and 37.2-607
of the Code of Virginia for individuals hired after July 1, 1999.
B. Prior to a new employee beginning his duties, the
provider shall obtain the employee's written consent and personal information
necessary to obtain a search of the registry of founded complaints of child
abuse and neglect maintained by the Virginia Department of Social Services.
C. B. The provider shall develop a written
policy for criminal history background checks and registry checks for
all employees, contractors, students, and volunteers searches. The
policy shall require at a minimum a disclosure statement from the employee,
contractor, student, or volunteer stating whether the person has ever been
convicted of or is the subject of pending charges for any offense and shall
address what actions the provider will take should it be discovered that an
employee, student, contractor, or volunteer a person has a founded
case of abuse or neglect or both, or a conviction or pending criminal charge.
D. C. The provider shall submit all information
required by the department to complete the criminal history background checks
and registry checks for all employees and for contractors, students, and
volunteers if required by the provider's policy searches.
E. D. The provider shall maintain the following
documentation:
1. The disclosure statement from the applicant stating
whether he has ever been convicted of or is the subject of pending charges for
any offense; and
2. Documentation that the provider submitted all information
required by the department to complete the criminal history background checks
and registry checks searches, memoranda from the department
transmitting the results to the provider, [ if applicable, ]
and the results from the Child Protective Registry check search.
12VAC35-105-440. Orientation of new employees, contractors,
volunteers, and students.
New employees, contractors, volunteers, and students shall be
oriented commensurate with their function or job-specific responsibilities
within 15 business days. The provider shall document that the orientation
covers each of the following policies, procedures, and practices:
1. Objectives and philosophy of the provider;
2. Practices of confidentiality including access, duplication,
and dissemination of any portion of an individual's record;
3. Practices that assure an individual's rights including
orientation to human rights regulations;
4. Applicable personnel policies;
5. Emergency preparedness procedures;
6. Person-centeredness;
7. Infection control practices and measures; and
8. Other policies and procedures that apply to specific positions
and specific duties and responsibilities; and
9. Serious incident reporting, including when, how, and
under what circumstances a serious incident report must be submitted and the
consequences of failing to report a serious incident to the department in
accordance with this chapter.
12VAC35-105-450. Employee training and development.
The provider shall provide training and development
opportunities for employees to enable them to support the individuals served
receiving services and to carry out the their job
responsibilities of their jobs. The provider shall develop a training
policy that addresses the frequency of retraining on serious incident
reporting, medication administration, behavior intervention, emergency
preparedness, and infection control, to include flu epidemics. Employee
participation in training and development opportunities shall be documented and
accessible to the department.
12VAC35-105-460. Emergency medical or first aid training.
There shall be at least one employee or contractor on duty at
each location who holds a current certificate (i) issued by the American Red
Cross, the American Heart Association, or comparable authority in standard
first aid and cardiopulmonary resuscitation (CPR) or (ii) as an emergency
medical technician. A licensed medical professional who holds a current
professional license shall be deemed to hold a current certificate in first
aid, but not in CPR. The certification process shall include a hands-on,
in-person demonstration of first aid and CPR competency.
[ 12VAC35-105-500. Students and volunteers.
A. The provider shall implement a written policy that clearly
defines and communicates the requirements for the use and responsibilities of
students and volunteers including selection and supervision.
B. The provider shall not rely on students or volunteers for
the provision of direct care services to supplant direct care positions.
The provider staffing plan shall not include volunteers or students. ]
Article 5
Health and Safety Management
12VAC35-105-520. Risk management.
A. The provider shall designate a person responsible for the
risk management function who has [ completed department approved ]
training [ and expertise in, which shall include
training related to risk management, understanding of individual risk
screening, ] conducting investigations, root cause analysis, and
[ the use of ] data [ analysis to
identify risk patterns and trends ].
B. The provider shall implement a written plan to identify,
monitor, reduce, and minimize risks associated with harms and risk of
harm, including personal injury, infectious disease, property damage or
loss, and other sources of potential liability.
C. The provider shall conduct systemic risk assessment
reviews at least annually to identify and respond to practices, situations, and
policies that could result in the risk of harm to individuals receiving
services. The risk assessment review shall address [ at least the
following:
(i) the 1. The ] environment of
care;
[ (ii) clinical 2. Clinical ] assessment
or reassessment processes;
[ (iii) staff 3. Staff ] competence
and adequacy of staffing;
[ (iv) use 4. Use ] of high
risk procedures, including seclusion and restraint; and
[ (v) a 5. A ] review of
serious incidents. [ This process shall incorporate uniform risk
triggers and thresholds as defined by the department.
D. The systemic risk assessment process shall incorporate
uniform risk triggers and thresholds as defined by the department. ]
C. [ D. E. ] The
provider shall conduct and document that a safety inspection has been performed
at least annually of each service location owned, rented, or leased by the
provider. Recommendations for safety improvement shall be documented and
implemented by the provider.
D. [ E. F. ] The
provider shall document serious injuries to employees, contractors, students,
volunteers, and visitors that occur during the provision of a service or on
the provider's property. Documentation shall be kept on file for three
years. The provider shall evaluate serious injuries at least annually.
Recommendations for improvement shall be documented and implemented by the
provider.
[ 12VAC35-105-530. Emergency preparedness and response
plan.
A. The provider shall develop a written emergency
preparedness and response plan for all of its services and locations that
describes its approach to emergencies throughout the organization or community.
This plan shall include an analysis of potential emergencies that could disrupt
the normal course of service delivery including emergencies that would require
expanded or extended care over a prolonged period of time. The plan shall
address:
1. Specific procedures describing mitigation, preparedness,
response, and recovery strategies, actions, and responsibilities for each
emergency.
2. Documentation of coordination with the local emergency
authorities to determine local disaster risks and community-wide plans to
address different disasters and emergency situations.
3. The process for notifying local and state authorities of
the emergency and a process for contacting staff when emergency response
measures are initiated.
4. Written emergency management policies outlining specific
responsibilities for provision of administrative direction and management of
response activities, coordination of logistics during the emergency,
communications, life safety of employees, contractors, students, volunteers,
visitors, and individuals receiving services, property protection, community
outreach, and recovery and restoration.
5. Written emergency response procedures for initiating the
response and recovery phase of the plan including a description of how, when,
and by whom the phases will be activated. This includes assessing the
situation; protecting individuals receiving services, employees, contractors,
students, volunteers, visitors, equipment, and vital records; and restoring
services. Emergency procedures shall address:
a. Warning and notifying individuals receiving services;
b. Communicating with employees, contractors, and community
responders;
c. Designating alternative roles and responsibilities of staff
during emergencies including to whom they will report in the provider's
organization command structure and when activated in the community's command
structure;
d. Providing emergency access to secure areas and opening
locked doors;
e. Evacuation procedures, including for individuals who
need evacuation assistance;
e. f. Conducting evacuations to emergency
shelters or alternative sites and accounting for all individuals receiving
services;
f. g. Relocating individuals receiving
residential or inpatient services, if necessary;
g. h. Notifying family members or authorized
representatives;
h. i. Alerting emergency personnel and sounding
alarms;
i. j Locating and shutting off utilities when
necessary; and
j. k. Maintaining a 24 hour telephone answering
capability to respond to emergencies for individuals receiving services.
6. Processes for managing the following under emergency
conditions:
a. Activities related to the provision of care, treatment, and
services including scheduling, modifying, or discontinuing services;
controlling information about individuals receiving services; providing
medication; and transportation services;
b. Logistics related to critical supplies such as
pharmaceuticals, food, linen, and water;
c. Security including access, crowd control, and traffic
control; and
d. Back-up communication systems in the event of electronic or
power failure.
7. Specific processes and protocols for evacuation of the
provider's building or premises when the environment cannot support adequate
care, treatment, and services.
8. Supporting documents that would be needed in an emergency,
including emergency call lists, building and site maps necessary to shut off
utilities, designated escape routes, and list of major resources such as local
emergency shelters.
9. Schedule for testing the implementation of the plan and
conducting emergency preparedness drills. Fire and evacuation drills shall
be conducted at least monthly.
B. The provider shall evaluate each individual and, based
on that evaluation, shall provide appropriate environmental supports and
adequate staff to safely evacuate all individuals during an emergency.
B. C. The provider shall implement annual
emergency preparedness and response training for all employees, contractors,
students, and volunteers. This training shall also be provided as part of
orientation for new employees and cover responsibilities for:
1. Alerting emergency personnel and sounding alarms;
2. Implementing evacuation procedures, including evacuation of
individuals with special needs (i.e., deaf, blind, nonambulatory);
3. Using, maintaining, and operating emergency equipment;
4. Accessing emergency medical information for individuals
receiving services; and
5. Utilizing community support services.
C. D. The provider shall review the emergency
preparedness plan annually and make necessary revisions. Such revisions shall
be communicated to employees, contractors, students, volunteers, and
individuals receiving services and incorporated into training for employees,
contractors, students, and volunteers and into the orientation of individuals
to services.
D. E. In the event of a disaster, fire, emergency
or any other condition that may jeopardize the health, safety, or welfare of
individuals, the provider shall take appropriate action to protect the health,
safety, and welfare of individuals receiving services and take appropriate
actions to remedy the conditions as soon as possible.
E. F. Employees, contractors, students, and
volunteers shall be knowledgeable in and prepared to implement the emergency
preparedness plan in the event of an emergency. The plan shall include a policy
regarding regularly scheduled emergency preparedness training for all
employees, contractors, students, and volunteers.
F. G. In the event of a disaster, fire,
emergency, or any other condition that may jeopardize the health, safety, or
welfare of individuals, the provider should first respond and stabilize the
disaster or emergency. After the disaster or emergency is stabilized, the
provider should report the disaster or emergency to the department, but no
later than 24 hours after the incident occurs.
G. H. Providers of residential services shall
have at all times a three-day supply of emergency food and water for all
residents and staff. Emergency food supplies should include foods that do not
require cooking. Water supplies shall include one gallon of water per person
per day.
H. This section does not apply to home and noncenter-based
services. I. All provider locations shall be equipped with at least one
approved type ABC portable fire extinguisher with a minimum rating of 2A10BC
installed in each kitchen.
J. All provider locations shall have an appropriate number
of properly installed smoke detectors based on the size of the location, which
shall include at a minimum:
1. At least one smoke detector on each level of multi-level
buildings, including the basement;
2. At least one smoke detector in each bedroom in locations
with bedrooms;
3. At least one smoke detector in any area adjacent to any
bedroom in locations with bedrooms; and
4. Any additional smoke detectors necessary to comply with
all applicable federal and state laws and regulations and local ordinances.
K. Smoke detectors shall be tested monthly for proper
operation.
L. All provider locations shall maintain a floor plan
identifying locations of:
1. Exits;
2. Primary and secondary evacuation routes;
3. Accessible egress routes;
4. Portable fire extinguishers; and
5. Flashlights.
M. This section does not apply to home and noncenter-based
services. ]
12VAC35-105-580. Service description requirements.
A. The provider shall develop, implement, review, and revise
its descriptions of services offered according to the provider's mission and
shall make service descriptions available for public review.
B. The provider shall outline how each service offers a
structured program of individualized interventions and care designed to meet
the individuals' physical and emotional needs; provide protection, guidance and
supervision; and meet the objectives of any required individualized services
plan.
C. The provider shall prepare a written description of each
service it offers. Elements of each service description shall include:
1. Service goals;
2. A description of care, treatment, training skills
acquisition, or other supports provided;
3. Characteristics and needs of individuals to be served
receive services;
4. Contract services, if any;
5. Eligibility requirements and admission, continued stay, and
exclusion criteria;
6. Service termination and discharge or transition criteria;
and
7. Type and role of employees or contractors.
D. The provider shall revise the written service description
whenever the operation of the service changes.
E. The provider shall not implement services that are
inconsistent with its most current service description.
F. The provider shall admit only those individuals whose
service needs are consistent with the service description, for whom services
are available, and for which staffing levels and types meet the needs of the
individuals served receiving services.
G. The provider shall provide for the physical separation of
children and adults in residential and inpatient services and shall provide
separate group programming for adults and children, except in the case of
family services. The provider shall provide for the safety of children
accompanying parents receiving services. Older adolescents transitioning from
school to adult activities may participate in mental retardation
(intellectual disability) developmental day support services with
adults.
