SIXTY THIRD LEGISLATURE - REGULAR SESSION

 

 

FORTY FIFTH DAY

 

 

House Chamber, Olympia, Wednesday, February 26, 2014

 


The House was called to order at 10:00 a.m. by the Speaker (Representative Moeller presiding).  The Clerk called the roll and a quorum was present.

 

The flags were escorted to the rostrum by the Washington Youth Academy Color Guard.  The National Anthem was performed by Cadet Saleu Launiuvao.  The Speaker (Representative Moeller presiding) led the Chamber in the Pledge of Allegiance.  The prayer was offered by Pastor Darrel Johnson, Faith Assembly, Tri-Cities, Washington.

 

Reading of the Journal of the previous day was dispensed with and it was ordered to stand approved.

 

POINT OF PERSONAL PRIVILEGE

 

Representative Klippert:  “Thank you Mr. Speaker.  I just appreciate your giving me this opportunity.  I want to thank the staff and the youth of the Washington Youth Academy that were here today.  I begged them to come here.  If you’ve never gone to a graduation of the Washington Youth Academy, you must go.  It’s a life changing experience and that’s what the program is for many of these kids.  I’d love to elaborate to what this program does for the youth of Washington State, but we don’t have the time for that.  I just want to say that I was recently at a St. Martin’s basketball game where a father, a gentleman, recognized me and came up to me and said ‘I want to thank you for your support of the Washington Youth Academy.  That program saved my son’s life’ and then he emphasized one more time ‘that program saved my son’s life’.  So thank you Mr. Speaker and thank you to the staff of the Washington Army National Guard and everyone who makes the Washington Youth Academy happen.  Thank you Mr. Speaker.”

 

The Speaker (Representative Moeller presiding) called upon Representative Sullivan to preside.

 

There being no objection, the House advanced to the fourth order of business.

 

INTRODUCTION & FIRST READING

 

HB 2791  by Representatives Hunter, Appleton, Jinkins and Tharinger

 

AN ACT Relating to adjusting timelines regarding the hospital safety net assessment; and amending RCW 74.60.005, 74.60.020, 74.60.050, 74.60.090, 74.60.120, and 74.60.130.

 

Referred to Committee on Appropriations.

 

HB 2792  by Representatives Sullivan, Hunter, Freeman, Morrell, Walkinshaw, Ryu, Tarleton, Appleton, Jinkins, Lytton, Tharinger, Fey, Bergquist, Pollet, Reykdal, Van De Wege, Roberts, S. Hunt and Carlyle

 

AN ACT Relating to implementing the state's education funding obligation by increasing allocations to school districts, which include materials, supplies, and operating costs, all-day kindergarten, and class size reduction in kindergarten through third grade; amending RCW 28A.150.220, 28A.150.260, 28A.150.315, 28A.150.390, 28A.160.192, and 28A.230.090; adding a new section to chapter 28A.150 RCW; creating new sections; providing an effective date; providing an expiration date; and declaring an emergency.

 

Referred to Committee on Appropriations.

 

HB 2793  by Representatives Hunter, Appleton, Jinkins and Roberts

 

AN ACT Relating to redirecting Initiative Measure No. 502 revenues earmarked for the basic health plan to other state-funded low-income health care programs; amending RCW 69.50.540; and declaring an emergency.

 

Referred to Committee on Appropriations.

 

HB 2794  by Representatives Hunter, Ryu, Tarleton, Jinkins, Pollet and Roberts

 

AN ACT Relating to adjusting the state expenditure limit to accommodate enhancements to the prototypical school funding formula; and amending RCW 43.135.034.

 

Referred to Committee on Appropriations.

 

HB 2795  by Representatives Carlyle, Hunter, Freeman, Ryu, Tharinger, Bergquist, Pollet, Senn, Van De Wege, Roberts, S. Hunt and Moscoso

 

AN ACT Relating to investing in education by clarifying laws relating to tobacco substitutes; amending RCW 26.28.080, 70.155.010, and 82.26.190; reenacting and amending RCW 82.26.010; adding new sections to chapter 82.26 RCW; creating a new section; prescribing penalties; and providing an effective date.

 

Referred to Committee on Finance.

 

HB 2796  by Representatives Carlyle, Hunter, Freeman, Walkinshaw, Ryu, Tarleton, Jinkins, Tharinger, Fey, Pollet, Ormsby, Van De Wege, Roberts, S. Hunt, Riccelli, Moscoso and Farrell

 

AN ACT Relating to investing in education by narrowing or eliminating certain tax preferences; amending RCW 82.12.0263, 82.08.0293, 82.12.0293, and 82.08.0273; adding new sections to chapter 82.12 RCW; adding new sections to chapter 82.08 RCW; adding new sections to chapter 82.32 RCW; adding new sections to chapter 43.135 RCW; adding new sections to chapter 39.42 RCW; repealing RCW 82.04.272; providing an effective date; and declaring an emergency.

 

Referred to Committee on Finance.

 

HB 2797  by Representatives Dunshee, MacEwen, Stanford, Kochmar, Stonier, Young, Riccelli, Zeiger, Haigh, Magendanz, Fitzgibbon, Dahlquist, Morrell, Smith, Lytton, DeBolt, Seaquist, Wilcox, Freeman, Walkinshaw, Ryu, Tarleton, Hargrove, Jinkins, Appleton, Kagi, Tharinger, Sells, Goodman, Fey, Sullivan, Bergquist, Pollet, Senn, Moscoso, Springer, Habib, Blake, Ormsby, Reykdal, Van De Wege, Roberts, S. Hunt, Carlyle, Farrell, Green and Hudgins

 

AN ACT Relating to funding all-day kindergarten and early elementary class size reduction facility needs with lottery revenues; amending RCW 67.70.230, 67.70.044, 28B.76.526, 67.70.240, 67.70.340, and 67.70.040; adding a new chapter to Title 43 RCW; creating new sections; and declaring an emergency.

 

Referred to Committee on Capital Budget.

 

There being no objection, the bills listed on the day’s introduction sheet under the fourth order of business were referred to the committees so designated.

 

There being no objection, the House advanced to the fifth order of business.

 

REPORTS OF STANDING COMMITTEES

 

February 25, 20140)

SSB 6110           Prime Sponsor, Committee on Financial Institutions, Housing & Insurance: Regulating retainage bonds on public contracts.  Reported by Committee on Capital Budget

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 60.28.011 and 2013 c 113 s 1 are each amended to read as follows:

                (1)(a) Except as provided in (b) of this subsection, public improvement contracts must provide, and public bodies must reserve, a contract retainage not to exceed five percent of the moneys earned by the contractor as a trust fund for the protection and payment of:  (i) The claims of any person arising under the contract; and (ii) the state with respect to taxes, increases, and penalties imposed pursuant to Titles 50, 51, and 82 RCW which may be due from such contractor.

                (b) Public improvement contracts funded in whole or in part by federal transportation funds must rely upon the contract bond as referred to in chapter 39.08 RCW for the protection and payment of:  (i) The claims of any person or persons arising under the contract to the extent such claims are provided for in RCW 39.08.010; and (ii) the state with respect to taxes, increases, and penalties incurred on the public improvement project under Titles 50, 51, and 82 RCW which may be due.  The contract bond must remain in full force and effect until, at a minimum, all claims filed in compliance with chapter 39.08 RCW are resolved.

                (2) Every person performing labor or furnishing supplies toward the completion of a public improvement contract has a lien upon moneys reserved by a public body under the provisions of a public improvement contract.  However, the notice of the lien of the claimant must be given within forty-five days of completion of the contract work, and in the manner provided in RCW 39.08.030.

                (3) The contractor at any time may request the contract retainage be reduced to one hundred percent of the value of the work remaining on the project.

                (a) After completion of all contract work other than landscaping, the contractor may request that the public body release and pay in full the amounts retained during the performance of the contract, and sixty days thereafter the public body must release and pay in full the amounts retained (other than continuing retention of five percent of the moneys earned for landscaping) subject to the provisions of chapters 39.12 and 60.28 RCW.

                (b) Sixty days after completion of all contract work the public body must release and pay in full the amounts retained during the performance of the contract subject to the provisions of chapters 39.12 and 60.28 RCW.

