S-3302.3 _______________________________________________
SENATE BILL 6404
_______________________________________________
State of Washington 52nd Legislature 1992 Regular Session
By Senators McMullen, Bluechel and McCaslin
Read first time 01/29/92. Referred to Committee on Commerce & Labor.
AN ACT Relating to payment for work of improvement on real property; amending RCW 39.76.010, 60.28.010, 60.28.020, and 60.28.050; adding a new chapter to Title 60 RCW; prescribing penalties; and providing an effective date.
BE IT ENACTED BY THE LEGISLATURE OF THE STATE OF WASHINGTON:
NEW SECTION. Sec. 1. DEFINITIONS. (1) "Retainage" means a portion of any payment which is due a retainee but is being withheld or retained by an owner, contractor, or subcontractor as security for, or conditioned upon, completion of the work of improvement. The retainage is considered conditionally earned by and owed to the retainee.
(2) "Retainee" means a contractor, subcontractor, material supplier, equipment, or professional services provider who has performed all or part of a work of improvement and who has had some portion of sums due under a contract withheld by the retainor.
(3) "Retainor" means any person or entity that has possession of and withholds retainage, including those persons loaning or advancing funds pursuant to interim or construction financing as defined by RCW 60.04.200.
(4) "Completion" occurs on the earliest of any of the following events: (i) The date upon which the work of improvement has been completed in accordance with the terms and conditions of the contract; (ii) the date upon which the improvement becomes usable or fit for the purposes for which it was intended; (iii) the date of issuance of a certificate of occupancy; or (iv) the date of occupation or use of the improvement by the owner or an agent of the owner.
(5) "Work of improvement" means work performed or provided, including labor, materials, equipment, and professional services, which has led to the improvement of real property for a private owner. Work of improvement includes incremental improvements which are in themselves complete in accordance with the terms and conditions of the contract but do not necessarily bring a property improvement to a state of completion.
NEW SECTION. Sec. 2. MONEYS TO BE HELD IN TRUST--COMMINGLING. (1) Any moneys released to an owner, developer, prime contractor, subcontractor, or person in charge of a construction project in connection with a work of improvement shall be regarded and held in trust for the benefit of those persons making the payment and those who provided the labor or furnished materials, equipment, or professional services in connection with the work of improvement giving rise to the release of the moneys.
(2) This section does not require moneys held in trust by an owner, contractor, or subcontractor under subsection (1) of this section to be placed in a separate account. If an owner, contractor, or subcontractor commingles moneys held in trust under this section with other moneys, the mere commingling of the moneys does not constitute a violation of this chapter.
(3) The use of trust moneys for any other purpose than to first pay when due those persons for whom the funds are held in trust, is prima facie evidence of a trust violation and an intent to defraud in a civil action.
(4) The mishandling of work of improvement trust moneys is a matter affecting the public interest for the purpose of applying chapter 19.86 RCW to violations of this chapter. The failure to use the money as intended is not reasonable in relation to the development and preservation of business. A violation of this section constitutes an unfair or deceptive act or practice in trade or commerce for the purpose of applying chapter 19.86 RCW.
NEW SECTION. Sec. 3. PROMPT PAY. (1) Except under subsection (2) of this section, the owner shall pay amounts due the prime contractor for a work of improvement in accordance with the terms and conditions of the contract but not later than ten calendar days after receipt of a draw of interim or construction financing as defined by RCW 60.04.200. For the purposes of this section "draw" means a disbursement of interim or construction financing which is made from time to time as the work of improvement progresses. The prime contractor shall pay amounts due subcontractors and suppliers for a work of improvement, and the subcontractor shall pay amounts due their suppliers and lower tier subcontractors for a work of improvement, no later than ten calendar days after receipt of draws, progress payments, final payment, or retainage for that work of improvement.
(2) In the event there is a good faith dispute over all or any portion of the amount due from the owner to the prime contractor, prime contractor to a subcontractor, subcontractor to a subcontractor, or contractor to a supplier, then the owner, prime contractor, or subcontractor may withhold no more than one hundred fifty percent of the disputed amount. Others not a party to a dispute are entitled to full and prompt payment of their portion of a draw, progress payment, final payment, or released retainage.