H. The service description for substance abuse treatment
services shall address the timely and appropriate treatment of pregnant women
with substance abuse (substance use disorders).
I. If the provider plans to serve individuals as of a result
of a temporary detention order to a service, prior to admitting those
individuals to that service, the provider shall submit a written plan for
adequate staffing and security measures to ensure the individual can be
served receive services safely within the service to the department
for approval. If the plan is approved, the department will shall
add a stipulation to the license authorizing the provider to serve individuals
who are under temporary detention orders.
12VAC35-105-590. Provider staffing plan.
A. The provider shall implement a written staffing plan that
includes the types, roles, and numbers of employees and contractors that are
required to provide the service. This staffing plan shall reflect the:
1. Needs of the individuals served receiving services;
2. Types of services offered;
3. Service description; and
4. Number of people individuals to be served
receive services at a given time; and
5. Adequate number of staff required to safely evacuate all
individuals during an emergency.
B. The provider shall develop a written transition staffing
plan for new services, added locations, and changes in capacity.
C. The provider shall meet the
following staffing requirements related to supervision.
1. The provider shall describe how employees, volunteers,
contractors, and student interns will be supervised in the staffing plan and
how that supervision will be documented.
2. Supervision of employees, volunteers, contractors, and
student interns shall be provided by persons who have experience in working
with individuals receiving services and in providing the services outlined in
the service description.
3. Supervision shall be appropriate to the services provided
and the needs of the individual. Supervision shall be documented.
4. Supervision shall include responsibility for approving
assessments and individualized services plans, as appropriate. This
responsibility may be delegated to an employee or contractor who meets the
qualification for supervision as defined in this section.
5. Supervision of mental health, substance abuse, or
co-occurring services that are of an acute or clinical nature such as
outpatient, inpatient, intensive in-home, or day treatment shall be provided by
a licensed mental health professional or a mental health professional who is
license-eligible and registered with a board of the Department of Health
Professions.
6. Supervision of mental health, substance abuse, or
co-occurring services that are of a supportive or maintenance nature, such as
psychosocial rehabilitation or mental health supports, shall be provided by a
QMHP-A, a licensed mental health professional, or a mental health professional
who is license-eligible and registered with a board of the Department of Health
Professions. An individual who is a QMHP-E may not provide this type of
supervision.
7. Supervision of mental retardation (intellectual
disability) developmental services shall be provided by a person
with at least one year of documented experience working directly with
individuals who have mental retardation (intellectual disability) or other
developmental disabilities and holds at least a bachelor's degree in a human
services field such as sociology, social work, special education,
rehabilitation counseling, nursing, or psychology. Experience may be
substituted for the education requirement.
8. Supervision of individual and family developmental
disabilities support (IFDDS) services shall be provided by a person possessing
at least one year of documented experience working directly with individuals
who have developmental disabilities and is one of the following: a doctor of
medicine or osteopathy licensed in Virginia; a registered nurse licensed in
Virginia; or a person holding at least a bachelor's degree in a human services
field such as sociology, social work, special education, rehabilitation
counseling, or psychology. Experience may be substituted for the education
requirement. 9. Supervision of brain injury services shall be provided at a
minimum by a clinician in the health professions field who is trained and
experienced in providing brain injury services to individuals who have a brain
injury diagnosis including: (i) a doctor of medicine or osteopathy
licensed in Virginia; (ii) a psychiatrist who is a doctor of medicine or
osteopathy specializing in psychiatry and licensed in Virginia; (iii) a
psychologist who has a master's degree in psychology from a college or
university with at least one year of clinical experience; (iv) a social worker
who has a bachelor's degree in human services or a related field (social work,
psychology, psychiatric evaluation, sociology, counseling, vocational
rehabilitation, human services counseling, or other degree deemed equivalent to
those described) from an accredited college or university with at least two years
of clinical experience providing direct services to individuals with a
diagnosis of brain injury; (v) a Certified Brain Injury Specialist; (vi) a
registered nurse licensed in Virginia with at least one year of clinical
experience; or (vii) any other licensed rehabilitation professional with one
year of clinical experience.
D. The provider shall employ or contract with persons with
appropriate training, as necessary, to meet the specialized needs of and to
ensure the safety of individuals being served receiving services
in residential services with medical or nursing needs; speech, language, or
hearing problems; or other needs where specialized training is necessary.
E. Providers of brain injury services shall employ or
contract with a neuropsychologist or licensed clinical psychologist
specializing in brain injury to assist, as appropriate, with initial
assessments, development of individualized services plans, crises, staff
training, and service design.
F. [ Direct care staff who provide Staff in
direct care positions providing ] brain injury services shall have at
least a high school diploma and two years of experience working with
individuals with disabilities or shall have successfully completed an approved
training curriculum on brain injuries within six months of employment.
12VAC35-105-620. Monitoring and evaluating service quality.
[ A. ] The provider shall develop and
implement written policies and procedures to for a quality
improvement program sufficient to identify, monitor, and evaluate clinical
and service quality and effectiveness on a systematic and ongoing basis.
[ B. ] The [ quality
improvement ] program shall utilize standard quality improvement
tools, including root cause analysis, and shall include a quality improvement
plan [ . that
C. The quality improvement
plan shall:
(i) is 1. Be ] reviewed and
updated at least annually;
[ (ii) defines 2. Define ] measurable
goals and objectives;
[ (iii) includes 3. Include ] and
[ reports report ] on statewide performance
measures, if applicable, as required by DBHDS;
[ (iv) monitors 4. Monitor ] implementation
and effectiveness of approved corrective action plans pursuant to
12VAC35-105-170; and
[ (v) includes 5. Include ] ongoing
monitoring and evaluation of progress toward meeting established goals and
objectives.
[ D. ] The provider's policies and
procedures shall include the criteria the provider will use to [ establish
1. Establish ] measurable goals and objectives
[ .;
2. Update the provider's quality improvement plan; and
3. Submit revised corrective action plans to the department
for approval or continue implementing the corrective action plan and put into
place additional measures to prevent the recurrence of the cited violation and
address identified systemic deficiencies when reviews determine that a
corrective action was fully implemented but did not prevent the recurrence of
the cited regulatory violation or correct a systemic deficiency pursuant to
12VAC35-105-170.
E. ] Input from individuals receiving services
and their authorized representatives, if applicable, about services used and
satisfaction level of participation in the direction of service planning shall
be part of the provider's quality assurance system improvement plan.
The provider shall implement improvements, when indicated.
12VAC35-105-650. Assessment policy.
A. The provider shall implement a written assessment policy.
The policy shall define how assessments will be conducted and documented.
B. The provider shall actively involve the individual and
authorized representative, if applicable, in the preparation of initial and
comprehensive assessments and in subsequent reassessments. In these assessments
and reassessments, the provider shall consider the individual's needs,
strengths, goals, preferences, and abilities within the individual's cultural
context.
C. The assessment policy shall designate employees or
contractors who are responsible for conducting assessments. These employees or
contractors shall have experience in working with the needs of individuals who
are being assessed, the assessment tool or tools being utilized, and the
provision of services that the individuals may require.
D. Assessment is an ongoing activity. The provider shall make
reasonable attempts to obtain previous assessments or relevant history.
E. An assessment shall be initiated prior to or at admission
to the service. With the participation of the individual and the individual's
authorized representative, if applicable, the provider shall complete an
initial assessment detailed enough to determine whether the individual
qualifies for admission and to initiate an ISP for those individuals who are
admitted to the service. This assessment shall assess immediate service,
health, and safety needs, and at a minimum include the individual's:
1. Diagnosis;
2. Presenting needs including the individual's stated needs,
psychiatric needs, support needs, and the onset and duration of problems;
3. Current medical problems;
4. Current medications;
5. Current and past substance use or abuse, including
co-occurring mental health and substance abuse disorders; and
6. At-risk behavior to self and others.
F. A comprehensive assessment shall update and finalize the
initial assessment. The timing for completion of the comprehensive assessment
shall be based upon the nature and scope of the service but shall occur no
later than 30 days, after admission for providers of mental health and
substance abuse services and 60 days after admission for providers of mental
retardation (intellectual disability) and developmental disabilities
services. It shall address:
1. Onset and duration of problems;
2. Social, behavioral, developmental, and family history and
supports;
3. Cognitive functioning including strengths and weaknesses;
4. Employment, vocational, and educational background;
5. Previous interventions and outcomes;
6. Financial resources and benefits;
7. Health history and current medical care needs, to include:
a. Allergies;
b. Recent physical complaints and medical conditions;
c. Nutritional needs;
d. Chronic conditions;
e. Communicable diseases;
f. Restrictions on physical activities if any;
g. Restrictive protocols or special supervision
requirements;
h. Past serious illnesses, serious injuries, and hospitalizations;
h. i. Serious illnesses and chronic conditions
of the individual's parents, siblings, and significant others in the same
household; and
i. j. Current and past substance use including
alcohol, prescription and nonprescription medications, and illicit drugs.
8. Psychiatric and substance use issues including current
mental health or substance use needs, presence of co-occurring disorders,
history of substance use or abuse, and circumstances that increase the
individual's risk for mental health or substance use issues;
9. History of abuse, neglect, sexual, or domestic violence, or
trauma including psychological trauma;
10. Legal status including authorized representative,
commitment, and representative payee status;
11. Relevant criminal charges or convictions and probation or
parole status;
12. Daily living skills;
13. Housing arrangements;
14. Ability to access services including transportation needs;
and
15. As applicable, and in all residential services, fall risk,
communication methods or needs, and mobility and adaptive equipment needs.
G. Providers of short-term intensive services including
inpatient and crisis stabilization services shall develop policies for
completing comprehensive assessments within the time frames appropriate for
those services.
H. Providers of non-intensive nonintensive or
short-term services shall meet the requirements for the initial assessment at a
minimum. Non-intensive Nonintensive services are services
provided in jails, nursing homes, or other locations when access to records and
information is limited by the location and nature of the services. Short-term
services typically are provided for less than 60 days.
I. Providers may utilize standardized state or federally
sanctioned assessment tools that do not meet all the criteria of
12VAC35-105-650 as the initial or comprehensive assessment tools as long as the
tools assess the individual's health and safety issues and substantially meet
the requirements of this section.
J. Individuals who receive medication-only services shall be
reassessed at least annually to determine whether there is a change in the need
for additional services and the effectiveness of the medication.
12VAC35-105-660. Individualized services plan (ISP).
A. The provider shall actively involve the individual and
authorized representative, as appropriate, in the development, review, and
revision of a person-centered ISP. The individualized services planning process
shall be consistent with laws protecting confidentiality, privacy, human rights
of individuals receiving services, and rights of minors.
B. The provider shall develop and implement an initial
person-centered ISP for the first 60 days for mental retardation
(intellectual disability) and developmental disabilities services or
for the first 30 days for mental health and substance abuse services. This ISP
shall be developed and implemented within 24 hours of admission to address
immediate service, health, and safety needs and shall continue in effect until
the ISP is developed or the individual is discharged, whichever comes first.
C. The provider shall implement a person-centered
comprehensive ISP as soon as possible after admission based upon the nature and
scope of services but no later than 30 days after admission for providers of
mental health and substance abuse services and 60 days after admission for
providers of mental retardation (intellectual disability) and
developmental disabilities services.
D. The initial ISP and the comprehensive ISP shall be
developed based on the respective assessment with the participation and
informed choice of the individual receiving services.
[ 1. ] To ensure the individual's
participation and informed choice, the [ provider
following ] shall [ explain be explained ]
to the individual or the individual's authorized representative, as
applicable, in a reasonable and comprehensible manner [ :
the a. The ] proposed services to
be delivered [ ,;
b. Any ] alternative services that might be
advantageous for the individual [ ,; ] and
[ c. Any ] accompanying risks or benefits
[ of the proposed and alternative services ]. [ The
provider shall clearly document that the individual's information was explained
to the individual or the individual's authorized representative and the reasons
the individual or the individual's authorized representative chose the option
included in the ISP.