                (4) The moneys reserved by a public body under the provisions of a public improvement contract, at the option of the contractor, must be:

                (a) Retained in a fund by the public body;

                (b) Deposited by the public body in an interest bearing account in a bank, mutual savings bank, or savings and loan association.  Interest on moneys reserved by a public body under the provision of a public improvement contract must be paid to the contractor;

                (c) Placed in escrow with a bank or trust company by the public body.  When the moneys reserved are placed in escrow, the public body must issue a check representing the sum of the moneys reserved payable to the bank or trust company and the contractor jointly.  This check must be converted into bonds and securities chosen by the contractor and approved by the public body and the bonds and securities must be held in escrow.  Interest on the bonds and securities must be paid to the contractor as the interest accrues.

                (5) 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 must 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.

                (6) A contractor may submit a bond for all or any portion of the contract retainage in a form acceptable to the public body and from ((a bonding company meeting standards established by the public body)) an authorized surety insurer with a financial strength rating from A.M. Best Co. of "A-" or higher.  The public body must ((accept a bond meeting these requirements unless the public body can demonstrate good cause for refusing to accept it)) comply with the provisions of RCW 48.28.010.  This bond and any proceeds therefrom 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 must 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 must accept like bonds from any subcontractors or suppliers from which the contractor has retained funds.  The contractor must 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.

                (7) 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 this case any amounts retained and accumulated under this section must be held for a period of sixty days following the completion.  In the event that the work 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 are exclusive and supersede all provisions and regulations in conflict herewith.

                (8) Whenever the department of transportation has contracted for the construction of two or more ferry vessels, sixty days after completion of all contract work on each ferry vessel, the department must release and pay in full the amounts retained in connection with the construction of the vessel subject to the provisions of RCW 60.28.021 and chapter 39.12 RCW.  However, 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 may be certified or claims filed for work on the ferry after a period of sixty days following completion of the ferry; and if taxes are certified or claims filed, recovery may be had on the bond by the department of revenue, the employment security department, the department of labor and industries, and the material suppliers and laborers filing claims.

                (9) Except as provided in subsection (1) of this section, reservation by a public body for any purpose from the moneys earned by a contractor by fulfilling its responsibilities under public improvement contracts is prohibited.

                (10) Contracts on projects funded in whole or in part by farmers home administration and subject to farmers home administration regulations are not subject to subsections (1) through (9) of this section.

                (11) This subsection applies only to a public body that has contracted for the construction of a facility using the general contractor/construction manager procedure, as defined under RCW 39.10.210.  If the work performed by a subcontractor on the project has been completed within the first half of the time provided in the general contractor/construction manager contract for completing the work, the public body may accept the completion of the subcontract.  The public body must give public notice of this acceptance.  After a forty-five day period for giving notice of liens, and compliance with the retainage release procedures in RCW 60.28.021, the public body may release that portion of the retained funds associated with the subcontract.  Claims against the retained funds after the forty-five day period are not valid.

                (12) The definitions in this subsection apply throughout this section unless the context clearly requires otherwise.

                (a) "Contract retainage" means an amount reserved by a public body from the moneys earned by a person under a public improvement contract.

                (b) "Person" means a person or persons, mechanic, subcontractor, or materialperson who performs labor or provides materials for a public improvement contract, and any other person who supplies the person with provisions or supplies for the carrying on of a public improvement contract.

                (c) "Public body" means the state, or a county, city, town, district, board, or other public body.

                (d) "Public improvement contract" means a contract for public improvements or work, other than for professional services, or a work order as defined in RCW 39.10.210."

                Correct the title.

 

Signed by Representatives Dunshee, Chair; Stanford, Vice Chair; DeBolt, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Appleton; Christian; Riccelli; Robinson; Scott; Senn; Smith and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6273           Prime Sponsor, Committee on Financial Institutions, Housing & Insurance: Revising provisions governing money transmitters.  Reported by Committee on Business & Financial Services

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Kirby, Chair; Ryu, Vice Chair; Parker, Ranking Minority Member; Vick, Assistant Ranking Minority Member; Blake; Fagan; Habib; Hawkins; Hudgins; Hunt, G.; Hurst; Kochmar; MacEwen; Santos and Stanford.

 

Passed to Committee on Rules for second reading.

 

February 24, 20140)

SSB 6442           Prime Sponsor, Committee on Commerce & Labor: Allowing sales of growlers of cider.  Reported by Committee on Government Accountability & Oversight

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hurst, Chair; Wylie, Vice Chair; Condotta, Ranking Minority Member; Holy, Assistant Ranking Minority Member; Blake; Kirby; Moscoso; Shea and Vick.

 

Passed to Committee on Rules for second reading.

 

1st SUPPLEMENTAL REPORTS OF STANDING COMMITTEES

 

February 25, 20140)

SSB 5360           Prime Sponsor, Committee on Commerce & Labor: Addressing the collection of unpaid wages.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Referred to Committee on Appropriations.

 

February 24, 20140)

ESSB 5889         Prime Sponsor, Committee on Ways & Means: Modifying snowmobile license fees.  Reported by Committee on Appropriations

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunter, Chair; Ormsby, Vice Chair; Chandler, Ranking Minority Member; Ross, Assistant Ranking Minority Member; Wilcox, Assistant Ranking Minority Member; Carlyle; Cody; Dahlquist; Dunshee; Fagan; Green; Haigh; Hudgins; Hunt, S.; Jinkins; Kagi; Lytton; Morrell; Pettigrew; Schmick; Seaquist; Springer; Sullivan and Tharinger.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Buys; Christian; Haler; Harris; Hunt, G.; Parker and Taylor.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

2SSB 5973         Prime Sponsor, Committee on Ways & Means: Creating the community forest trust account.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Kretz and Orcutt.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 5977           Prime Sponsor, Committee on Financial Institutions, Housing & Insurance: Addressing the regulation of service contracts and protection product guarantees.  Reported by Committee on Business & Financial Services

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 48.110.020 and 2013 c 117 s 1 are each amended to read as follows:

                The definitions in this section apply throughout this chapter.

                (1) "Administrator" means the person who is responsible for the administration of the service contracts, the service contracts plan, or the protection product guarantees.

                (2) "Commissioner" means the insurance commissioner of this state.

                (3) "Consumer" means an individual who buys any tangible personal property that is primarily for personal, family, or household use.

                (4) "Home heating fuel service contract" means a contract or agreement for a separately stated consideration for a specific duration to perform the repair, replacement, or maintenance of a home heating fuel supply system including the fuel tank and all visible pipes, caps, lines, and associated parts or the indemnification for repair, replacement, or maintenance for operational or structural failure due to a defect in materials or workmanship, or normal wear and tear.

                (5) "Incidental costs" means expenses specified in the guarantee incurred by the protection product guarantee holder related to damages to other property caused by the failure of the protection product to perform as provided in the guarantee.  "Incidental costs" may include, without limitation, insurance policy deductibles, rental vehicle charges, the difference between the actual value of the stolen vehicle at the time of theft and the cost of a replacement vehicle, sales taxes, registration fees, transaction fees, and mechanical inspection fees.  Incidental costs may be paid under the provisions of the protection product guarantee in either a fixed amount specified in the protection product guarantee or sales agreement, or by the use of a formula itemizing specific incidental costs incurred by the protection product guarantee holder to be paid.

                (6) "Maintenance agreement" means a contract of limited duration that provides for scheduled maintenance only.

                (7) "Motor vehicle" means any vehicle subject to registration under chapter 46.16A RCW.

                (8) "Person" means an individual, partnership, corporation, incorporated or unincorporated association, joint stock company, reciprocal insurer, syndicate, or any similar entity or combination of entities acting in concert.

                (9) "Premium" means the consideration paid to an insurer for a reimbursement insurance policy.

                (10) "Protection product" means any ((product)) protective chemical, substance, device, or system offered or sold with a guarantee to repair or replace another product or pay incidental costs upon the failure of the product to perform pursuant to the terms of the protection product guarantee.  Protection product does not include fuel additives, oil additives, or other chemical products applied to the engine, transmission, or fuel system of a motor vehicle.

                (11) "Protection product guarantee" means a written agreement by a protection product guarantee provider to repair or replace another product or pay incidental costs upon the failure of the protection product to perform pursuant to the terms of the protection product guarantee.  The reimbursement of incidental costs promised under a protection product guarantee must be tied to the purchase of a physical product that is formulated or designed to make the specified loss or damage from a specific cause less likely to occur.

                (12) "Protection product guarantee holder" means a person who is the purchaser or permitted transferee of a protection product guarantee.

                (13) "Protection product guarantee provider" means a person who is contractually obligated to the protection product guarantee holder under the terms of the protection product guarantee.  Protection product guarantee provider does not include an authorized insurer providing a reimbursement insurance policy.