NEW SECTION. Sec. 4. PORTION OF CONTRACT PRICE RETAINED. (1) Except for improvements made on an existing owner-occupied single family residential property, retainage shall be regarded and treated as the property of the retainee. Retainage may not exceed ten percent and will be subject to the following provisions at the option of the retainee;
(a) Deposited by the retainor in an interest bearing account in a bank, mutual savings bank, or savings and loan association, not subject to withdrawal until after completion of the work of improvement. The interest on the account shall be paid to the contractor; or
(b) Placed in escrow with a bank or trust company by the retainor until after completion of the work of improvement. If the moneys retained are placed in escrow, the retainor shall issue a check representing the sum of the moneys retained payable to the bank or trust company and the contractor jointly. The check shall be converted into bonds and securities chosen by the contractor and approved by the retainor and the bonds and securities shall be held in escrow.
(2) Except as permitted in subsections (4) and (5) of this section, retainage and interest earned on the retainage, shall be released no later than ninety days from the date of completion of the work of improvement.
(3) Except under subsections (4) and (5) of this section, the prime contractor and each contractor or subcontractor shall pay each of its contractors or subcontractors their proportionate share of the retainage and interest received within ten days from the time all or any portion of the retainage is received by the prime contractor.
(4) In the event there is a good faith dispute over the release of all or any portion of the retainage, the retainor may not withhold an amount in excess of one hundred fifty percent of the estimated value of the issue in dispute. Others not party to a dispute are entitled to full and prompt payment of their portion of the retained amount.
(5) The retainor may withhold from the retained percentage amounts required to meet the claims of those who filed claims under chapter 60.04 RCW, together with sums sufficient to defray the cost of foreclosing the liens, including reasonable attorneys' fees. The retainor may either retain in its fund, or in an interest bearing account, or retain in escrow, at the option of the retainee, an amount equal to such unpaid claims together with a sum sufficient to defray the costs and attorney fees incurred in foreclosing the lien, and shall pay, or release from escrow, the remainder of the retainee.
NEW SECTION. Sec. 5. REMEDIES. In addition to all other remedies either civil, administrative, or criminal, any person from whom funds have been withheld in violation of this chapter is entitled to receive from the person wrongfully withholding the funds, for every month and portion thereof that payment including retainage is not made, interest of twelve percent per annum or as established under RCW 19.52.025, whichever is greater, plus an additional charge of one and one-half percent per month. In any action for the collection of funds withheld, the prevailing party is entitled to costs of suit and his or her reasonable attorneys' fees.
Sec. 6. RCW 39.76.010 and 1981 c 68 s 1 are each amended to read as follows:
(1)
Except as provided in RCW 39.76.020, every state agency ((and unit of local
government)) county, city, town, school district, board, commission, or
any other public body shall pay interest at the rate of one and one-half
percent per month, ((but at least one dollar per month,)) on amounts due
on written contracts for public works, personal services, goods and services,
equipment, and travel, whenever the state agency or unit of local government
fails to make timely payment.
(2) For purposes of this section, payment shall be timely if:
(a) Except
under (b), (c), or (d) of this subsection, a check or warrant is mailed or
is available on the date specified for the amount specified in the applicable
contract documents ((or, if no date is specified, within)) but not
later than thirty days of receipt of a properly completed invoice or
receipt of goods or services((, whichever is later)).
(b) ((For
any amount which is required to be withheld under state or federal law, a check
or warrant is mailed or is available in the proper amount on the date the
amount may be released under the applicable law)) On written contracts
for public works, when part or all of a payment is going to be withheld for
unsatisfactory performance or if the payment request made does not comply with
the requirements of the contract, the public body shall notify the prime
contractor in writing within eight working days after receipt of the payment
request stating specifically why part or all of the payment is being withheld
and what remedial actions must be taken by the prime contractor to receive the
withheld amount.
(c) The notification by the public body required by (b) of this subsection does not comply with (b) of this subsection, the public body shall pay the interest and penalty under subsection (1) of this section from the ninth working day after receipt of the initial payment request until the contractor receives the notice that does comply with (b) of this subsection.
(d) Part or all of a payment is withheld under (b) of this subsection, the public body shall pay the withheld amount within thirty calendar days after the prime contractor satisfactorily completes the remedial actions identified in the notice. If the withheld amount is not paid within the thirty calendar days, the public body shall pay interest under subsection (1) of this section from the thirty-first calendar day until the date paid.