2. If no alternative services are available to the
individual, it shall be clearly documented within the ISP, or within
documentation attached to the ISP, that alternative services were not available
as well as any steps taken to identify if alternative services were available.
3. Whenever there is a change to an individual's ISP, it
shall be clearly documented within the ISP, or within documentation attached to
the ISP that:
a. The individual participated in the development of or
revision to the ISP;
b. The proposed and alternative services and their
respective risks and benefits were explained to the individual or the
individual's authorized representative, and;
c. The reasons the individual or the individual's
authorized representative chose the option included in the ISP. ]
12VAC35-105-665. ISP requirements.
A. The comprehensive ISP shall be based on the individual's
needs, strengths, abilities, personal preferences, goals, and natural supports
identified in the assessment. The ISP shall include:
1. Relevant and attainable goals, measurable objectives, and
specific strategies for addressing each need;
2. Services and supports and frequency of services required to
accomplish the goals including relevant psychological, mental health, substance
abuse, behavioral, medical, rehabilitation, training, and nursing needs and
supports;
3. The role of the individual and others in implementing the
service plan;
4. A communication plan for individuals with communication
barriers, including language barriers;
5. A behavioral support or treatment plan, if applicable;
6. A safety plan that addresses identified risks to the
individual or to others, including a fall risk plan;
7. A crisis or relapse plan, if applicable;
8. Target dates for accomplishment of goals and objectives;
9. Identification of employees or contractors responsible for
coordination and integration of services, including employees of other
agencies; and
10. Recovery plans, if applicable; and
11. Services the individual elects to self direct, if
applicable.
B. The ISP shall be signed and dated at a minimum by the
person responsible for implementing the plan and the individual receiving
services or the authorized representative in order to document agreement.
If the signature of the individual receiving services or the authorized
representative cannot be obtained, the provider shall document his attempt
attempts to obtain the necessary signature and the reason why he was unable
to obtain it. The ISP shall be distributed to the individual and others
authorized to receive it.
C. The provider shall designate a person who will shall
be responsible for developing, implementing, reviewing, and revising each
individual's ISP in collaboration with the individual or authorized
representative, as appropriate.
D. Employees or contractors who are responsible for
implementing the ISP shall demonstrate a working knowledge of the objectives
and strategies contained in the individual's current ISP [ , including
an individual's detailed health and safety protocols ].
E. Providers of short-term intensive services such as
inpatient and crisis stabilization services that are typically provided
for less than 30 days shall implement a policy to develop an ISP within a
timeframe consistent with the length of stay of individuals.
F. The ISP shall be consistent with the plan of care for
individuals served by the IFDDS Waiver. G. When a provider provides more
than one service to an individual the provider may maintain a single ISP
document that contains individualized objectives and strategies for each
service provided.
H. G. Whenever possible the identified goals in
the ISP shall be written in the words of the individual receiving services.
12VAC35-105-675. Reassessments and ISP reviews.
A. Reassessments shall be completed at least annually and when
any time there is a need based on changes in the medical,
psychiatric, or behavioral, or other status of the individual.
B. Providers shall complete changes to the ISP as a result
of the assessments.
C. The provider shall update the ISP at least annually
and any time assessments identify risks, injuries, needs, or a change in
status of the individual.
D. The provider shall review the ISP at least every
three months from the date of the implementation of the ISP or whenever there
is a revised assessment based upon the individual's changing needs or goals.
1. These reviews shall evaluate the individual's
progress toward meeting the plan's ISP's goals and objectives and
the continued relevance of the ISP's objectives and strategies. The provider
shall update the goals, objectives, and strategies contained in the ISP, if
indicated, and implement any updates made.
2. These reviews shall document evidence of progression
toward or achievement of a specific targeted outcome for each goal and
objective.
3. For goals and objectives that were not accomplished by
the identified target date, the provider and any appropriate treatment team
members shall meet to review the reasons for lack of progress and provide the
individual an opportunity to make an informed choice of how to proceed.
12VAC35-105-691. Transition of individuals among service.
A. The provider shall implement written procedures that
define the process for transitioning an individual between or among services
operated by the provider. At a minimum the policy shall address:
1. The process by which the provider will assure continuity of
services during and following transition;
2. The participation of the individual or his authorized
representative, as applicable, in the decision to move and in the planning for
transfer;
3. The process and timeframe for transferring the access to
individual's record and ISP to the destination location;
4. The process and timeframe for completing the transfer
summary; and
5. The process and timeframe for transmitting or accessing,
where applicable, discharge summaries to the destination service.
B. The transfer summary shall include at a minimum the
following:
1. Reason for the individual's transfer;
2. Documentation of involvement informed choice
by the individual or his authorized representative, as applicable, in the
decision to and planning for the transfer;
3. Current psychiatric and known medical conditions or issues
of the individual and the identity of the individual's health care providers;
4. Updated progress of the individual in meeting goals and
objectives in his ISP;
5. Emergency medical information;
6. Dosages of all currently prescribed medications and over-the-counter
medications used by the individual when prescribed by the provider or known by
the case manager;
7. Transfer date; and
8. Signature of employee or contractor responsible for
preparing the transfer summary.
C. The transfer summary may be documented in the individual's
progress notes or in information easily accessible within an electronic health
record.
Article 6
Behavior Interventions
12VAC35-105-800. Policies and procedures on behavior
interventions and supports.
A. The provider shall implement written policies and
procedures that describe the use of behavior interventions, including
seclusion, restraint, and time out. The policies and procedures shall:
1. Be consistent with applicable federal and state laws and regulations;
2. Emphasize positive approaches to behavior interventions;
3. List and define behavior interventions in the order of
their relative degree of intrusiveness or restrictiveness and the conditions
under which they may be used in each service for each individual;
4. Protect the safety and well-being of the individual at all
times, including during fire and other emergencies;
5. Specify the mechanism for monitoring the use of behavior
interventions; and
6. Specify the methods for documenting the use of behavior
interventions.
B. Employees and contractors trained in behavior support
interventions shall implement and monitor all behavior interventions.
C. Policies and procedures related to behavior interventions
shall be available to individuals, their families, authorized representatives,
and advocates. Notification of policies does not need to occur in correctional
facilities.
D. Individuals receiving services shall not discipline,
restrain, seclude, or implement behavior interventions on other individuals
receiving services.
E. Injuries resulting from or occurring during the
implementation of behavior interventions seclusion or restraint
shall be recorded in the individual's services record and reported to
the assigned human rights advocate and the employee or contractor
responsible for the overall coordination of services department as
provided in 12VAC35-115-230 C.
12VAC35-105-830. Seclusion, restraint, and time out.
A. The use of seclusion, restraint, and time out shall comply
with applicable federal and state laws and regulations and be consistent with
the provider's policies and procedures.
B. Devices used for mechanical restraint shall be designed
specifically for emergency behavior management of human beings in
clinical or therapeutic programs.
C. Application of time out, seclusion, or restraint shall be
documented in the individual's record and include the following:
1. Physician's order for seclusion or mechanical restraint or
chemical restraint;
2. Date and time;
3. Employees or contractors involved;
4. Circumstances and reasons for use including other emergency
behavior management techniques attempted;
5. Duration;
6. Type of technique used; and
7. Outcomes, including documentation of debriefing of the
individual and staff involved following the incident.
Article 3
Services in Department of Corrections Correctional Facilities
12VAC35-105-1140. Clinical and security coordination.
A. The provider shall have formal and informal methods of
resolving procedural and programmatic issues regarding individual care arising
between the clinical and security employees or contractors.
B. The provider shall demonstrate ongoing communication
between clinical and security employees to ensure individual care.
C. The provider shall provide cross-training for the clinical
and security employees or contractors that includes:
1. Mental health, mental retardation (intellectual
disability) developmental disability, and substance abuse education;
2. Use of clinical and security restraints; and
3. Channels of communication.
D. Employees or contractors shall receive periodic in-service
training, and have knowledge of and be able to demonstrate the appropriate use
of clinical and security restraint.
E. Security and behavioral assessments shall be completed at
the time of admission to determine service eligibility and at least weekly for
the safety of individuals, other persons, employees, and visitors.
F. Personal grooming and care services for individuals shall
be a cooperative effort between the clinical and security employees or
contractors.
G. Clinical needs and security level shall be considered when
arrangements are made regarding privacy for individual contact with family and
attorneys.
H. Living quarters shall be assigned on the basis of the
individual's security level and clinical needs.
I. An assessment of the individual's clinical condition and
needs shall be made when disciplinary action or restrictions are required for
infractions of security measures.
J. Clinical services consistent with the individual's
condition and plan of treatment shall be provided when security detention or
isolation is imposed.
12VAC35-105-1245. Case management direct assessments.
Case managers shall meet with each individual face-to-face
as dictated by the individual's needs. At face-to-face meetings, the case
manager shall (i) observe and assess for any previously unidentified risks,
injuries, needs, or other changes in status; (ii) assess the status of
previously identified risks, injuries, or needs, or other changes in status;
(iii) assess whether the individual's service plan is being implemented
appropriately and remains appropriate for the individual; and (iv) assess
whether supports and services are being implemented consistent with the
individual's strengths and preferences and in the most integrated setting
appropriate to the individual's needs.
12VAC35-105-1250. Qualifications of case management employees
or contractors.
A. Employees or contractors providing case management
services shall have knowledge of:
1. Services and systems available in the community including
primary health care, support services, eligibility criteria and intake
processes and generic community resources;
2. The nature of serious mental illness, mental retardation
(intellectual disability) developmental disability, substance abuse
(substance use disorders), or co-occurring disorders depending on the
individuals served receiving services, including clinical and
developmental issues;
3. Different types of assessments, including functional
assessment, and their uses in service planning;
4. Treatment modalities and intervention techniques, such as
behavior management, independent living skills training, supportive counseling,
family education, crisis intervention, discharge planning, and service
coordination;
5. Types of mental health, developmental, and substance abuse
programs available in the locality;
6. The service planning process and major components of a
service plan;
7. The use of medications in the care or treatment of the
population served; and
8. All applicable federal and state laws and regulations and
local ordinances.
B. Employees or contractors providing case management
services shall have skills in:
1. Identifying and documenting an individual's need for
resources, services, and other supports;
2. Using information from assessments, evaluations,
observation, and interviews to develop service plans;
3. Identifying and documenting how resources,
services, and natural supports such as family can be utilized to promote
achievement of an individual's personal habilitative or rehabilitative and life
goals; and
4. Coordinating the provision of services by diverse public
and private providers.
C. Employees or contractors providing case management
services shall have abilities to:
1. Work as team members, maintaining effective inter- inter-agency
and intra-agency working relationships;
2. Work independently performing position duties under general
supervision; and
3. Engage in and sustain ongoing relationships with
individuals receiving services.
D. Case managers serving individuals with developmental
disability shall complete the DBHDS core competency-based curriculum within 30
days of hire.
Article 7
Intensive Community Treatment and Program of Assertive Community Treatment
Services
12VAC35-105-1360. Admission and discharge criteria.
A. Individuals must meet the following admission criteria:
1. Diagnosis of a severe and persistent mental illness,
predominantly schizophrenia, other psychotic disorder, or bipolar disorder that
seriously impairs functioning in the community. Individuals with a sole
diagnosis of substance addiction or abuse or mental retardation
(intellectual disability) developmental disability are not eligible
for services.
2. Significant challenges to community integration without
intensive community support including persistent or recurrent difficulty with
one or more of the following:
a. Performing practical daily living tasks;
b. Maintaining employment at a self-sustaining level or
consistently carrying out homemaker roles; or
c. Maintaining a safe living situation.
3. High service needs indicated due to one or more of the
following:
a. Residence in a state hospital or other psychiatric hospital
but clinically assessed to be able to live in a more independent situation if
intensive services were provided or anticipated to require extended
hospitalization, if more intensive services are not available;
b. Multiple admissions to or at least one recent long-term
stay (30 days or more) in a state hospital or other acute psychiatric hospital
inpatient setting within the past two years; or a recent history of more than
four interventions by psychiatric emergency services per year;
c. Persistent or very recurrent severe major symptoms (e.g.,
affective, psychotic, suicidal);
d. Co-occurring substance addiction or abuse of significant
duration (e.g., greater than six months);
e. High risk or a recent history (within the past six months)
of criminal justice involvement (e.g., arrest or incarceration);
f. Ongoing difficulty meeting basic survival needs or residing
in substandard housing, homeless, or at imminent risk of becoming homeless; or
g. Inability to consistently participate in traditional
office-based services.