                (14) "Protection product seller" means the person who sells the protection product to the consumer.

                (15) "Provider fee" means the consideration paid by a consumer for a service contract.

                (16) "Reimbursement insurance policy" means a policy of insurance that is issued to a service contract provider or a protection product guarantee provider to provide reimbursement to the service contract provider or the protection product guarantee provider or to pay on behalf of the service contract provider or the protection product guarantee provider all contractual obligations incurred by the service contract provider or the protection product guarantee provider under the terms of the insured service contracts or protection product guarantees issued or sold by the service contract provider or the protection product guarantee provider.

                (17) "Road hazard" means a hazard that is encountered while driving a motor vehicle.  Road hazards may include but are not limited to potholes, rocks, wood debris, metal parts, glass, plastic, curbs, or composite scraps.
                (18)(a) "Service contract" means a contract or agreement entered into at any time for consideration over and above the lease or purchase price of the property for any specific duration to perform the repair, replacement, or maintenance of property or the indemnification for repair, replacement, or maintenance for operational or structural failure due to a defect in materials or workmanship((,)) or normal wear and tear.  Service contracts may provide for the repair, replacement, or maintenance of property for damage resulting from power surges and accidental damage from handling, with or without additional provision for incidental payment of indemnity under limited circumstances, including towing, rental, emergency road services, or other expenses relating to the failure of the product or of a component part thereof.

                (b) "Service contract" also includes a contract or agreement sold for separately stated consideration for a specific duration to perform any one or more of the following services:
                (i) The repair or replacement of tires and/or wheels damaged as a result of coming into contact with road hazards ((including but not limited to potholes, rocks, wood debris, metal parts, glass, plastic, curbs, or composite scraps)).  However, a contract or agreement meeting the definition under this subsection (((17))) (18)(b) in which the party obligated to perform is either a tire or wheel manufacturer or a motor vehicle manufacturer is exempt from the requirements of this chapter;
                (ii) The removal of dents, dings, or creases on a motor vehicle that can be repaired using the process of paintless dent removal without affecting the existing paint finish and without replacing vehicle body panels, sanding, bonding, or painting;
                (iii) The repair of chips or cracks in, or the replacement of, motor vehicle windshields as a result of damage caused by road hazards;
                (iv) The replacement of a motor vehicle key or key fob in the event that the key or key fob becomes inoperable or is lost or stolen;
                (v) Services provided pursuant to a protection product guarantee; and
                (vi) Other services approved by rule of the commissioner that are not inconsistent with the provisions of this chapter.
                (c) "Service contract" does not include coverage for:
                (i) Repair or replacement due to damage to the interior surfaces or to the exterior paint or finish of a vehicle.  However, coverage for these types of damage may be offered in connection with the sale of a protection product as defined in this section; or
                (ii) Fuel additives, oil additives, or other chemical products applied to the engine, transmission, or fuel system of a motor vehicle.

                (((18))) (19) "Service contract holder" or "contract holder" means a person who is the purchaser or holder of a service contract.

                (((19))) (20) "Service contract provider" means a person who is contractually obligated to the service contract holder under the terms of the service contract.

                (((20))) (21) "Service contract seller" means the person who sells the service contract to the consumer.

                (((21))) (22) "Warranty" means a warranty made solely by the manufacturer, importer, or seller of property or services without consideration; that is not negotiated or separated from the sale of the product and is incidental to the sale of the product; and that guarantees indemnity for defective parts, mechanical or electrical breakdown, labor, or other remedial measures, such as repair or replacement of the property or repetition of services.

Sec. 2.  RCW 48.110.030 and 2011 c 47 s 16 are each amended to read as follows:

                (1) A person may not act as, or offer to act as, or hold himself or herself out to be a service contract provider in this state, nor may a service contract be sold to a consumer in this state, unless the service contract provider has a valid registration as a service contract provider issued by the commissioner.

                (2) Applicants to be a service contract provider must make an application to the commissioner upon a form to be furnished by the commissioner.  The application must include or be accompanied by the following information and documents:

                (a) All basic organizational documents of the service contract provider, including any articles of incorporation, articles of association, partnership agreement, trade name certificate, trust agreement, shareholder agreement, bylaws, and other applicable documents, and all amendments to those documents;

                (b) The identities of the service contract provider's executive officer or officers directly responsible for the service contract provider's service contract business, and, if more than fifty percent of the service contract provider's gross revenue is derived from the sale of service contracts, the identities of the service contract provider's directors and stockholders having beneficial ownership of ten percent or more of any class of securities;

                (c) Audited annual financial statements or other financial reports acceptable to the commissioner for the two most recent years which prove that the applicant is solvent and any information the commissioner may require in order to review the current financial condition of the applicant.  If the service contract provider is relying on RCW 48.110.050(2)(c) to assure the faithful performance of its obligations to service contract holders, then the audited financial statements of the service contract provider's parent company must also be filed.  In lieu of submitting audited financial statements, a service contract provider relying on RCW 48.110.050(2)(a) or 48.110.075(2)(a) to assure the faithful performance of its obligations to service contract holders may comply with the requirements of this subsection (2)(c) by submitting annual financial statements of the applicant that are certified as accurate by two or more officers of the applicant;

                (d) An application fee of two hundred fifty dollars, which must be deposited into the general fund; and

                (e) Any other pertinent information required by the commissioner.

                (3) Each registered service contract provider must appoint the commissioner as the service contract provider's attorney to receive service of legal process issued against the service contract provider in this state upon causes of action arising within this state.  Service upon the commissioner as attorney constitutes effective legal service upon the service contract provider.

                (a) With the appointment the service contract provider must designate the person to whom the commissioner must forward legal process so served upon him or her.

                (b) The appointment is irrevocable, binds any successor in interest or to the assets or liabilities of the service contract provider, and remains in effect for as long as there could be any cause of action against the service contract provider arising out of any of the service contract provider's contracts or obligations in this state.

                (c) The service of process must be accomplished and processed in the manner prescribed under RCW 48.02.200.

                (4) The commissioner may refuse to issue a registration if the commissioner determines that the service contract provider, or any individual responsible for the conduct of the affairs of the service contract provider under subsection (2)(b) of this section, is not competent, trustworthy, financially responsible, or has had a license as a service contract provider or similar license denied or revoked for cause by any state.

                (5) A registration issued under this section is valid, unless surrendered, suspended, or revoked by the commissioner, or not renewed for so long as the service contract provider continues in business in this state and remains in compliance with this chapter.  A registration is subject to renewal annually on the first day of July upon application of the service contract provider and payment of a fee of two hundred dollars, which must be deposited into the general fund.  If not so renewed, the registration expires on the June 30th next preceding.

                (6) A service contract provider must keep current the information required to be disclosed in its registration under this section by reporting all material changes or additions within thirty days after the end of the month in which the change or addition occurs."

                Correct the title.

 

Signed by Representatives Kirby, Chair; Ryu, Vice Chair; Parker, Ranking Minority Member; Vick, Assistant Ranking Minority Member; Blake; Fagan; Habib; Hawkins; Hudgins; Hunt, G.; Hurst; Kochmar; MacEwen; Santos and Stanford.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6005           Prime Sponsor, Committee on Governmental Operations: Eliminating the position of human resources director.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member; Carlyle; Christian; Kretz; Manweller; Orwall; Robinson and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6014           Prime Sponsor, Committee on Law & Justice: Concerning the operation of a vessel under the influence of an intoxicant.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 79A.60.040 and 2013 c 278 s 1 are each amended to read as follows:

                (1) It is unlawful for any person to operate a vessel in a reckless manner.

                (2) It is unlawful for a person to operate a vessel while under the influence of intoxicating liquor, marijuana, or any drug.  A person is considered to be under the influence of intoxicating liquor, marijuana, or any drug if, within two hours of operating a vessel:

                (a) The person has an alcohol concentration of 0.08 or higher as shown by analysis of the person's breath or blood made under RCW 46.61.506; or

                (b) The person has a THC concentration of 5.00 or higher as shown by analysis of the person's blood made under RCW 46.61.506; or

                (c) The person is under the influence of or affected by intoxicating liquor, marijuana, or any drug; or

                (d) The person is under the combined influence of or affected by intoxicat­ing liquor, marijuana, and any drug.

                (3) The fact that any person charged with a violation of this section is or has been entitled to use such drug under the laws of this state shall not constitute a defense against any charge of violating this section.