Sec. 7. RCW 60.28.010 and 1986 c 181 s 6 are each amended to read as follows:
(1)
Contracts for public improvements or work, other than for professional
services, by the state, or any county, city, town, school district,
commission, district, board, or other public body, herein referred to as
"public body", shall provide, and there shall be reserved by the
public body from the moneys earned by the contractor on estimates during the
progress of the improvement or work, a sum not to exceed five percent, ((said))
this sum to be retained by the state, county, city, town, district, board,
or other public body, as a trust fund for the protection and payment of any
person or persons, mechanic, subcontractor or materialman who ((shall))
performs any labor upon such a contract or the doing of ((said))
the work, and all persons who ((shall)) supply such a
person or persons or subcontractors with provisions and supplies for the
carrying on of ((such)) the work, and the state with respect to
taxes imposed pursuant to Title 82 RCW which may be due from ((such)) the
contractor. Every person performing labor or furnishing supplies toward the
completion of ((said)) the improvement or work ((shall have))
has a lien upon ((said)) the moneys so reserved:
PROVIDED, That ((such)) the notice of the lien of ((such))
the claimant ((shall be)) is given within forty-five
days of completion of all of the contract work other than landscaping, and
in the manner ((and within the time)) provided in RCW 39.08.030 ((as
now existing and in accordance with any amendments that may hereafter be made
thereto)): PROVIDED FURTHER, That if the board, council,
commission, trustees, officer, or body acting for the state, county,
or municipality or other public body((;)):
(a) At
any time after fifty percent of the original contract work has been completed,
((if it)) finds that satisfactory progress is being made, may make any
of the partial payments which would otherwise be subsequently made in full; but
in no event ((shall)) may the amount to be retained be reduced to
less than five percent of the amount of the moneys earned by the contractor((:
PROVIDED, That the contractor may request that retainage be reduced to one
hundred percent of the value of the work remaining on the project)); and
(b) ((thirty))
Sixty days after completion ((and acceptance)) of all contract
work other than landscaping, ((may)) must release and pay in full
the amounts retained during the performance of the contract (other than
continuing retention of five percent of the moneys earned for landscaping)
subject to the provisions of RCW 60.28.020 and chapter 39.12 RCW.
(2) The moneys reserved under the provisions of subsection (1) of this section, at the option of the contractor, shall be:
(a)
Retained in a fund by the public body until ((thirty)) sixty days
following ((the final acceptance of said improvement or work as completed))
completion of all contract work;
(b)
Deposited by the public body in an interest bearing account in a bank, mutual
savings bank, or savings and loan association, not subject to withdrawal until
((after the final acceptance)) sixty days following completion of
((said)) the improvement or work as completed, or until agreed to
by both parties((: PROVIDED, That)). Interest on ((such))
the account shall be paid to the contractor; or
(c)
Placed in escrow with a bank or trust company by the public body until ((thirty))
sixty days following ((the final acceptance)) completion
of ((said)) the improvement ((or work as completed)).
When the moneys reserved are ((to be)) placed in escrow, the public body
shall issue a check representing the sum of the moneys reserved payable to the
bank or trust company and the contractor jointly. ((Such)) This
check shall be converted into bonds and securities chosen by the contractor and
approved by the public body and ((such)) the bonds and securities
shall be held in escrow. Interest on ((such)) the bonds and
securities shall be paid to the contractor as the ((said)) interest
accrues.
(3) The contractor or subcontractor may withhold payment of not more than five percent from the moneys earned by any subcontractor or sub-subcontractor or supplier contracted with by the contractor to provide labor, materials, or equipment to the public project. Whenever the contractor or subcontractor reserves funds earned by a subcontractor or sub-subcontractor or supplier, the contractor or subcontractor shall pay interest to the subcontractor or sub-subcontractor or supplier at a rate equal to that received by the contractor or subcontractor from reserved funds.
(4)
With the consent of the public body the contractor may submit a bond for all or
any portion of the amount of funds retained by the public body in a form
acceptable to the public body. ((Such)) This bond and any
proceeds therefrom ((shall be made)) are subject to all claims
and liens and in the same manner and priority as set forth for retained
percentages in this chapter. The public body shall release the bonded portion
of the retained funds to the contractor within thirty days of accepting the
bond from the contractor. Whenever a public body accepts a bond in lieu of
retained funds from a contractor, the contractor shall accept like bonds from
any subcontractors or suppliers from which the contractor has retained funds.
The contractor shall then release the funds retained from the subcontractor or
supplier to the subcontractor or supplier within thirty days of accepting the
bond from the subcontractor or supplier.