B. Individuals receiving PACT or ICT services should not be
discharged for failure to comply with treatment plans or other expectations of
the provider, except in certain circumstances as outlined. Individuals must
meet at least one of the following criteria to be discharged:
1. Change in the individual's
residence to a location out of the service area;
2. Death of the individual;
3. Incarceration of the
individual for a period to exceed a year or long term long-term
hospitalization (more than one year); however, the provider is expected to
prioritize these individuals for PACT or ICT services upon their the
individual's anticipated return to the community if the individual wishes
to return to services and the service level is appropriate to his needs;
4. Choice of the individual with
the provider responsible for revising the ISP to meet any concerns of the
individual leading to the choice of discharge; or
5. Significant sustained
recovery by the individual in all major role areas with minimal team contact
and support for at least two years as determined by both the individual and ICT
or PACT team.
VA.R. Doc. No. R18-4381; Filed May 28, 2020, 5:08 p.m.
TITLE 14. INSURANCE
STATE CORPORATION COMMISSION
Final Regulation
REGISTRAR'S NOTICE:
Pursuant to 1VAC7-10-60, the Registrar of Regulations is updating certain
regulations of the State Corporation Commission to correct an invalid web
address in the Virginia Administrative Code.
Title of Regulation: 14VAC5-200. Rules Governing
Long-Term Care Insurance (amending 14VAC5-200-75).
Effective Date: June 22, 2020.
Contact Information: Bob Grissom, Chief Insurance Market
Examiner, Bureau of Insurance, State Corporation Commission, 1300 East Broad
Street, Richmond, VA 23219, telephone (804) 371-9152, or email bob.grissom@scc.virginia.gov.
Summary:
The Virginia Bureau of Insurance's webpage address for
public access to insurance premium rate filings is being changed to https://scc.virginia.gov/boi/SERFFInquiry/
LtcFilings.aspx.
VA.R. Doc. No. R20-6331; Filed June 1, 2020, 1:03 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF ACCOUNTANCY
Proposed Regulation
Title of Regulation: 18VAC5-22. Board of Accountancy
Regulations (amending 18VAC5-22-20, 18VAC5-22-40,
18VAC5-22-50, 18VAC5-22-70, 18VAC5-22-90, 18VAC5-22-120, 18VAC5-22-170,
18VAC5-22-180; adding 18VAC5-22-91).
Statutory Authority: §§ 54.1-4402 and 54.1-4403 of
the Code of Virginia.
Public Hearing Information:
August 4, 2020 - 10 a.m. - 9960 Mayland Drive, Second
Floor Conference Center, Henrico, Virginia 23233
Public Comment Deadline: August 21, 2020.
Agency Contact: Nancy Glynn, Executive Director, Board
of Accountancy, 9960 Mayland Drive, Suite 402, Richmond, VA 23233, telephone
(804) 367-8540, FAX (804) 527-4409, TTY (804) 367-9753, or email nancy.glynn@boa.virginia.gov.
Basis: Virginia Board of Accountancy (VBOA) regulations
are promulgated under the general authority of § 54.1-4403 of the Code of
Virginia, which gives the board the power and duty to promulgate regulations in
accordance with the Administrative Process Act (§ 2.2-4000 et seq. of the Code
of Virginia) as necessary to ensure continued competency, to prevent deceptive
or misleading practices by licensees, and to effectively administer the
regulatory system.
Purpose: The VBOA regularly receives informal and formal
feedback about the agency's processes and rules. Feedback received includes
concerns that the regulations are confusing. By simplifying the language where
possible and making minor changes where appropriate, the proposed amendments
should make the regulations more easily understandable. This includes making
word choice and phrasing more consistent throughout the regulations so that the
public and certified public accountants (CPAs) should be better able to
understand the statutes and regulations associated with the VBOA.
Substance: Simple corrections or additions to the
language are made for the purpose of clarity and consistency in 18VAC5-22-40,
18VAC5-22-50, and 18VAC-5-22-70.
Reporting requirements are clarified as well as added to
18VAC5-22-170; renewal requirements from 18VAC5-22-170 are moved into
18VAC5-22-180, and initial and reinstatement licensure provisions are
clarified.
Three subsections of 18VAC5-22-90 are being moved to create new
section 18VAC5-22-91, Documentation of continuing professional education. The
language remaining in 18VAC5-22-90 is amended for clarification purposes.
Issues: The major advantage of the proposed amendments
is that the regulation should be more clearly understood by the public, CPAs,
and CPA applicants. Another advantage is that by requiring the disclosure of
disciplinary sanctions against CPAs and CPA firms within 30 calendar days
(18VAC5-22-170), the public will be better protected and more informed when
seeking services from a CPA or a CPA firm. In addition, the section regarding
the annual renewal of licenses (18VAC5-22-180) is greatly reduced and provides
further clarification for renewal dates, particularly for new and recent
licensees.
There are no known disadvantages to the public or businesses or
for the agency or Commonwealth.
Periodic Review and Small Business Impact Review Report of
Findings: This fast-track regulatory action serves as the report of the
findings of the regulatory review pursuant to § 2.2-4007.1 of the Code of
Virginia.
Department of Planning and Budget's Economic Impact
Analysis:
Summary of the Proposed Amendments to Regulation. The Board of
Accountancy (Board) proposes to require that certified public accountant (CPA)
licensees notify the Board within 30 days of 1) any administrative disciplinary
action that the licensee is the subject of or party to before any court, agency
of the state or federal government, branch of the U.S. armed forces, or before
the American Institute of Certified Public Accountants, the Virginia Society of
Certified Public Accountants or their successors, 2) any conviction concerning
a felony or misdemeanor, regardless of whether sentence is imposed, suspended,
or executed, 3) any guilty plea or plea of nolo contendere, 4) any final
judgment rendered against the holder in a civil court of law, or 5) any receipt
of a peer review report or a Public Company Accounting Oversight Board firm
inspection report containing criticisms of or identifying potential defects in
the firm's quality control systems. The Board also proposes to: a) have
licensure applications expire after six years, b) have licenses that start on
or after March 1 not expire until June 30 of the following year, c) add current
guidance document text on continuing professional education (CPE) to the
regulation, and d) add clarifying text.
Background. The items the Board proposes to require licensees
to report within 30 days are currently asked to be self-reported in various
combinations when the following forms are filled out: exam application, license
application, license renewal, and license reinstatement. The current regulation
does not ask for such self-reporting outside of the forms.
There is no current expiration date on licensure applications.
Under the current regulation, all licenses expire on June 30, regardless of
when they start.
Estimated Benefits and Costs. According to Board staff, the
Board would use the information required to be reported within 30 days to make
decisions on discipline. To the extent this proposed requirement is complied
with,1 this would allow the Board to receive relevant information
considerably sooner.
Currently, the information is not requested before annual
license renewal. Appropriate discipline to help protect the public could be
meted out potentially several months sooner than without the proposed
requirement.
The Board's website has a CPA Licensure Lookup feature.2
Members of the public considering hiring a CPA can check licensure status and
any discipline received for CPAs being considered for hire. Since as described
the proposal to report information within 30 days would likely result in
discipline occurring considerably sooner, that information would also be
recorded in CPA Licensure Lookup sooner. This would allow consumers to be
better informed in considering potential CPAs to hire.
According to Board staff, under the current regulation an
applicant can submit an application for licensure before having completed all
requirements for licensure. The Board's proposal to have licensure applications
expire after six years, and thus require that a new application be submitted,
would effectively allow the Board to require that the applicant demonstrate
continued competence. To the extent that objective is achieved, this would be
beneficial for the public, though costly for the applicant who would have to
pay another application fee (currently $75) and perhaps complete additional
activities or courses to demonstrate continued competence.
Under the current regulation, by having all licenses expire on
June 30 regardless of when they start, some new licenses are very short in
duration and are not prorated. The proposal to have licenses that start on or
after March 1 not expire until June 30 of the following year is substantially
beneficial for affected CPAs.
Businesses and Other Entities Affected. The proposed amendments
affect the 30,000 CPAs3 in the Commonwealth, as well as CPA
licensure applicants. Since adverse impact is indicated if there is any
increase in net cost or reduction in net revenue for any entity, even if the
benefits of the proposal exceed the costs for all entities combined, adverse
impact is indicated for this action because costs would increase for those
applicants whose application for licensure expires after six years and who
chose to submit a new application and pay the corresponding fees and
demonstrate continued competence as instructed by the Board. Data are not
available to indicate the number of persons who may be affected in this way.
Small Businesses4 Affected: The proposed amendments
do not appear to directly affect small businesses.
Localities5 Affected.6 The proposed
amendments neither disproportionately affect any particular locality nor
introduce costs for local governments.
Projected Impact on Employment. The proposed amendments do not
appear to affect total employment.
Effects on the Use and Value of Private Property. The proposed
amendments do not substantially affect private property, and do not affect real
estate development costs.
__________________________
1The incentive to not report negative information may be
countered by fines or harsher discipline than otherwise would be meted if found
out by non-reported means after 30 days.
2See https://secure1.boa.virginia.gov/Verification/
3Approximate figures provided by
the Board.
4Pursuant 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."
5"Locality" can refer to either local
governments or the locations in the Commonwealth where the activities relevant
to the regulatory change are most likely to occur.
6§ 2.2-4007.04 defines "particularly
affected" as bearing disproportionate material impact.
Agency's Response to Economic Impact Analysis: The
Virginia Board of Accountancy (VBOA) concurs with the proposed regulation to
report disciplinary sanctions within 30 days of the event, appropriate
disciplinary action could be pursued sooner, helping to protect the public. The
VBOA also concurs with the positive effects this would have with regard to the
Certified Public Accountant (CPA) Licensure Lookup feature.
The VBOA concurs that the proposal to have licensure
applications expire after six years helps protect the public by ensuring the
continued competence of the applicant. Although the additional application fee
and potential additional activities to ensure compliance would be an increased
cost to the applicant, the VBOA does not often encounter renewed efforts to
seek licensure from applications who have reached this expiration mark.
The VBOA concurs that the proposal to adjust the window for
future license renewal from newly established licensees is substantially
beneficial to affected CPAs.
As the economic impact analysis states, the only adverse impact
is for individuals whose application for licensure expires after six years and
who wish to continue to pursue the license application at that point. The
proposed regulation, however, should help to protect the public by ensuring
continued competence. This is in line with the VBOA mission, which is to
protect the citizens of the Commonwealth through a regulatory program of
licensure and compliance of CPAs and CPA firms.
Summary:
As the result of a periodic review, the proposed amendments
require that certified public accountant (CPA) licensees notify the board
within 30 days of (i) any administrative disciplinary action that the licensee
is the subject of or party to before any court, agency of the state or federal
government, branch of the United States armed forces, or before the American
Institute of Certified Public Accountants, the Virginia Society of Certified
Public Accountants, or their successors; (ii) any conviction concerning a
felony or misdemeanor, regardless of whether sentence is imposed, suspended, or
executed; (iii) any guilty plea or plea of nolo contendere; (iv) any final
judgment rendered against the holder in a civil court of law; or (v) any
receipt of a peer review report or a Public Company Accounting Oversight Board
firm inspection report containing criticisms of or identifying potential
defects in the firm's quality control systems.
In addition to clarifying text and reorganizing text, the
proposed amendments also require licensure applications expire after six years,
allow licenses that start on or after March 1 to expire June 30 of the
following year, and add continuing professional education requirements that had
formerly been only in guidance.
18VAC5-22-20. Fees.