                (4)(a) Any person who operates a vessel within this state is deemed to have given consent, subject to the provisions of RCW 46.61.506, to a test or tests of the person's breath ((or blood)) for the purpose of determining the alcohol concentration((, THC concentration, or presence of any drug)) in the person's breath ((or blood)) if arrested for any offense where, at the time of the arrest, the arresting officer has reasonable grounds to believe the person was operating a vessel while under the influence of intoxicating liquor((, marijuana,)) or a combination of intoxicating liquor and any other drug.

(b) When an arrest results from an accident in which there has been serious bodily injury to another person or death or the arresting officer has reasonable grounds to believe the person was operating a vessel while under the influence of THC or any other drug, a blood test may be administered with the consent of the arrested person and a valid waiver of the warrant requirement or without the consent of the person so arrested pursuant to a search warrant or when exigent circumstances exist.
                (c) Neither consent nor this section precludes a police officer from obtaining a search warrant for a person's breath or blood.

(d) An arresting officer may administer field sobriety tests when circumstances permit.

                (5) The test or tests of breath must be administered pursuant to RCW 46.20.308.  ((Where the officer has reasonable grounds to believe that the person is under the influence of a drug, or where the person is incapable due to physical injury, physical incapacity, or other physical limitation, of providing a breath sample, or where the person is being treated in a hospital, clinic, doctor's office, emergency medical vehicle, ambulance, or other similar facility, a blood test must be administered by a qualified person as provided in RCW 46.61.506(5).))  The officer shall warn the person that if the person refuses to take the test, the person will be issued a class 1 civil infraction under RCW 7.80.120.

                (6) A violation of subsection (1) of this section is a misdemeanor.  A violation of subsection (2) of this section is a gross misdemeanor.  In addition to the statutory penalties imposed, the court may order the defendant to pay restitution for any damages or injuries resulting from the offense.

Sec. 2.  RCW 79A.60.700 and 2013 c 278 s 2 are each amended to read as follows:

                (1) The refusal of a person to submit to a test of the alcohol concentration, THC concentration, or presence of any drug in the person's blood or breath is not admissible into evidence at a subsequent criminal trial.

                (2) A person's refusal to submit to a test or tests pursuant to RCW 79A.60.040(4)(a) constitutes a class 1 civil infraction under RCW 7.80.120."

                Correct the title.

 

Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 6025             Prime Sponsor, Senator O'Ban: Creating a sentence enhancement for body armor.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 25, 20140)

ESSB 6040         Prime Sponsor, Committee on Natural Resources & Parks: Concerning invasive species.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"PART 1
INVASIVE SPECIES--MANAGEMENT

NEW SECTION.  Sec. 101.  The legislature finds that:

                (1) The state's fish, wildlife, and habitat are exceptionally valuable environmental resources for the state's citizens.

                (2) The state's fish, wildlife, and habitat also provide exceptionally valuable economic, cultural, and recreational resources.  These include hydroelectric power, agriculture, forests, water supplies, commercial and recreational fisheries, aquaculture, and public access to outdoor recreational opportunities.

                (3) Invasive species pose a grave threat to these environmental and economic resources, especially to salmon recovery and state and federally listed threatened and endangered species.  Because of the significant harm invasive species can cause, invasive species constitute a public nuisance.

                (4) If allowed to become established, invasive species can threaten human health and cause environmental and economic disasters affecting not only our state, but other states and nations.

                (5) The risk of invasive species spreading into Washington increases as travel and commerce grows in volume and efficiency.

                (6) Prevention of invasive species is a cost-effective, successful, and proven management strategy.  Prevention is the state's highest management priority with an emphasis on education and outreach, inspections, and rapid response.

                (7) The integrated management of invasive species through pathways regulated by the department is critical to preventing the introduction and spread of a broad range of such species, including plants, diseases, and parasites.

                (8) Washington's citizens must work together to protect the state from invasive species.

                (9) Public and private partnerships, cooperative agreements, and compacts are important for preventing new arrivals and managing existing populations of invasive species, and coordinating these actions on local, state, national, and international levels.

                (10) The department requires authority for this mission to effectively counter the unpredictable nature of invasive species' introductions and spread, enable the utilization of new advances in invasive ecology science, and implement applicable techniques and technology to address invasive species.

                (11) An integrated management approach provides the best way for the state to manage invasive species and includes opportunities for creating an informed public, encouraging public involvement, and striving for local, regional, national, and international cooperation and consistency on management standards.  An integrated management approach also applies sound science to minimize the chance that invasive species used for beneficial purposes will result in environmental harm.

                (12) This chapter provides authority for the department to effectively address invasive species using an integrated management approach.

                (13) The department of fish and wildlife currently has sufficient statutory authority to effectively address invasive species risks posed through discharge of ballast water under chapter 77.120 RCW and by private sector shellfish aquaculture operations regulated under chapter 77.115 RCW.  The programs developed by the department under these chapters embody the principles of prevention as the highest priority, integrated management of pathways, public-private partnerships, clean and drain principles, and rapid response capabilities.

NEW SECTION.  Sec. 102.  The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

                (1) "Aquatic conveyance" means transportable personal property having the potential to move an aquatic invasive species from one aquatic environment to another.  Aquatic conveyances include but are not limited to watercraft and associated equipment, float planes, construction equipment, fish tanker trucks, hydroelectric and irrigation equipment, personal fishing and hunting gear, and materials used for aquatic habitat mitigation or restoration.

                (2) "Aquatic invasive species" means an invasive species of the animal kingdom with a life cycle that is at least partly dependent upon fresh, brackish, or marine waters.  Examples include nutria, waterfowl, amphibians, fish, and shellfish.

                (3) "Aquatic plant" means a native or nonnative emergent, submersed, partially submersed, free-floating, or floating-leaved plant species that is dependent upon fresh, brackish, or marine water ecosystems and includes all stages of development and parts.

                (4) "Certificate of inspection" means a department-approved document that declares, to the extent technically or measurably possible, that an aquatic conveyance does not carry or contain an invasive species.  Certification may be in the form of a decal, label, rubber stamp imprint, tag, permit, locking seal, or written statement.

                (5) "Clean and drain" means to remove the following from areas on or within an aquatic conveyance to the extent technically and measurably possible:

                (a) Visible native and nonnative aquatic animals, plants, or other organisms; and

                (b) Raw water.

                (6) "Commercial watercraft" means a management category of aquatic conveyances:

                (a) Required to have valid marine documentation as a vessel of the United States or similar required documentation for a country other than the United States; and

                (b) Not subject to watercraft registration requirements under chapter 88.02 RCW or ballast water requirements under chapter 77.120 RCW.

                (7) "Cryptogenic species" means a species that scientists cannot commonly agree are native or nonnative or are part of the animal kingdom.

                (8) "Decontaminate" means, to the extent technically and measurably possible, the application of a treatment to kill, destroy, remove, or otherwise eliminate all known or suspected invasive species carried on or contained within an aquatic conveyance or structural property by use of physical, chemical, or other methods.  Decontamination treatments may include drying an aquatic conveyance for a time sufficient to kill aquatic invasive species through desiccation.

                (9) "Detect" means the verification of invasive species' presence as defined by the department.

                (10) "Eradicate" means, to the extent technically and measurably possible, to kill, destroy, remove, or otherwise eliminate an invasive species from a water body or property using physical, chemical, or other methods.

                (11) "Infested site management" means management actions as provided under section 109 of this act that may include long-term actions to contain, control, or eradicate a prohibited species.

                (12) "Introduce" means to intentionally or unintentionally release, place, or allow the escape, dissemination, or establishment of an invasive species on or into a water body or property as a result of human activity or a failure to act.

                (13) "Invasive species" means nonnative species of the animal kingdom that are not naturally occurring in Washington for purposes of breeding, resting, or foraging, and that pose an invasive risk of harming or threatening the state's environmental, economic, or human resources.  Invasive species include all stages of species development and body parts.  They may also include genetically modified or cryptogenic species.

                (14) "Invasive species council" means the Washington invasive species council established in RCW 79A.25.310 or a similar collaborative state agency forum.  The term includes the council and all of its officers, employees, agents, and contractors.

                (15) "Mandatory check station" means a location where a person transporting an aquatic conveyance must stop and allow the conveyance to be inspected for aquatic invasive species.

                (16) "Possess" means to have authority over the use of an invasive species or use of an aquatic conveyance that may carry or contain an invasive species.  For the purposes of this subsection, "authority over" includes the ability to intentionally or unintentionally hold, import, export, transport, purchase, sell, barter, distribute, or propagate an invasive species.