(5) If
the public body administering a contract, after a substantial portion of the
work has been completed, finds that an unreasonable delay will occur in the
completion of the remaining portion of the contract for any reason not the
result of a breach thereof, it may, if the contractor agrees, delete from the
contract the remaining work and accept as final the improvement at the stage of
completion then attained and make payment in proportion to the amount of the
work accomplished and in ((such)) this case any amounts retained
and accumulated under this section shall be held for a period of ((thirty))
sixty days following ((such)) the acceptance. In the
event that the work ((shall have been)) is terminated before
final completion as provided in this section, the public body may thereafter
enter into a new contract with the same contractor to perform the remaining
work or improvement for an amount equal to or less than the cost of the
remaining work as was provided for in the original contract without
advertisement or bid. The provisions of this chapter ((60.28 RCW shall be
deemed)) are exclusive and ((shall)) supersede all provisions
and regulations in conflict herewith.
(6)
Whenever the department of transportation has contracted for the construction
of two or more ferry vessels, ((thirty)) sixty days after
completion ((and final acceptance)) of all contract work on each
ferry vessel, the department ((may)) must release and pay in full
the amounts retained in connection with the construction of ((such)) the
vessel subject to the provisions of RCW 60.28.020 and chapter 39.12 RCW:
PROVIDED, That the department of transportation may at its discretion condition
the release of funds retained in connection with the completed ferry upon the
contractor delivering a good and sufficient bond with two or more sureties, or
with a surety company, in the amount of the retained funds to be released to
the contractor, conditioned that no taxes shall be certified or claims filed
for work on ((such)) the ferry after a period of ((thirty)) forty-five
days following ((final acceptance)) completion of ((such))
the ferry; and if ((such)) taxes are certified or claims filed,
recovery may be had on ((such)) the bond by the department of
revenue and the materialmen and laborers filing claims.
(7)
Contracts on projects funded in whole or in part by farmers home administration
and subject to farmers home administration regulations ((shall)) are
not ((be)) subject to subsections (1) through (6) of this section.
Sec. 8. RCW 60.28.020 and 1975 1st ex.s. c 104 s 2 are each amended to read as follows:
After the expiration of the thirty day period, and after receipt of the department of revenue's certificate, and the public body is satisfied that the taxes certified as due or to become due by the department of revenue are discharged, and the claims of materialmen and laborers who have filed their claims, together with a sum sufficient to defray the cost of foreclosing the liens of such claims, and to pay attorneys' fees, have been paid, the public body may withhold from the remaining retained amounts for claims the public body may have against the contractor and shall pay the balance, if any, to the contractor the fund retained by it or release to the contractor the securities and bonds held in escrow.
If such taxes have not been discharged or the claims, expenses, and fees have not been paid, the public body shall either retain in its fund, or in an interest bearing account, or retain in escrow, at the option of the contractor, an amount equal to such unpaid taxes and unpaid claims together with a sum sufficient to defray the costs and attorney fees incurred in foreclosing the lien of such claims, and shall pay, or release from escrow, the remainder to the contractor.
Sec. 9. RCW 60.28.050 and 1982 c 170 s 2 are each amended to read as follows:
Upon
((final acceptance)) completion of a contract, the state, county
or other municipal officer charged with the duty of disbursing or authorizing
disbursement or payment of such contracts shall forthwith notify the department
of revenue of the completion of contracts over twenty thousand dollars. Such
officer shall not make any payment from the retained percentage fund or release
any retained percentage escrow account to any person, until he has received
from the department of revenue a certificate that all taxes, increases and
penalties due from the contractor, and all taxes due and to become due with
respect to such contract have been paid in full or that they are, in the
department's opinion, readily collectible without recourse to the state's lien
on the retained percentage.
NEW SECTION. Sec. 10. APPLICATION--CONSTRUCTION. (1) It is against public policy for any party to require any other party to waive any provision of this chapter.
(2) It is against public policy to enforce a contract provision which requires the receipt of construction funds by the owner, prime contractor, or subcontractor, as a condition that must be fulfilled before the owner, prime contractor, or subcontractor has any financial obligation to those who provided labor and/or material for the improvement of real property.
(3) This chapter is to be liberally construed to provide security for all parties intended to be protected by its provisions.
NEW SECTION. Sec. 11. EFFECTIVE DATE. This act shall take effect September 1, 1992, and is applicable to all contracts entered into on or after September 1, 1992, relating to the construction of any work of improvement.
NEW SECTION. Sec. 12. SHORT TITLE. This chapter may be known and cited as the fair pay act.
NEW SECTION. Sec. 13. CAPTIONS NOT LAW. Section headings as used in this chapter do not constitute any part of the law.
NEW SECTION. Sec. 14. Sections 1 through 5 and 10 through 13 of this act shall constitute a new chapter in Title 60 RCW.