A. The board shall charge the following fees for services it
provides:
Processing an initial application to take one or more sections
of the CPA examination
|
$120
|
Processing additional applications to take one or more
sections of the CPA examination
|
$20
|
|
|
Processing an application for issuance of a Virginia license
to a person
|
$75
|
Processing an application for issuance of a Virginia license
to a firm
|
$100
|
Processing an application for the timely renewal of a person's
Virginia license except as provided in subsection B of 18VAC5-22-180
|
$60
|
Processing an application for the timely renewal of a firm's
Virginia license except as provided in subsection B of 18VAC5-22-180
|
$75
|
Additional fee for processing an application for the renewal
of a person's Virginia license that is not timely
|
$100
|
Additional fee for processing an application for the renewal
of a firm's Virginia license that is not timely
|
$100
|
Processing an application for reinstatement of a person's
Virginia license
|
$350
|
Processing an application for reinstatement of a firm's
Virginia license
|
$500
|
Processing an application for lifting the suspension of the
privilege of using the CPA title in Virginia
|
$350
|
Processing an application for lifting the suspension of the
privilege of providing attest services, compilation services, or financial
statement preparation services for persons or entities located in Virginia
|
$500
|
Providing or obtaining information about a person's grades on sections
of the CPA examination
|
$25
|
Processing requests for verification that a person or firm
holds a Virginia license:
|
|
1. Online request
|
$25
|
2. Manual request
|
$50
|
Providing an additional CPA
wall certificate
|
$25
|
Additional fee for not
responding within 30 calendar days to any request for information by the
board under subsection A of 18VAC5-22-170
|
$100
|
Additional fee for not using the online payment option for any
service provided by the board
|
$25
|
B. All fees for services the board provides are due when the
service is requested and are nonrefundable.
C. Any original application for a CPA license in Virginia
will expire six years from the original application date, and a new application
with the corresponding fees and requirements will need to be submitted.
18VAC5-22-40. Determining whether a person who holds a Virginia
license is providing services to the public using the CPA title or to or on
behalf of an employer using the CPA title.
For the purpose of determining whether a person who holds a Virginia
license is providing services to the public or to or on behalf of an
employer, those terms are to be defined in accordance with § 54.1-4400 of the
Code of Virginia.
18VAC5-22-50. Determining whether the principal place of
business of a person or of a firm is in Virginia.
Complying with subdivision A 1 of § 54.1-4409.1,
subsection B of § 54.1-4411, or subsection B of § 54.1-4412.1 of the
Code of Virginia requires the person or firm to use reasonable judgment in
determining whether Virginia is the principal place of business in which:
1. The person provides services to the public; or
2. The firm provides attest services, or
compilation services, or financial statement preparation services.
The determination shall be reasonable considering the facts and
circumstances and can be based on quantitative or qualitative assessments. The
determination shall be reconsidered for changes in facts and circumstances that
are not temporary.
18VAC5-22-70. Education.
A. In order for a person to take the CPA examination through
Virginia, he must have obtained from one or more accredited institutions at
least 120 semester hours of education, a baccalaureate or higher degree, and an
accounting concentration or equivalent prior to taking any part of the CPA
examination.
B. For the purpose of complying with subsection A of this
section and with subdivision A 1 a of § 54.1-4409.2 of the Code of
Virginia, obtaining an accounting concentration or equivalent requires
obtaining at a minimum:
1. 24 semester hours of accounting courses, including that
must include courses in auditing, financial accounting, management
accounting, and taxation; and
2. 24 semester hours of business courses, no more than six
semester hours of which could be considered accounting courses.
Principles or introductory accounting courses cannot be
considered in determining whether a person has obtained the 48 minimum number
of semester hours required for an accounting concentration or equivalent.
18VAC5-22-90. Continuing professional education.
A. If during the current calendar year a person holds a
Virginia license and has not been granted an exemption from meeting
continuing professional education requirements by the board pursuant to
subsection C of this section, he shall have obtained at least 120 hours of
continuing professional education during the three-calendar-year period ending
with the current calendar year. For each of the calendar years in that period,
he shall have obtained at least 20 hours of continuing professional education,
including an ethics course of at least two hours., which conforms to
the requirements prescribed by the board. If a person holds an active license
in another state and his principal place of business is not located in Virginia
and:
1. If the person also holds the license of another state
and Virginia is not his principal place of business, the ethics course taken to
comply with this subsection either shall conform with the requirements
prescribed by the board or shall be an ethics course acceptable to the board of
accountancy of another state in which the person holds a license. The
other state has a continuing professional education requirement for ethics, he
is eligible for an exemption from meeting the continuing professional education
requirements of Virginia if he meets the continuing professional education
requirements in the other state in which he holds an active license, or
2. Otherwise, the ethics course shall conform to the
requirements The other state does not have a continuing professional
education requirement for ethics, he is eligible for an exemption from meeting
the continuing professional education requirements of Virginia if he meets the
continuing professional education requirements in the other state in which he
holds an active license and in addition he meets the continuing professional
education requirement for ethics in Virginia as prescribed by the board.
B. If during the current calendar year a person who holds a
Virginia license provided services to the public or to or on behalf of an
employer, has not been granted an exemption by the board pursuant to
subsection C of this section, and did not hold a Virginia license or the
license of another state during one or both of the two preceding calendar
years, he shall determine whether he has complied with the requirements of
subsection A of this section as follows:
1. If the person became licensed during the current calendar
year, he shall be considered to have met the requirements of subsection A of
this section for the three-calendar-year period ending with the current
calendar year.
2. If the person became licensed during the preceding calendar
year, he shall be considered to have met the requirements of the subsection for
the three-calendar-year period ending with the current calendar year if during
the current calendar year he obtained at least the minimum number of hours of
continuing professional education required by subsection A of this section for
the current calendar year, including an ethics course of at least two hours.
3. If the person became licensed during the calendar year
prior to the preceding calendar year, he shall be considered to have met the
requirements of the subsection for the three-calendar-year period ending with
the current calendar year if during the current calendar year and the preceding
calendar year he obtained at least the minimum number of hours of continuing
professional education required by subsection A of this section for each of the
years, including for each year an ethics course of at least two hours.
C. If during the current calendar year a person who holds a
Virginia license did not provide services to the public or to or on behalf of
an employer, including on a volunteer basis, and has demonstrated to
the board that he does not provide those services been granted an
exemption from continuing professional education requirements in writing by the
board, he is not required to have obtained meet the
continuing professional education requirements during the three-calendar-year
period ending with the current calendar year for which the exemption was
granted. Any person who holds a Virginia license to whom an exemption has
been granted shall annually affirm and certify to the board his continued
eligibility for the exemption in that he does not provide services to the
public or to or on behalf of an employer. However, in order to begin
providing those services to the public or to or on behalf of an
employer, including on a volunteer basis:
1. He is required to have obtained at least 120 hours of
continuing professional education prior to providing the services,
including an ethics course of at least two hours.
2. The ethics course shall conform to the requirements
prescribed by the board for the calendar year in which the person begins
providing the services.
Continuing professional education obtained during the three
calendar years prior to the current calendar year and from the start of the
current calendar year to when he begins providing the services shall be
considered in determining whether the person has complied with the requirements
of this subsection.
D. If a person who has not held the license of any state
applies for a Virginia license within the same calendar year in which he passes
the CPA examination, he does not need to obtain continuing professional
education for that calendar year. If a person who has not held the license
of any state applies for a Virginia license after the end of the calendar year
in which he passes the CPA examination, he shall obtain continuing professional
education prior to applying for the license, including an ethics course of at
least two hours.
1. The required minimum number of hours of continuing
professional education shall be 40, 80, or 120 depending on whether he applies
for the Virginia license by the end of the first calendar year after the
calendar year in which he passes the CPA examination, by the end of the second
calendar year, or later.
2. The ethics course shall conform to the requirements
prescribed by the board for the calendar year in which the person applies for
the license.
Continuing professional education obtained subsequent to
passing the CPA examination but during the three calendar years prior to the
calendar year in which the person applies for the license and from the start of
that calendar year to when he applies for the license shall be considered in
determining whether he has complied with this requirement.
E. Continuing professional education acceptable to the
board may be obtained through a variety of forums, provided there is a means of
demonstrating that the education was obtained. The acceptable forums are:
1. Attending seminars and educational conferences, provided
that the instructors have appropriate knowledge of the subject matter and use
appropriate teaching materials and that attendance is monitored in a manner
that can be verified by the board;
2. Taking courses at an accredited institution for credit;
3. Completing self-study courses, provided there is a
method for determining that the person met the learning objectives;
4. Making a presentation at a professional seminar,
educational conference, or in a classroom setting, provided the person has
appropriate knowledge of the subject matter and uses appropriate teaching
materials;
5. Writing material that is relevant to providing services
to or on behalf of an employer or to the public that is formally reviewed by an
independent party and that is published in a book, magazine, or similar
publication; and
6. Passing examinations and obtaining certifications that
have been approved by the board.
Whether other forums are acceptable shall be determined by
the board on a case-by-case basis.
F. In determining whether a person has obtained the
required number of hours of continuing professional education:
1. Repeat presentations shall not be considered.
2. No more than 30 hours from preparing for and making
presentations shall be considered during each three-calendar-year period.
3. One semester-hour of credit for courses at an accredited
institution constitutes 15 hours of continuing professional education, and one
quarter-hour of credit constitutes 10 hours of continuing professional
education.
4. Credit for examination and certification shall be
awarded for the calendar year in which the examination was passed and
certification was received. If passage of the examination and certification
occur in different calendar years, credit shall be awarded for the calendar
year in which the examination was passed. The board shall determine how many
hours are credited per certification.
5. No more than 60 hours from examination and certification
shall be considered during each three-calendar-year period.
G. Depending on the facts and circumstances, the board may
waive all or part of the continuing professional education requirement for one
or more calendar years or grant additional time for complying with the
continuing professional education requirement, provided that the waiver or
deferral is in the public interest.
18VAC5-22-91. Documentation of continuing professional
education.
A. Continuing professional education acceptable to the
board may be obtained through a variety of forums, provided there is a means of
demonstrating that the education was obtained. The acceptable forums are:
1. Attending seminars and educational conferences, provided
that the instructors have appropriate knowledge of the subject matter and use
appropriate teaching materials and that attendance is monitored in a manner
that can be verified by the board;
2. Completing courses at an accredited institution for
credit;
3. Completing self-study courses, provided there is a
method for determining that the person met the learning objectives;
4. Making a presentation at a professional seminar,
educational conference, or in a classroom setting, provided the person has
appropriate knowledge of the subject matter and uses appropriate teaching
materials;
5. Writing material that is relevant to providing services
to the public or to or on behalf of an employer that is formally reviewed by an
independent party and that is published in a book, magazine, or similar
publication; and
6. Passing examinations and obtaining certifications that
have been approved by the board.
Whether other forums are acceptable shall be determined by
the board on a case-by-case basis.
B. In determining whether a person has obtained the
required number of hours of continuing professional education:
1. Repeat presentations, examinations, and courses shall
not be considered.
2. No more than 30 hours from preparing for and making
presentations shall be considered during each three-calendar-year period.
3. One semester-hour of credit for courses at an accredited
institution constitutes 15 hours of continuing professional education, and one
quarter-hour of credit constitutes 10 hours of continuing professional education.
4. Credit for examination and certification shall be
awarded for the calendar year in which the examination was passed and
certification was received. If passage of the examination and certification
occur in different calendar years, credit shall be awarded for the calendar
year in which the examination was passed. The board shall determine how many
hours are credited per certification.
5. No more than 60 hours from examination and certification
shall be considered during each three-calendar-year period.
C. Depending on the facts and circumstances, the board may
waive all or part of the continuing professional education requirement for one
or more calendar years or grant additional time for complying with the
continuing professional education requirement, provided that the waiver or
deferral is in the public interest.
D. Evidence of satisfactory completion of the continuing
professional education requirements shall include:
1. Certificates of completion or some other form of
documentation from the continuing professional education sponsor, including the
sponsor's name, participant's name, course or content name, date taken, and
hours of continuing professional education earned;
2. Official transcripts of the college or university for
earning course credit at an accredited college or university;
3. A syllabus or agenda and a signed statement from the
sponsoring individual or sponsoring organization indicating the length of the
presentation for making a presentation;
4. A copy of the published article, book, written material,
or other proof of publication for producing written material relevant to CPAs
who provide services to the public or to or on behalf of an employer; or
5. In the case of exams and certifications that have been
approved by the board, a letter from the administering organization that
identifies the passage of the exam or the certification, the participant's
name, and the date of passage or certification;
The board shall not accept receipts, registration
confirmations, canceled checks, outlines, presentation slides, or sign-in
sheets as valid evidence of satisfactory completion of the continuing
professional education requirements. Whether other documentation is acceptable
shall be determined by the board on a case-by-case basis.