                (17) "Prohibited species" means a classification category of nonnative species as provided in section 104 of this act.

                (18) "Property" means both real and personal property.

                (19) "Quarantine declaration" means a management action as provided under section 107 of this act involving the prohibition or conditioning of the movement of aquatic conveyances and waters from a place or an area that is likely to contain a prohibited species.

                (20) "Rapid response" means expedited management actions as provided under section 108 of this act triggered when invasive species are detected, for the time-sensitive purpose of containing or eradicating the species before it spreads or becomes further established.

                (21) "Raw water" means water from a water body and held on or within property.  "Raw water" does not include water from precipitation that is captured in a conveyance, structure, or depression that is not otherwise intended to function as a water body, or water from a potable water supply system, unless the water contains visible aquatic organisms.

                (22) "Regulated species" means a classification category of nonnative species as provided in section 104 of this act.

                (23) "Registered watercraft" means a management category of aquatic conveyances required to register as vessels under RCW 88.02.550 or similar requirements for a state other than Washington or a country other than the United States.

                (24) "Seaplane" means a management category of aquatic conveyances capable of landing on or taking off from water and required to register as an aircraft under RCW 47.68.250 or similar registration in a state other than Washington or a country other than the United States.

                (25) "Small watercraft" means a management category of aquatic conveyances:

                (a) Including inflatable and hard-shell watercraft used or capable of being used as a means of transportation on the water, such as kayaks, canoes, sailboats, and rafts that:

                (i) Do not meet watercraft registration requirements under chapter 88.02 RCW; and

                (ii) Are ten feet or more in length with or without mechanical propulsion or less than ten feet in length and fitted with mechanical propulsion.

                (b) Excluding nonmotorized aquatic conveyances of any size not designed or modified to be used as a means of transportation on the water, such as inflatable air mattresses and tubes, beach and water toys, surf boards, and paddle boards.

                (26) "Water body" means an area that carries or contains a collection of water, regardless of whether the feature carrying or containing the water is natural or nonnatural.  Examples include basins, bays, coves, streams, rivers, springs, lakes, wetlands, reservoirs, ponds, tanks, irrigation canals, and ditches.

NEW SECTION.  Sec. 103.  (1) The department is the lead agency for managing invasive species of the animal kingdom statewide.  This lead responsibility excludes pests, domesticated animals, or livestock managed by the department of agriculture under Titles 15, 16, and 17 RCW, forest invasive insect and disease species managed by the department of natural resources under Title 76 RCW, and mosquito and algae control and shellfish sanitation managed by the department of health under Titles 69, 70, and 90 RCW.

                (2) Subject to the availability of funding for these specific purposes, the department may:

                (a) Develop and implement integrated invasive species management actions and programs authorized by this chapter, including rapid response, early detection and monitoring, prevention, containment, control, eradication, and enforcement;

                (b) Establish and maintain an invasive species outreach and education program, in coordination with the Washington invasive species council, that covers public, commercial, and professional pathways and interests;

                (c) Align management classifications, standards, and enforcement provisions by rule with regional, national, and international standards and enforcement provisions;

                (d) Manage invasive species to support the preservation of native species, salmon recovery, and the overall protection of threatened or endangered species;

                (e) Participate in local, state, regional, national, and international efforts regarding invasive species to support the intent of this chapter;

                (f) Provide technical assistance or other support to tribes, federal agencies, local governments, and private groups to promote an informed public and assist the department in meeting the intent of this chapter;

                (g) Enter into partnerships, cooperative agreements, and state or interstate compacts as necessary to accomplish the intent of this chapter;

                (h) Research and develop invasive species management tools, including standard methods for decontaminating aquatic conveyances and controlling or eradicating invasive species from water bodies and properties;

                (i) Post invasive species signs and information at port districts, privately or publicly owned marinas, state parks, and all boat launches owned or leased by state agencies or political subdivisions; and

                (j) Adopt rules as needed to implement the provisions of this chapter.

                (3) The department may delegate selected and clearly identified elements of its authorities and duties to another agency of the state with appropriate expertise or administrative capacity upon cooperative agreement with that agency.  This delegation may include provisions of funding for implementation of the delegations.  The department retains primary authority and responsibility for all requirements of this chapter unless otherwise directed in this chapter.

                (4) This chapter does not apply to the possession or introduction of nonnative aquatic animal species by:

                (a) Ballast water held or discharged by vessels regulated under chapter 77.120 RCW; or

                (b) Private sector aquaculture operations, transfers, or conveyances regulated under chapter 77.115 RCW.

                (5) This chapter does not preempt or replace other department species classification systems or other management requirements under this title.  However, the department must streamline invasive species requirements under this chapter into existing permits and cooperative agreements as possible.

NEW SECTION.  Sec. 104.  (1) The department, in consultation with the invasive species council, may classify or reclassify and list by rule nonnative aquatic animal species as prohibited level 1, level 2, or level 3, based on the degree of invasive risk, the type of management action required, and resources available to conduct the management action.

                (a) Species classified as prohibited level 1 pose a high invasive risk and are a priority for prevention and expedited rapid response management actions.

                (b) Species classified as prohibited level 2 pose a high invasive risk and are a priority for long-term infested site management actions.

                (c) Species classified as prohibited level 3 pose a moderate to high invasive risk and may be appropriate for prevention, rapid response, or other prohibited species management plan actions by the department, another agency, a local government, tribes, or the public.

                (2) The department, in consultation with the invasive species council, may classify and list by rule regulated type A species.  This classification is used for nonnative aquatic animal species that pose a low to moderate invasive risk that can be managed based on intended use or geographic scope of introduction, have a beneficial use, and are a priority for department-led or department-approved management of the species' beneficial use and invasive risks.

                (3) Nonnative aquatic animal species not classified as prohibited level 1, level 2, or level 3 under subsection (1) of this section, or as regulated type A species under subsection (2) of this section, are automatically managed statewide as regulated type B species or regulated type C species and do not require listing by rule. 

                (a) Species managed as regulated type B pose a low or unknown invasive risk and are possessed for personal or commercial purposes, such as for aquariums, live food markets, or as nondomesticated pets.

                (b) Species managed as regulated type C pose a low or unknown invasive risk and include all other species that do not meet the criteria for management as a regulated type B invasive species.

                (4) Classification of prohibited and regulated species:

                (a) May be by individual species or larger taxonomic groups up to the family name;

                (b) Must align, as practical and appropriate, with regional and national classification levels;

                (c) Must be statewide unless otherwise designated by a water body, property, or other geographic region or area; and

                (d) May define general possession and introduction conditions acceptable under department authorization, a permit, or as otherwise provided by rule.

                (5) Prior to or at the time of classifying species by rule as prohibited or regulated under subsections (1) and (2) of this section, the department, in consultation with the invasive species council, must adopt rules establishing standards for determining invasive risk levels and criteria for determining beneficial use that take into consideration environmental impacts, and especially effects on the preservation of native species, salmon recovery, and threatened or endangered species.

NEW SECTION.  Sec. 105.  (1) Until the department adopts rules classifying species pursuant to chapter 77.--- RCW (the new chapter created in section 122 of this act), species and classifications identified in this section are automatically managed as follows:

                (a) Zebra mussels (Dreissena polymorpha), quagga mussels (Dreissena rostriformis bugensis), European green crab (Carcinus maenas), and all members of the genus Eriocheir (including Chinese mitten crab), all members of the walking catfish family (Clariidae), all members of the snakehead family (Channidae), silver carp (Hypophthalmichthys molitrix), largescale silver carp (Hypophthalmichthys harmandi), black carp (Mylopharyngodon piceus), and bighead carp (Hypophthalmichthys nobilis) are prohibited level 1 species statewide;

                (b) Prohibited aquatic animal species classified under WAC 220-12-090(1), in effect on July 1, 2014, except those as noted in this subsection are prohibited level 3 species statewide;

                (c) Regulated aquatic animal species classified under WAC 220-12-090(2), in effect on July 1, 2014, are regulated type A species statewide; and

                (d) Nonnative aquatic animal species classified as game fish under WAC 232-12-019, in effect on July 1, 2014, or food fish under WAC 220-12-010, in effect on July 1, 2014, are regulated type A species statewide.

                (2) The department, in consultation with the invasive species council, may change these classifications by rule.

NEW SECTION.  Sec. 106.  (1) Prohibited level 1, level 2, and level 3 species may not be possessed, introduced on or into a water body or property, or trafficked, without department authorization, a permit, or as otherwise provided by rule.