E. A person who holds a Virginia license shall retain
evidence of his satisfactory completion of the continuing professional
education requirements for a period of four years preceding the current
calendar year.
F. One continuing professional education hour is satisfied
by 50 minutes of participation in a program of continuing professional
education.
18VAC5-22-120. Supervision of firm personnel.
To comply with subdivision C 2 of § 54.1-4412.1 of the Code
of Virginia, a person's work must be planned, supervised, and reviewed by a
person who either (i) holds a an active Virginia license or (ii)
holds the active license of another state and complies with the
substantial equivalency provisions of § 54.1-4411 of the Code of Virginia.
18VAC5-22-170. Communication with the board.
A. Pursuant to § 54.1-4425 of the Code of Virginia, each
licensee or applicant shall respond within 30 calendar days to any board
request for information regarding compliance with any statutes or regulations
pertaining to the board or any of the programs that may be in another title of
the Code of Virginia for which the board has regulatory responsibility. When
the requested response is not produced by the licensee or applicant within 30
calendar days, this nonproduction shall be deemed a violation of this rule,
unless otherwise determined by the board.
B. Each holder of a Virginia license shall notify the board
in writing within 30 calendar days of any:
1. Any change in the holder's legal name or in
the postal and electronic addresses where the person or firm may be reached;
2. Any administrative disciplinary action that the holder
is the subject of or party to before any court, agency of the state or federal
government, branch of the armed forces of the United States of America, or
before the American Institute of Certified Public Accountants, the Virginia
Society of Certified Public Accountants, or their successors;
3. Any conviction concerning a felony or misdemeanor,
regardless of whether sentence is imposed, suspended, or executed;
4. Any guilty plea or plea of nolo contendere;
5. Any final judgment rendered against the holder in a
civil court of law; or
6. Any receipt of a peer review report or a PCAOB firm
inspection report containing criticisms of or identifying potential defects in
the firm's quality control systems.
C. The board shall transmit license renewal notices
electronically unless a person or firm is unable to communicate electronically.
The responsibility for renewing a Virginia license is on its holder, and that
responsibility is not affected by whether the holder receives a license renewal
notice Upon the renewal, reinstatement of, or the application for a
Virginia license each person or entity shall notify the board in writing if any
of the sanctions in subsection B of this section have occurred.
18VAC5-22-180. Issuance, renewal, and reinstatement of
licenses.
A. Any Virginia license issued, renewed, or reinstated on
or after February 26, 2018, and on or before June 30, 2018, shall expire on
June 30, 2019, and its holder shall pay the fee prescribed in 18VAC5-22-20 upon
submission of a completed license application.
B. Any Virginia license expiring between July 31, 2018,
and on or before March 31, 2019, that is renewed pursuant to this subsection
shall expire on June 30, 2019. Any Virginia license expiring between April 30,
2019, and on or before May 31, 2019, that is renewed pursuant to this
subsection shall expire on June 30, 2020.
1. A person who holds a Virginia license that expires
between July 31, 2018, and May 31, 2019, shall pay a prorated renewal fee as
prescribed in this subdivision upon submission of a completed license renewal
application.
Current Expiration Date
|
Renewal Fee
|
Expiration Date Following Renewal
|
July 31, 2018
|
$55
|
June 30, 2019
|
August 31, 2018
|
$50
|
June 30, 2019
|
September 30, 2018
|
$45
|
June 30, 2019
|
October 31, 2018
|
$40
|
June 30, 2019
|
November 30, 2018
|
$35
|
June 30, 2019
|
December 31, 2018
|
$30
|
June 30, 2019
|
January 31, 2019
|
$25
|
June 30, 2019
|
February 28, 2019
|
$20
|
June 30, 2019
|
March 31, 2019
|
$15
|
June 30, 2019
|
April 30, 2019
|
$60
|
June 30, 2020
|
May 31, 2019
|
$60
|
June 30, 2020
|
2. A firm that holds a Virginia license that expires
between July 31, 2018, and May 31, 2019, shall pay a prorated renewal fee as
prescribed in this subdivision upon submission of a completed license renewal
application.
Current Expiration Date
|
Renewal Fee
|
Expiration Date Following Renewal
|
July 31, 2018
|
$68
|
June 30, 2019
|
August 31, 2018
|
$62
|
June 30, 2019
|
September 30, 2018
|
$56
|
June 30, 2019
|
October 31, 2018
|
$50
|
June 30, 2019
|
November 30, 2018
|
$43
|
June 30, 2019
|
December 31, 2018
|
$37
|
June 30, 2019
|
January 31, 2019
|
$31
|
June 30, 2019
|
February 28, 2019
|
$25
|
June 30, 2019
|
March 31, 2019
|
$18
|
June 30, 2019
|
April 30, 2019
|
$75
|
June 30, 2020
|
May 31, 2019
|
$75
|
June 30, 2020
|
C. Any Virginia license issued or reinstated from July 1,
2018, to on or before March 31, 2019, shall expire on June 30, 2019, and its
holder shall pay the fee prescribed in 18VAC5-22-20 upon submission of a
completed license application. Beginning April 1, 2019, any Virginia license
issued or reinstated during the months of April, May, or June shall expire on
June 30 of the succeeding calendar year, and its holder shall pay the fee
prescribed in 18VAC5-22-20 upon submission of a completed license application.
D. A. For Virginia licenses expiring on June
30, 2019, or later, the holder of a Virginia license shall annually renew his
license on or before June 30 of each calendar year by submitting a completed
license renewal application and paying to the board a renewal fee as prescribed
in 18VAC5-22-20.
B. If a person or entity applies for an initial license or
reinstatement on or after March 1 of a calendar year, the license will not
expire until June 30 of the following calendar year.
C. The board shall transmit license renewal notices
electronically unless a person or firm is unable to communicate electronically.
The responsibility for renewing a Virginia license is on its holder, and that
responsibility is not affected by whether the holder receives a license renewal
notice.
VA.R. Doc. No. R19-5755; Filed May 28, 2020, 1:13 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Final Regulation
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-10, 18VAC90-30-20,
18VAC90-30-50, 18VAC90-30-85, 18VAC90-30-110, 18VAC90-30-120; adding
18VAC90-30-86).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-90).
Statutory Authority: §§ 54.1-2400 and 54.1-2957 of the
Code of Virginia.
Effective Date: July 22, 2020.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email jay.douglas@dhp.virginia.gov.
Summary:
Pursuant to Chapter 776 of the 2018 Acts of Assembly, which
permits a nurse practitioner who meets certain statutory requirements to
practice without a practice agreement with a patient care team physician, the
amendments set the qualifications for authorization for a nurse practitioner to
practice without a practice agreement, including (i) the hours required to be
the equivalent of five years of full-time clinical experience, (ii) the content
of the attestation from the physician and the nurse practitioner, (iii) the submission
of an attestation when the nurse practitioner is unable to obtain a physician
attestation, (iv) the requirements for autonomous practice, and (v) the fee for
authorization for autonomous practice.
Summary of Public Comments and Agency's Response: A summary
of comments made by the public and the agency's response may be obtained from
the promulgating agency or viewed at the office of the Registrar of
Regulations.
Part I
General Provisions
18VAC90-30-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Approved program" means a nurse practitioner
education program that is accredited by the Council on Accreditation of Nurse
Anesthesia Educational Programs/Schools, American College of Nurse Midwives,
Commission on Collegiate Nursing Education, or the National League for Nursing
Accrediting Commission or is offered by a school of nursing or jointly offered
by a school of medicine and a school of nursing that grant a graduate degree in
nursing and which that hold a national accreditation acceptable
to the boards.
"Autonomous practice" means practice in a
category in which a nurse practitioner is certified and licensed without a
written or electronic practice agreement with a patient care team physician in
accordance with 18VAC90-30-86.
"Boards" means the Virginia Board of Nursing and
the Virginia Board of Medicine.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Certified registered nurse anesthetist" means an
advanced practice registered nurse who is certified in the specialty of nurse
anesthesia, who is jointly licensed by the Boards of Medicine and Nursing as a
nurse practitioner pursuant to § 54.1-2957 of the Code of Virginia,
and who practices under the supervision of a doctor of medicine, osteopathy,
podiatry, or dentistry but is not subject to the practice agreement requirement
described in § 54.1-2957.
"Collaboration" means the communication and
decision-making process among members of a patient care team related to the
treatment and care of a patient and includes (i) communication of data and
information about the treatment and care of a patient, including exchange of
clinical observations and assessments, and (ii) development of an appropriate
plan of care, including decisions regarding the health care provided, accessing
and assessment of appropriate additional resources or expertise, and
arrangement of appropriate referrals, testing, or studies.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"Consultation" means the communicating of data and
information, exchanging of clinical observations and assessments, accessing and
assessing of additional resources and expertise, problem solving, and arranging
for referrals, testing, or studies.
"Licensed nurse practitioner" means an advanced
practice registered nurse who has met the requirements for licensure as stated
in Part II (18VAC90-30-60 et seq.) of this chapter.
"National certifying body" means a national
organization that is accredited by an accrediting agency recognized by the U.S.
Department of Education or deemed acceptable by the National Council of State
Boards of Nursing and has as one of its purposes the certification of nurse
anesthetists, nurse midwives, or nurse practitioners, referred to in
this chapter as professional certification, and whose certification of such
persons by examination is accepted by the committee.
"Patient care team physician" means a person who
holds an active, unrestricted license issued by the Virginia Board of Medicine
to practice medicine or osteopathic medicine.
"Practice agreement" means a written or electronic
statement, jointly developed by the collaborating patient care team physician(s)
physician and the licensed nurse practitioner(s) practitioner
that describes the procedures to be followed and the acts appropriate to the
specialty practice area to be performed by the licensed nurse practitioner(s)
practitioner in the care and management of patients. The practice
agreement also describes the prescriptive authority of the nurse practitioner,
if applicable. For a nurse practitioner licensed in the category of certified
nurse midwife, the practice agreement is a statement jointly developed with the
consulting physician.
18VAC90-30-20. Delegation of authority.
A. The boards hereby delegate to the executive director of
the Virginia Board of Nursing the authority to issue the initial licensure and
the biennial renewal of such licensure to those persons who meet the
requirements set forth in this chapter, to grant authorization for
autonomous practice to those persons who have met the qualifications of
18VAC90-30-86, and to grant extensions or exemptions for compliance with
continuing competency requirements as set forth in subsection E of
18VAC90-30-105. Questions of eligibility shall be referred to the Committee of
the Joint Boards of Nursing and Medicine.
B. All records and files related to the licensure of nurse
practitioners shall be maintained in the office of the Virginia Board of
Nursing.
18VAC90-30-50. Fees.
A. Fees required in connection with the licensure of nurse
practitioners are:
|
1. Application
|
$125
|
|
2. Biennial licensure renewal
|
$80
|
|
3. Late renewal
|
$25
|
|
4. Reinstatement of licensure
|
$150
|
|
5. Verification of licensure to another jurisdiction
|
$35
|
|
6. Duplicate license
|
$15
|
|
7. Duplicate wall certificate
|
$25
|
|
8. Handling fee for returned check or dishonored credit card
or debit card
|
$50
|
|
9. Reinstatement of suspended or revoked license
|
$200
|
|
10. Autonomous practice attestation
|
$100
|
B. For renewal of licensure from July 1, 2017, through June
30, 2019, the following fee shall be in effect:
18VAC90-30-85. Qualifications for licensure by endorsement.
A. An applicant for licensure by endorsement as a nurse
practitioner shall:
1. Provide verification of licensure as a nurse practitioner
or advanced practice nurse in another U.S. United States
jurisdiction with a license in good standing, or, if lapsed, eligible for
reinstatement;
2. Submit evidence of professional certification that is
consistent with the specialty area of the applicant's educational preparation
issued by an agency accepted by the boards as identified in 18VAC90-30-90; and
3. Submit the required application and fee as prescribed in
18VAC90-30-50.
B. An applicant shall provide evidence that includes a
transcript that shows successful completion of core coursework that prepares
the applicant for licensure in the appropriate specialty.
C. An applicant for licensure by endorsement who is also
seeking authorization for autonomous practice shall comply with subsection F of
18VAC90-30-86.
18VAC90-30-86. Autonomous practice for nurse practitioners
other than certified nurse midwives or certified registered nurse anesthetists.
A. A nurse practitioner with a current, unrestricted
license, other than someone licensed in the category of certified nurse midwife
or certified registered nurse anesthetist, may qualify for autonomous practice
by completion of the equivalent of five years of full-time clinical experience
as a nurse practitioner.
1. Five years of full-time clinical experience shall be
defined as 1,800 hours per year for a total of 9,000 hours.
2. Clinical experience shall be defined as the postgraduate
delivery of health care directly to patients pursuant to a practice agreement
with a patient care team physician.
B. Qualification for authorization for autonomous practice
shall be determined upon submission of a fee as specified in 18VAC90-30-50 and
an attestation acceptable to the boards. The attestation shall be signed by the
nurse practitioner and the nurse practitioner's patient care team physician
stating that:
1. The patient care team physician served as a patient care
team physician on a patient care team with the nurse practitioner pursuant to a
practice agreement meeting the requirements of this chapter and §§ 54.1-2957
and 54.1-2957.01 of the Code of Virginia;
2. While a party to such practice agreement, the patient
care team physician routinely practiced with a patient population and in a
practice area included within the category, as specified in 18VAC90-30-70, for
which the nurse practitioner was certified and licensed; and
3. The period of time and hours of practice during which
the patient care team physician practiced with the nurse practitioner under
such a practice agreement.
C. The nurse practitioner may submit attestations from
more than one patient care team physician with whom the nurse practitioner
practiced during the equivalent of five years of practice, but all attestations
shall be submitted to the boards at the same time.
D. If a nurse practitioner is licensed and certified in
more than one category as specified in 18VAC90-30-70, a separate fee and
attestation that meets the requirements of subsection B of this section shall
be submitted for each category. If the hours of practice are applicable to the
patient population and in practice areas included within each of the categories
of licensure and certification, those hours may be counted toward a second
attestation.
E. In the event a patient care team physician has died,
become disabled, retired, or relocated to another state, or in the event of any
other circumstance that inhibits the ability of the nurse practitioner from
obtaining an attestation as specified in subsection B of this section, the
nurse practitioner may submit other evidence of meeting the qualifications for
autonomous practice along with an attestation signed by the nurse practitioner.
Other evidence may include employment records, military service, Medicare or
Medicaid reimbursement records, or other similar records that verify full-time
clinical practice in the role of a nurse practitioner in the category for which
the nurse practitioner is licensed and certified. The burden shall be on the
nurse practitioner to provide sufficient evidence to support the nurse
practitioner's inability to obtain an attestation from a patient care team
physician.
F. A nurse practitioner to whom a license is issued by
endorsement may engage in autonomous practice if such application includes an
attestation acceptable to the boards that the nurse practitioner has completed
the equivalent of five years of full-time clinical experience as specified in
subsection A of this section and in accordance with the laws of the state in
which the nurse practitioner was previously licensed.
G. A nurse practitioner authorized to practice
autonomously shall:
1. Only practice within the scope of the nurse
practitioner's clinical and professional training and limits of the nurse
practitioner's knowledge and experience and consistent with the applicable
standards of care;
2. Consult and collaborate with other health care providers
based on the clinical conditions of the patient to whom health care is
provided; and
3. Establish a plan for referral of complex medical cases
and emergencies to physicians or other appropriate health care providers.
18VAC90-30-110. Reinstatement of license.
A. A licensed nurse practitioner whose license has lapsed may
be reinstated within one renewal period by payment of the current renewal fee
and the late renewal fee.
B. An applicant for reinstatement of license lapsed for more
than one renewal period shall:
1. File the required application and reinstatement fee;
2. Be currently licensed as a registered nurse in Virginia or
hold a current multistate licensure privilege as a registered nurse; and
3. Provide evidence of current professional competency
consisting of:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90;
b. Continuing education hours taken during the period in which
the license was lapsed, equal to the number required for licensure renewal
during that period, not to exceed 120 hours; or
c. If applicable, current, unrestricted licensure or
certification in another jurisdiction.
4. If qualified for autonomous practice, provide the
required fee and attestation in accordance with 18VAC90-30-86.
C. An applicant for
reinstatement of license following suspension or revocation shall:
1. Petition for reinstatement and pay the reinstatement fee;
2. Present evidence that he is currently licensed as a
registered nurse in Virginia or hold a current multistate licensure privilege
as a registered nurse; and
3. Present evidence that he is competent to resume practice as
a licensed nurse practitioner in Virginia to include:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90; or
b. Continuing education hours taken during the period in which
the license was suspended or revoked, equal to the number required for
licensure renewal during that period, not to exceed 120 hours.
The committee shall act on the petition pursuant to the
Administrative Process Act, (§ 2.2-4000 et seq. of the Code
of Virginia).
Part III
Practice of Licensed Nurse Practitioners
18VAC90-30-120. Practice of licensed nurse practitioners other
than certified registered nurse anesthetists or certified nurse midwives.
A. A nurse practitioner licensed in a category other than
certified registered nurse anesthetist or certified nurse midwife shall be
authorized to render care in collaboration and consultation with a licensed
patient care team physician as part of a patient care team or if determined
by the boards to qualify in accordance with 18VAC90-30-86, authorized to practice
autonomously without a practice agreement with a patient care team physician.
B. The practice shall be based on specialty education
preparation as an advanced practice registered nurse in accordance with
standards of the applicable certifying organization, as identified in
18VAC90-30-90.
C. All nurse practitioners licensed in any category other
than certified registered nurse anesthetist or certified nurse midwife shall
practice in accordance with a written or electronic practice agreement as
defined in 18VAC90-30-10 or in accordance with 18VAC90-30-86.
D. The written or electronic practice agreement shall include
provisions for:
1. The periodic review of patient charts or electronic patient
records by a patient care team physician and may include provisions for visits
to the site where health care is delivered in the manner and at the frequency
determined by the patient care team;
2. Appropriate physician input in complex clinical cases and
patient emergencies and for referrals; and
3. The nurse practitioner's authority for signatures,
certifications, stamps, verifications, affidavits, and endorsements provided it
is:
a. In accordance with the specialty license of the nurse
practitioner and within the scope of practice of the patient care team physician;
b. Permitted by § 54.1-2957.02 or applicable sections of the
Code of Virginia; and
c. Not in conflict with federal law or regulation.
E. The practice agreement shall be maintained by the nurse
practitioner and provided to the boards upon request. For nurse practitioners
providing care to patients within a hospital or health care system, the
practice agreement may be included as part of documents delineating the nurse
practitioner's clinical privileges or the electronic or written delineation of
duties and responsibilities; however, the nurse practitioner shall be
responsible for providing a copy to the boards upon request.
Part III
Practice Requirements
18VAC90-40-90. Practice agreement.
A. With the exception of exceptions listed in
subsection E of this section, a nurse practitioner with prescriptive authority
may prescribe only within the scope of the written or electronic practice
agreement with a patient care team physician.
B. At any time there are changes in the patient care team
physician, authorization to prescribe, or scope of practice, the nurse
practitioner shall revise the practice agreement and maintain the revised
agreement.
C. The practice agreement shall contain the following:
1. A description of the prescriptive authority of the nurse
practitioner within the scope allowed by law and the practice of the nurse
practitioner.
2. An authorization for categories of drugs and devices within
the requirements of § 54.1-2957.01 of the Code of Virginia.
3. The signature of the patient care team physician who is
practicing with the nurse practitioner or a clear statement of the name of the
patient care team physician who has entered into the practice agreement.
D. In accordance with § 54.1-2957.01 of the Code of
Virginia, a physician shall not serve as a patient care team physician to more
than six nurse practitioners with prescriptive authority at any one time.
E. Exceptions.
1. A nurse practitioner licensed in the category of
certified nurse midwife and holding a license for prescriptive authority may
prescribe in accordance with a written or electronic practice agreement with a
consulting physician or may prescribe Schedule VI controlled substances without
the requirement for inclusion of such prescriptive authority in a practice
agreement.
2. A nurse practitioner who is licensed in a category other
than certified nurse midwife or certified registered nurse anesthetist and who
has met the qualifications for autonomous practice as set forth in
18VAC90-30-86 may prescribe without a practice agreement with a patient care
team physician.
VA.R. Doc. No. R19-5512; Filed May 26, 2020, 3:56 p.m.
TITLE 18. PROFESSIONAL AND OCCUPATIONAL LICENSING
BOARD OF NURSING
Final Regulation
Titles of Regulations: 18VAC90-30. Regulations
Governing the Licensure of Nurse Practitioners (amending 18VAC90-30-10, 18VAC90-30-20,
18VAC90-30-50, 18VAC90-30-85, 18VAC90-30-110, 18VAC90-30-120; adding
18VAC90-30-86).
18VAC90-40. Regulations for Prescriptive Authority for Nurse
Practitioners (amending 18VAC90-40-90).
Statutory Authority: §§ 54.1-2400 and 54.1-2957 of the
Code of Virginia.
Effective Date: July 22, 2020.
Agency Contact: Jay P. Douglas, R.N., Executive
Director, Board of Nursing, 9960 Mayland Drive, Suite 300, Richmond, VA
23233-1463, telephone (804) 367-4520, FAX (804) 527-4455, or email jay.douglas@dhp.virginia.gov.
Summary:
Pursuant to Chapter 776 of the 2018 Acts of Assembly, which
permits a nurse practitioner who meets certain statutory requirements to
practice without a practice agreement with a patient care team physician, the
amendments set the qualifications for authorization for a nurse practitioner to
practice without a practice agreement, including (i) the hours required to be
the equivalent of five years of full-time clinical experience, (ii) the content
of the attestation from the physician and the nurse practitioner, (iii) the submission
of an attestation when the nurse practitioner is unable to obtain a physician
attestation, (iv) the requirements for autonomous practice, and (v) the fee for
authorization for autonomous practice.
Summary of Public Comments and Agency's Response: A summary
of comments made by the public and the agency's response may be obtained from
the promulgating agency or viewed at the office of the Registrar of
Regulations.
Part I
General Provisions
18VAC90-30-10. Definitions.
The following words and terms when used in this chapter shall
have the following meanings unless the context clearly indicates otherwise:
"Approved program" means a nurse practitioner
education program that is accredited by the Council on Accreditation of Nurse
Anesthesia Educational Programs/Schools, American College of Nurse Midwives,
Commission on Collegiate Nursing Education, or the National League for Nursing
Accrediting Commission or is offered by a school of nursing or jointly offered
by a school of medicine and a school of nursing that grant a graduate degree in
nursing and which that hold a national accreditation acceptable
to the boards.
"Autonomous practice" means practice in a
category in which a nurse practitioner is certified and licensed without a
written or electronic practice agreement with a patient care team physician in
accordance with 18VAC90-30-86.
"Boards" means the Virginia Board of Nursing and
the Virginia Board of Medicine.
"Certified nurse midwife" means an advanced
practice registered nurse who is certified in the specialty of nurse midwifery
and who is jointly licensed by the Boards of Medicine and Nursing as a nurse
practitioner pursuant to § 54.1-2957 of the Code of Virginia.
"Certified registered nurse anesthetist" means an
advanced practice registered nurse who is certified in the specialty of nurse
anesthesia, who is jointly licensed by the Boards of Medicine and Nursing as a
nurse practitioner pursuant to § 54.1-2957 of the Code of Virginia,
and who practices under the supervision of a doctor of medicine, osteopathy,
podiatry, or dentistry but is not subject to the practice agreement requirement
described in § 54.1-2957.
"Collaboration" means the communication and
decision-making process among members of a patient care team related to the
treatment and care of a patient and includes (i) communication of data and
information about the treatment and care of a patient, including exchange of
clinical observations and assessments, and (ii) development of an appropriate
plan of care, including decisions regarding the health care provided, accessing
and assessment of appropriate additional resources or expertise, and
arrangement of appropriate referrals, testing, or studies.