                (2) Regulated type A, type B, and type C species may not be introduced on or into a water body or property without department authorization, a permit, or as otherwise provided by rule.

                (3) Regulated type B species, when being actively used for commercial purposes, must be readily and clearly identified in writing by taxonomic species name or subspecies name to distinguish the subspecies from another prohibited species or a regulated type A species.  Nothing in this section precludes using additional descriptive language or trade names to describe regulated type B species as long as the labeling requirements of this section are met.

NEW SECTION.  Sec. 107.  (1) If the department determines it is necessary to protect the environmental, economic, or human health interests of the state from the threat of a prohibited level 1 or level 2 species, the department may declare a quarantine against a water body, property, or region within the state.  The department may prohibit or condition the movement of aquatic conveyances and waters from such a quarantined place or area that are likely to contain a prohibited species.

                (2) A quarantine declaration under this section may be implemented separately or in conjunction with rapid response management actions under section 108 of this act and infested site management actions under section 109 of this act in a manner and for a duration necessary to protect the interests of the state from the threat of a prohibited level 1 or level 2 species.  A quarantine declaration must include:

                (a) The reasons for the action including the prohibited level 1 or level 2 species triggering the quarantine;

                (b) The boundaries of the area affected;

                (c) The action timeline;

                (d) Types of aquatic conveyances and waters affected by the quarantine and any prohibition or conditions on the movement of those aquatic conveyances and waters from the quarantine area; and

                (e) Inspection and decontamination requirements for aquatic conveyances.

NEW SECTION.  Sec. 108.  (1) The department may implement rapid response management actions where a prohibited level 1 species is detected in or on a water body or property.  Rapid response management actions may:  Include expedited actions to contain, control, or eradicate the prohibited species; and, if applicable, be implemented in conjunction with a quarantine declaration.  Rapid response management actions must be terminated by the department when it determines that the targeted prohibited level 1 species are:

                (a) Eradicated;

                (b) Contained or controlled without need for further management actions;

                (c) Reclassified for that water body; or

                (d) Being managed under infested site management actions pursuant to section 109 of this act.

                (2) If a rapid response management action exceeds seven days, the department may implement an incident command system for rapid response management including scope, duration, and types of actions and to support mutual assistance and cooperation between the department and other affected state and federal agencies, tribes, local governments, and private water body or property owners.  The purpose of this system is to coordinate a rapid, effective, and efficient response to contain, control, and eradicate if feasible, a prohibited level 1 species.  Mutual assistance and coordination by other state agencies is especially important to assist the department in expediting necessary state and federal environmental permits.

                (3) The department may enter into cooperative agreements with national, regional, state, and local rapid response management action partners to establish incident command system structures, secure or prepare submission-ready environmental permits, and identify mutual assistance commitments in preparation for potential future actions.

                (4) The department may perform simulated rapid response exercises, testing, or other training activities to prepare for future rapid response management actions.

                (5) In implementing rapid response management actions, the department may enter upon property consistent with the process established under section 119 of this act.

NEW SECTION.  Sec. 109.  (1) The department may implement infested site management actions where a prohibited level 2 species is detected in or on a water body or property.  Infested site management actions may:  Include long-term actions to contain, control, or eradicate the prohibited species; and, if applicable, be implemented in conjunction with a quarantine declaration.  Infested site management actions must be terminated by the department when it determines that the targeted prohibited level 2 species are:

                (a) Eradicated;

                (b) Contained or controlled without need for further management actions; or

                (c) Reclassified for that water body.

                (2) The department must consult with affected state and federal agencies, tribes, local governments, and private water body or property owners prior to implementing infested site management actions.  The purpose of the consultation is to support mutual assistance and cooperation in providing an effective and efficient response to contain, control, and eradicate, if feasible, a prohibited level 2 species.

                (3) The department may enter into cooperative agreements with national, regional, state, and local infested site management action partners to establish management responsibilities, secure or prepare submission-ready environmental permits, and identify mutual assistance commitments.

                (4) In implementing infested site management actions, the department may enter upon property consistent with the process established under section 119 of this act.

NEW SECTION.  Sec. 110.  (1) To the extent possible, the department's quarantine declarations under section 107 of this act, rapid response management actions under section 108 of this act, and infested site management actions under section 109 of this act must be implemented in a manner best suited to contain, control, and eradicate prohibited level 1 and level 2 species while protecting human safety, minimizing adverse environmental impacts to a water body or property, and minimizing adverse economic impacts to owners of an affected water body or property.

                (2) The department is the lead agency for quarantine declarations, rapid response, and infested site management actions.  Where the infested water body is subject to tribal, federal, or other sovereign jurisdiction, the department:

                (a) Must consult with appropriate federal agencies, tribal governments, other states, and Canadian government entities to develop and implement coordinated management actions on affected water bodies under shared jurisdiction;

                (b) May assist in infested site management actions where these actions may prevent the spread of prohibited species into state water bodies; and

                (c) May assist other states and Canadian government entities, in the Columbia river basin, in management actions on affected water bodies outside of the state where these actions may prevent the spread of the species into state water bodies.

                (3)(a) The department must provide notice of quarantine declarations, rapid response, and infested site management actions to owners of an affected water body or property.  Notice may be provided by any reasonable means, such as in person, by United States postal service, by publication in a local newspaper, by electronic publication including social media or postings on the department's public web site, or by posting signs at the water body.

                (b) The department must provide updates to owners of an affected water body or property based on management action type as follows:

                (i) Every seven days for a rapid response management action and, if applicable, a quarantine declaration implemented in conjunction with a rapid response management action;

                (ii) Every six months for a separate quarantine declaration;

                (iii) Annually for the duration of an infested site management action and, if applicable, a quarantine declaration implemented in conjunction with an infested site management action; and

                (iv) A final update at the conclusion of any management action.

                (c) In addition to owners of an affected water body or property, the department must provide notice of a quarantine declaration to members of the public by any reasonable means for an area subject to a quarantine declaration, such as by publication in a local newspaper, by electronic publication including social media or postings on the department's public web site, or by posting signs at the water body.  The department must provide updates at reasonable intervals and a final update at the conclusion of the quarantine declaration.

                (4) The department must publicly list those water bodies or portions of water bodies in which a prohibited level 1 or level 2 species has been detected.  The department may list those areas in which a prohibited level 3 species has been detected.

                (5) When posting signs at a water body or property where a prohibited species has been detected, the department must consult with owners of the affected water body or property regarding placement of those signs.

NEW SECTION.  Sec. 111.  (1) If the director finds that there exists an imminent danger of a prohibited level 1 or level 2 species detection that seriously endangers or threatens the environment, economy, human health, or well-being of the state of Washington, the director must ask the governor to order, under RCW 43.06.010(14), emergency measures to prevent or abate the prohibited species.  The director's findings must contain an evaluation of the effect of the emergency measures on environmental factors such as fish listed under the endangered species act, economic factors such as public and private access, human health factors such as water quality, or well-being factors such as cultural resources.

                (2) If an emergency is declared pursuant to RCW 43.06.010(14), the director may consult with the invasive species council to advise the governor on emergency measures necessary under RCW 43.06.010(14) and this section, and make subsequent recommendations to the governor.  The invasive species council must involve owners of the affected water body or property, state and local governments, federal agencies, tribes, public health interests, technical service providers, and environmental organizations, as appropriate.

                (3) Upon the governor's approval of emergency measures, the director may implement these measures to prevent, contain, control, or eradicate invasive species that are the subject of the emergency order, notwithstanding the provisions of chapter 15.58 or 17.21 RCW or any other statute.  These measures, after evaluation of all other alternatives, may include the surface and aerial application of pesticides.

                (4) The director must continually evaluate the effects of the emergency measures and report these to the governor at intervals of not less than ten days.  The director must immediately advise the governor if the director finds that the emergency no longer exists or if certain emergency measures should be discontinued.

NEW SECTION.  Sec. 112.  (1) A person in possession of an aquatic conveyance who enters Washington by road, air, or water is required to have a certificate of inspection.  A person must provide this certificate of inspection upon request by a fish and wildlife officer or ex officio fish and wildlife officer.

                (2) The department must adopt rules to implement this section including:

                (a) Types of aquatic conveyances required to have a certificate of inspection;

                (b) Allowable certificate of inspection forms including passport type systems and integration with existing similar permits;

                (c) Situations when authorization can be obtained for transporting an aquatic conveyance not meeting inspection requirements to a specified location within the state where certificate of inspection requirements can be provided; and

                (d) Situations where aquatic conveyances are using shared boundary waters of the state, such as portions of the Columbia river, lake Osoyoos, and the Puget Sound.