"Committee" means the Committee of the Joint Boards
of Nursing and Medicine.
"Consultation" means the communicating of data and
information, exchanging of clinical observations and assessments, accessing and
assessing of additional resources and expertise, problem solving, and arranging
for referrals, testing, or studies.
"Licensed nurse practitioner" means an advanced
practice registered nurse who has met the requirements for licensure as stated
in Part II (18VAC90-30-60 et seq.) of this chapter.
"National certifying body" means a national
organization that is accredited by an accrediting agency recognized by the U.S.
Department of Education or deemed acceptable by the National Council of State
Boards of Nursing and has as one of its purposes the certification of nurse
anesthetists, nurse midwives, or nurse practitioners, referred to in
this chapter as professional certification, and whose certification of such
persons by examination is accepted by the committee.
"Patient care team physician" means a person who
holds an active, unrestricted license issued by the Virginia Board of Medicine
to practice medicine or osteopathic medicine.
"Practice agreement" means a written or electronic
statement, jointly developed by the collaborating patient care team physician(s)
physician and the licensed nurse practitioner(s) practitioner
that describes the procedures to be followed and the acts appropriate to the
specialty practice area to be performed by the licensed nurse practitioner(s)
practitioner in the care and management of patients. The practice
agreement also describes the prescriptive authority of the nurse practitioner,
if applicable. For a nurse practitioner licensed in the category of certified
nurse midwife, the practice agreement is a statement jointly developed with the
consulting physician.
18VAC90-30-20. Delegation of authority.
A. The boards hereby delegate to the executive director of
the Virginia Board of Nursing the authority to issue the initial licensure and
the biennial renewal of such licensure to those persons who meet the
requirements set forth in this chapter, to grant authorization for
autonomous practice to those persons who have met the qualifications of
18VAC90-30-86, and to grant extensions or exemptions for compliance with
continuing competency requirements as set forth in subsection E of
18VAC90-30-105. Questions of eligibility shall be referred to the Committee of
the Joint Boards of Nursing and Medicine.
B. All records and files related to the licensure of nurse
practitioners shall be maintained in the office of the Virginia Board of
Nursing.
18VAC90-30-50. Fees.
A. Fees required in connection with the licensure of nurse
practitioners are:
|
1. Application
|
$125
|
|
2. Biennial licensure renewal
|
$80
|
|
3. Late renewal
|
$25
|
|
4. Reinstatement of licensure
|
$150
|
|
5. Verification of licensure to another jurisdiction
|
$35
|
|
6. Duplicate license
|
$15
|
|
7. Duplicate wall certificate
|
$25
|
|
8. Handling fee for returned check or dishonored credit card
or debit card
|
$50
|
|
9. Reinstatement of suspended or revoked license
|
$200
|
|
10. Autonomous practice attestation
|
$100
|
B. For renewal of licensure from July 1, 2017, through June
30, 2019, the following fee shall be in effect:
18VAC90-30-85. Qualifications for licensure by endorsement.
A. An applicant for licensure by endorsement as a nurse
practitioner shall:
1. Provide verification of licensure as a nurse practitioner
or advanced practice nurse in another U.S. United States
jurisdiction with a license in good standing, or, if lapsed, eligible for
reinstatement;
2. Submit evidence of professional certification that is
consistent with the specialty area of the applicant's educational preparation
issued by an agency accepted by the boards as identified in 18VAC90-30-90; and
3. Submit the required application and fee as prescribed in
18VAC90-30-50.
B. An applicant shall provide evidence that includes a
transcript that shows successful completion of core coursework that prepares
the applicant for licensure in the appropriate specialty.
C. An applicant for licensure by endorsement who is also
seeking authorization for autonomous practice shall comply with subsection F of
18VAC90-30-86.
18VAC90-30-86. Autonomous practice for nurse practitioners
other than certified nurse midwives or certified registered nurse anesthetists.
A. A nurse practitioner with a current, unrestricted
license, other than someone licensed in the category of certified nurse midwife
or certified registered nurse anesthetist, may qualify for autonomous practice
by completion of the equivalent of five years of full-time clinical experience
as a nurse practitioner.
1. Five years of full-time clinical experience shall be
defined as 1,800 hours per year for a total of 9,000 hours.
2. Clinical experience shall be defined as the postgraduate
delivery of health care directly to patients pursuant to a practice agreement
with a patient care team physician.
B. Qualification for authorization for autonomous practice
shall be determined upon submission of a fee as specified in 18VAC90-30-50 and
an attestation acceptable to the boards. The attestation shall be signed by the
nurse practitioner and the nurse practitioner's patient care team physician
stating that:
1. The patient care team physician served as a patient care
team physician on a patient care team with the nurse practitioner pursuant to a
practice agreement meeting the requirements of this chapter and §§ 54.1-2957
and 54.1-2957.01 of the Code of Virginia;
2. While a party to such practice agreement, the patient
care team physician routinely practiced with a patient population and in a
practice area included within the category, as specified in 18VAC90-30-70, for
which the nurse practitioner was certified and licensed; and
3. The period of time and hours of practice during which
the patient care team physician practiced with the nurse practitioner under
such a practice agreement.
C. The nurse practitioner may submit attestations from
more than one patient care team physician with whom the nurse practitioner
practiced during the equivalent of five years of practice, but all attestations
shall be submitted to the boards at the same time.
D. If a nurse practitioner is licensed and certified in
more than one category as specified in 18VAC90-30-70, a separate fee and
attestation that meets the requirements of subsection B of this section shall
be submitted for each category. If the hours of practice are applicable to the
patient population and in practice areas included within each of the categories
of licensure and certification, those hours may be counted toward a second
attestation.
E. In the event a patient care team physician has died,
become disabled, retired, or relocated to another state, or in the event of any
other circumstance that inhibits the ability of the nurse practitioner from
obtaining an attestation as specified in subsection B of this section, the
nurse practitioner may submit other evidence of meeting the qualifications for
autonomous practice along with an attestation signed by the nurse practitioner.
Other evidence may include employment records, military service, Medicare or
Medicaid reimbursement records, or other similar records that verify full-time
clinical practice in the role of a nurse practitioner in the category for which
the nurse practitioner is licensed and certified. The burden shall be on the
nurse practitioner to provide sufficient evidence to support the nurse
practitioner's inability to obtain an attestation from a patient care team
physician.
F. A nurse practitioner to whom a license is issued by
endorsement may engage in autonomous practice if such application includes an
attestation acceptable to the boards that the nurse practitioner has completed
the equivalent of five years of full-time clinical experience as specified in
subsection A of this section and in accordance with the laws of the state in
which the nurse practitioner was previously licensed.
G. A nurse practitioner authorized to practice
autonomously shall:
1. Only practice within the scope of the nurse
practitioner's clinical and professional training and limits of the nurse
practitioner's knowledge and experience and consistent with the applicable
standards of care;
2. Consult and collaborate with other health care providers
based on the clinical conditions of the patient to whom health care is
provided; and
3. Establish a plan for referral of complex medical cases
and emergencies to physicians or other appropriate health care providers.
18VAC90-30-110. Reinstatement of license.
A. A licensed nurse practitioner whose license has lapsed may
be reinstated within one renewal period by payment of the current renewal fee
and the late renewal fee.
B. An applicant for reinstatement of license lapsed for more
than one renewal period shall:
1. File the required application and reinstatement fee;
2. Be currently licensed as a registered nurse in Virginia or
hold a current multistate licensure privilege as a registered nurse; and
3. Provide evidence of current professional competency
consisting of:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90;
b. Continuing education hours taken during the period in which
the license was lapsed, equal to the number required for licensure renewal
during that period, not to exceed 120 hours; or
c. If applicable, current, unrestricted licensure or
certification in another jurisdiction.
4. If qualified for autonomous practice, provide the
required fee and attestation in accordance with 18VAC90-30-86.
C. An applicant for
reinstatement of license following suspension or revocation shall:
1. Petition for reinstatement and pay the reinstatement fee;
2. Present evidence that he is currently licensed as a
registered nurse in Virginia or hold a current multistate licensure privilege
as a registered nurse; and
3. Present evidence that he is competent to resume practice as
a licensed nurse practitioner in Virginia to include:
a. Current professional certification by the appropriate
certifying agency identified in 18VAC90-30-90; or
b. Continuing education hours taken during the period in which
the license was suspended or revoked, equal to the number required for
licensure renewal during that period, not to exceed 120 hours.
The committee shall act on the petition pursuant to the
Administrative Process Act, (§ 2.2-4000 et seq. of the Code
of Virginia).
Part III
Practice of Licensed Nurse Practitioners
18VAC90-30-120. Practice of licensed nurse practitioners other
than certified registered nurse anesthetists or certified nurse midwives.
A. A nurse practitioner licensed in a category other than
certified registered nurse anesthetist or certified nurse midwife shall be
authorized to render care in collaboration and consultation with a licensed
patient care team physician as part of a patient care team or if determined
by the boards to qualify in accordance with 18VAC90-30-86, authorized to practice
autonomously without a practice agreement with a patient care team physician.
B. The practice shall be based on specialty education
preparation as an advanced practice registered nurse in accordance with
standards of the applicable certifying organization, as identified in
18VAC90-30-90.
C. All nurse practitioners licensed in any category other
than certified registered nurse anesthetist or certified nurse midwife shall
practice in accordance with a written or electronic practice agreement as
defined in 18VAC90-30-10 or in accordance with 18VAC90-30-86.
D. The written or electronic practice agreement shall include
provisions for:
1. The periodic review of patient charts or electronic patient
records by a patient care team physician and may include provisions for visits
to the site where health care is delivered in the manner and at the frequency
determined by the patient care team;
2. Appropriate physician input in complex clinical cases and
patient emergencies and for referrals; and
3. The nurse practitioner's authority for signatures,
certifications, stamps, verifications, affidavits, and endorsements provided it
is:
a. In accordance with the specialty license of the nurse
practitioner and within the scope of practice of the patient care team physician;
b. Permitted by § 54.1-2957.02 or applicable sections of the
Code of Virginia; and
c. Not in conflict with federal law or regulation.
E. The practice agreement shall be maintained by the nurse
practitioner and provided to the boards upon request. For nurse practitioners
providing care to patients within a hospital or health care system, the
practice agreement may be included as part of documents delineating the nurse
practitioner's clinical privileges or the electronic or written delineation of
duties and responsibilities; however, the nurse practitioner shall be
responsible for providing a copy to the boards upon request.
Part III
Practice Requirements
18VAC90-40-90. Practice agreement.
A. With the exception of exceptions listed in
subsection E of this section, a nurse practitioner with prescriptive authority
may prescribe only within the scope of the written or electronic practice
agreement with a patient care team physician.
B. At any time there are changes in the patient care team
physician, authorization to prescribe, or scope of practice, the nurse
practitioner shall revise the practice agreement and maintain the revised
agreement.
C. The practice agreement shall contain the following:
1. A description of the prescriptive authority of the nurse
practitioner within the scope allowed by law and the practice of the nurse
practitioner.
2. An authorization for categories of drugs and devices within
the requirements of § 54.1-2957.01 of the Code of Virginia.
3. The signature of the patient care team physician who is
practicing with the nurse practitioner or a clear statement of the name of the
patient care team physician who has entered into the practice agreement.
D. In accordance with § 54.1-2957.01 of the Code of
Virginia, a physician shall not serve as a patient care team physician to more
than six nurse practitioners with prescriptive authority at any one time.
E. Exceptions.
1. A nurse practitioner licensed in the category of
certified nurse midwife and holding a license for prescriptive authority may
prescribe in accordance with a written or electronic practice agreement with a
consulting physician or may prescribe Schedule VI controlled substances without
the requirement for inclusion of such prescriptive authority in a practice
agreement.
2. A nurse practitioner who is licensed in a category other
than certified nurse midwife or certified registered nurse anesthetist and who
has met the qualifications for autonomous practice as set forth in
18VAC90-30-86 may prescribe without a practice agreement with a patient care
team physician.
VA.R. Doc. No. R19-5512; Filed May 26, 2020, 3:56 p.m.