NEW SECTION.  Sec. 113.  (1) A person in possession of an aquatic conveyance must meet clean and drain requirements after the conveyance's use in or on a water body or property.  A certificate of inspection is not needed to meet clean and drain requirements.

                (2) A fish and wildlife officer or ex officio fish and wildlife officer may order a person transporting an aquatic conveyance not meeting clean and drain requirements to:

                (a) Clean and drain the conveyance at the discovery site, if the department determines there are sufficient resources available; or

                (b) Transport the conveyance to a reasonably close location where resources are sufficient to meet the clean and drain requirements.

                (3) This section may be enforced immediately on the transportation of aquatic plants by registered watercraft, small watercraft, seaplanes, and commercial watercraft.  The department must adopt rules to implement all other aspects of clean and drain requirements, including:

                (a) Other types of aquatic conveyances subject to this requirement;

                (b) When transport of an aquatic conveyance is authorized if clean and drain services are not readily available at the last water body used; and

                (c) Exemptions to clean and drain requirements where the department determines there is minimal risk of spreading invasive species.

NEW SECTION.  Sec. 114.  (1) The department may establish mandatory check stations to inspect aquatic conveyances for clean and drain requirements and aquatic invasive species.  The check stations must be operated by at least one fish and wildlife officer, an ex officio fish and wildlife officer in coordination with the department, or department-authorized representative, and must be plainly marked by signs and operated in a safe manner.

                (2) Aquatic conveyances required to stop at mandatory check stations include registered watercraft, commercial watercraft, and small watercraft.  The department may establish rules governing other types of aquatic conveyances that must stop at mandatory check stations.  The rules must provide sufficient guidance so that a person transporting the aquatic conveyance readily understands that he or she is required to stop.

                (3) A person who encounters a mandatory check station while transporting an aquatic conveyance must:

                (a) Stop at the mandatory check station;

                (b) Allow the aquatic conveyance to be inspected for clean and drain requirements and aquatic invasive species;

                (c) Follow clean and drain orders if clean and drain requirements are not met pursuant to section 113 of this act; and

                (d) Follow decontamination orders pursuant to section 115 of this act if an aquatic invasive species is found.

                (4) A person who complies with the department directives under this section is exempt from criminal penalties under sections 205 and 206 of this act, civil penalties under RCW 77.15.160(4), and civil forfeiture under RCW 77.15.070, unless the person has a prior conviction for an invasive species violation within the past five years.

NEW SECTION.  Sec. 115.  (1) Upon discovery of an aquatic conveyance that carries or contains an aquatic invasive species without department authorization, a permit, or as otherwise provided by rule, a fish and wildlife officer or ex officio fish and wildlife officer may issue a decontamination order:

                (a) Requiring decontamination at the discovery site, if the situation presents a low risk of aquatic invasive species introduction, and sufficient department resources are available at the discovery site;

                (b) Prohibiting the launch of the aquatic conveyance in a water body until decontamination is completed and certified, if the situation presents a low risk of aquatic invasive species introduction, and sufficient department resources are not available at the discovery site;

                (c) Requiring immediate transport of the conveyance to an approved decontamination station, and prohibiting the launch of the conveyance in a water body until decontamination is completed and certified, if the situation presents a moderate risk of aquatic invasive species introduction, and sufficient department resources are not available at the discovery site; or

                (d) Seizing and transporting the aquatic conveyance to an approved decontamination station until decontamination is completed and certified, if the situation presents a high risk of aquatic invasive species introduction, and sufficient department resources are not available at the discovery site.

                (2) The person possessing the aquatic conveyance that is subject to orders issued under subsection (1)(b) through (d) of this section must bear any costs for seizure, transportation, or decontamination.

                (3) Orders issued under subsection (1)(b) through (d) of this section must be in writing and must include notice of the opportunity for a hearing pursuant to section 116 of this act to determine the validity of the orders.

                (4) If a decontamination order is issued under subsection (1)(d) of this section, the department may seize the aquatic conveyance for two working days or a reasonable additional period of time thereafter as needed to meet decontamination requirements.  The decontamination period must be based on factors including conveyance size and complexity, type and number of aquatic invasive species present, and decontamination station resource capacity.

                (5) If an aquatic conveyance is subject to forfeiture under RCW 77.15.070, the timelines and other provisions under that section apply to the seizure.

                (6) Upon decontamination and issuing a certificate of inspection, an aquatic conveyance must be released to the person in possession of the aquatic conveyance at the time the decontamination order was issued, or to the owner of the aquatic conveyance.

NEW SECTION.  Sec. 116.  (1) A person aggrieved or adversely affected by a quarantine declaration under section 107 of this act, a rapid response management action under section 108 of this act, an infested site management action under section 109 of this act, or a decontamination order under section 115 of this act may contest the validity of the department's actions by requesting a hearing in writing within twenty days of the department's actions.

                (2) Hearings must be conducted pursuant to chapter 34.05 RCW and the burden of demonstrating the invalidity of agency action is on the party asserting invalidity.  The hearing may be conducted by the director or the director's designee and may occur telephonically.

                (3) A hearing on a decontamination order is limited to the issues of whether decontamination was necessary and the reasonableness of costs assessed for any seizure, transportation, and decontamination.  If the person in possession of the aquatic conveyance that was decontaminated prevails at the hearing, the person is entitled to reimbursement by the department for any costs assessed by the department or decontamination station operator for the seizure, transportation, and decontamination.  If the department prevails at the hearing, the department is not responsible for and may not reimburse any costs.

NEW SECTION.  Sec. 117.  (1) The department may operate aquatic conveyance inspection and decontamination stations statewide for voluntary use by the public or for mandatory use where directed by the department to meet inspection and decontamination requirements of this chapter.  Decontamination stations can be part of or separate from inspection stations.  Inspection and decontamination stations are separate from commercial vehicle weigh stations operated by the Washington state patrol.

                (2) Inspection station staff must inspect aquatic conveyances to determine whether the conveyances carry or contain aquatic invasive species.  If an aquatic conveyance is free of aquatic invasive species, then inspection station staff must issue a certificate of inspection.  A certificate of inspection is valid until the conveyance's next use in a water body.

                (3) If a conveyance carries or contains aquatic invasive species, then inspection station staff must require the conveyance's decontamination before issuing a certificate of inspection.  The certificate of inspection is valid until the conveyance's next use in a water body.

                (4) The department must identify, in a way that is readily available to the public, the location and contact information for inspection and decontamination stations.

                (5) The department must adopt by rule standards for inspection and decontamination that, where practical and appropriate, align with regional, national, and international standards.

NEW SECTION.  Sec. 118.  (1) The department may authorize representatives to operate its inspection and decontamination stations and mandatory check stations.  Department-authorized representatives may be department volunteers, other law enforcement agencies, or independent businesses.

                (2) The department must adopt rules governing the types of services that department-authorized representatives may perform under this chapter.

                (3) Department-authorized representatives must have official identification, training, and administrative capacity to fulfill their responsibilities under this section.

                (4) Within two years of the effective date of this section, the department must provide the legislature with recommendations for a fee schedule that department-authorized representatives may charge users whose aquatic conveyances receive inspection and decontamination services.

NEW SECTION.  Sec. 119.  (1) The department may enter upon a property or water body at any reasonable time for the purpose of administering this chapter, including inspecting and decontaminating aquatic conveyances, collecting invasive species samples, implementing rapid response management actions or infested site management actions, and containing, controlling, or eradicating invasive species.

                (2) Prior to entering the property or water body, the department shall make a reasonable attempt to notify the owner of the property or water body as to the purpose and need for the entry.  Should the department be denied access to any property or water body where access is sought for the purposes set forth in this chapter, the department may apply to any court of competent jurisdiction for a warrant authorizing access to the property.

                (3) Upon such an application, the court may issue the warrant for the purposes requested where the court finds reasonable cause to believe it is necessary to achieve the purposes of this chapter.

NEW SECTION.  Sec. 120.  (1) Funds from the watercraft excise tax proceeds that are deposited into the aquatic invasive species prevention account established under RCW 77.12.879 and the aquatic invasive species enforcement account established under RCW 43.43.400 may be used by the department to develop and implement an aquatic invasive species local management grant program.  The grant program may expend up to two hundred fifty thousand dollars per fiscal year as competitive grants to state agencies, cities, counties, tribes, special purpose districts, academic institutions, and nonprofit groups to:

                (a) Manage prohibited level 1 or level 2 aquatic species at a local level;

                (b) Develop rapid response management cooperative agreements for local water bodies;

                (c) Develop or implement prohibited species management cooperative agreements for local water bodies; and

                (d) Conduct innovative applied research that directly supports on-the-ground prevention, control, and eradication efforts.

                (2) The department must give preference to projects that have matching funds, provide in-kind services, or maintain or enhance outdoor recreational opportunities.

NEW SECTION.  Sec. 121.  The provisions of this chapter must be liberally construed to carry out the intent of the legislature.

NEW SECTION.  Sec. 122.  Sections 102 through 104 and 106 through 121 of this act constitute a new chapter in Title 77 RCW.

PART 2
INVASIVE SPECIES--ENFORCEMENT

NEW SECTION.  Sec. 201.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) Based upon reasonable suspicion that a person possesses an aquatic conveyance that has not been cleaned and drained or carries or contains aquatic invasive species in violation of this title, fish and wildlife officers or ex officio fish and wildlife officers may temporarily stop the person and inspect the aquatic conveyance for compliance with the requirements of this title.

                (2) Unless the context clearly requires otherwise, the definitions in both RCW 77.08.010 and section 102 of this act apply throughout this section.

NEW SECTION.  Sec. 202.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) Upon a showing of probable cause that there has been a violation of an invasive species law of the state of Washington, or upon a showing of probable cause to believe that evidence of such a violation may be found at a place, a court must issue a search warrant or arrest warrant.  Fish and wildlife officers or ex officio fish and wildlife officers may execute any such search or arrest warrant reasonably necessary to carry out their duties under this title with regard to an invasive species law and may seize invasive species or any evidence of a crime and the fruits or instrumentalities of a crime as provided by warrant.  The court may have property opened or entered and the contents examined.

                (2) Seizure of property as evidence of a crime does not preclude seizure of the property for forfeiture as authorized by law.

NEW SECTION.  Sec. 203.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) Upon a showing of probable cause that a water body or property has an invasive species in or on it, and the owner refuses permission to allow inspection of the water body or property, a court in the county in which the water body or property is located may, upon the request of the director or the director's designee, issue a warrant to the director or the director's designee authorizing the taking of specimens of invasive species, general inspection of the property or water body, and the performance of containment, eradication, or control work.

                (2) Application for issuance, execution, and return of the warrant authorized by this section must be in accordance with the applicable rules of the superior courts or the district courts.

Sec. 204.  RCW 77.15.160 and 2013 c 307 s 2 are each amended to read as follows:

                The following acts are infractions and must be cited and punished as provided under chapter 7.84 RCW:

                (1) Fishing and shellfishing infractions:

                (a) Barbed hooks:  Fishing for personal use with barbed hooks in violation of any department rule.

                (b) Catch recording:  Failing to immediately record a catch of fish or shellfish on a catch record card as required by RCW 77.32.430 or department rule.

                (c) Catch reporting:  Failing to return a catch record card to the department for other than Puget Sound Dungeness crab, as required by department rule.

                (d) Recreational fishing:  Fishing for fish or shellfish and, without yet possessing fish or shellfish, the person:

                (i) Owns, but fails to have in the person's possession the license or the catch record card required by chapter 77.32 RCW for such an activity; or

                (ii) Violates any department rule regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of fishing for fish or shellfish.  This subsection does not apply to use of a net to take fish under RCW 77.15.580 or the unlawful use of shellfish gear for personal use under RCW 77.15.382.

                (e) Seaweed:  Taking, possessing, or harvesting less than two times the daily possession limit of seaweed:

                (i) While owning, but not having in the person's possession, the license required by chapter 77.32 RCW; or

                (ii) In violation of any rule of the department or the department of natural resources regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of taking, possessing, or harvesting of seaweed.

                (f) Unclassified fish or shellfish:  Taking unclassified fish or shellfish in violation of any department rule by killing, fishing, taking, holding, possessing, or maliciously injuring or harming fish or shellfish that is not classified as game fish, food fish, shellfish, protected fish, or endangered fish.

                (g) Wasting fish or shellfish:  Killing, taking, or possessing fish or shellfish having a value of less than two hundred fifty dollars and allowing the fish or shellfish to be wasted.

                (2) Hunting infractions:

                (a) Eggs or nests:  Maliciously, and without permit authorization, destroying, taking, or harming the eggs or active nests of a wild bird not classified as endangered or protected.  For purposes of this subsection, "active nests" means nests that contain eggs or fledglings.

                (b) Unclassified wildlife:  Taking unclassified wildlife in violation of any department rule by killing, hunting, taking, holding, possessing, or maliciously injuring or harming wildlife that is not classified as big game, game animals, game birds, protected wildlife, or endangered wildlife.

                (c) Wasting wildlife:  Killing, taking, or possessing wildlife that is not classified as big game and has a value of less than two hundred fifty dollars, and allowing the wildlife to be wasted.

                (d) Wild animals:  Hunting for wild animals not classified as big game and, without yet possessing the wild animals, the person owns, but fails to have in the person's possession, all licenses, tags, or permits required by this title.

                (e) Wild birds:  Hunting for and, without yet possessing a wild bird or birds, the person:

                (i) Owns, but fails to have in the person's possession, all licenses, tags, stamps, and permits required under this title; or

                (ii) Violates any department rule regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of hunting wild birds.

                (3) Trapping, taxidermy, fur dealing, and wildlife meat cutting infractions:

                (a) Recordkeeping and reporting:  If a person is a taxidermist, fur dealer, or wildlife meat cutter who is processing, holding, or storing wildlife for commercial purposes, failing to:

                (i) Maintain records as required by department rule; or

                (ii) Report information from these records as required by department rule.

                (b) Trapper's report:  Failing to report trapping activity as required by department rule.

                (4) ((Aquatic invasive species infraction:  Entering Washington by road and transporting a recreational or commercial watercraft that has been used outside of Washington without meeting documentation requirements as provided under RCW 77.12.879.)) (a) Invasive species management infractions:
                (i) Out-of-state certification:  Entering Washington in possession of an aquatic conveyance that does not meet certificate of inspection requirements as provided under section 112 of this act;
                (ii) Clean and drain requirements:  Possessing an aquatic conveyance that does not meet clean and drain requirements under section 113 of this act;
                (iii) Clean and drain orders:  Possessing an aquatic conveyance and failing to obey a clean and drain order under section 113 or 114 of this act; and
                (iv) Transporting aquatic plants:  Transporting aquatic plants on any state or public road, including forest roads.  However, this subsection does not apply to plants that are:
                (A) Being transported to the department or to another destination designated by the director, in a manner designated by the department, for purposes of identifying a species or reporting the presence of a species;
                (B) Legally obtained for aquarium use, wetland or lakeshore restoration, or ornamental purposes;
                (C) Located within or on a commercial aquatic plant harvester that is being transported to a suitable location to remove aquatic plants;
                (D) Being transported in a manner that prevents their unintentional dispersal, to a suitable location for disposal, research, or educational purposes; or
                (E) Being transported in such a way as the commission may otherwise prescribe.
                (b) Unless the context clearly requires otherwise, the definitions in both RCW 77.08.010 and section 102 of this act apply throughout this subsection (4).

                (5) Other infractions:

                (a) Contests:  Conducting, holding, or sponsoring a hunting contest, a fishing contest involving game fish, or a competitive field trial using live wildlife.

                (b) Other rules:  Violating any other department rule that is designated by rule as an infraction.

                (c) Posting signs:  Posting signs preventing hunting or fishing on any land not owned or leased by the person doing the posting, or without the permission of the person who owns, leases, or controls the land posted.

                (d) Scientific permits:  Using a scientific permit issued by the director for fish, shellfish, or wildlife, but not including big game or big game parts, and the person:

                (i) Violates any terms or conditions of the scientific permit; or

                (ii) Violates any department rule applicable to the issuance or use of scientific permits.

                (((e) Transporting aquatic plants:  Transporting aquatic plants on any state or public road, including forest roads.  However:
                (i) This subsection does not apply to plants that are:
                (A) Being transported to the department or to another destination designated by the director, in a manner designated by the department, for purposes of identifying a species or reporting the presence of a species;
                (B) Legally obtained for aquarium use, wetland or lakeshore restoration, or ornamental purposes;
                (C) Located within or on a commercial aquatic plant harvester that is being transported to a suitable location to remove aquatic plants;
                (D) Being transported in a manner that prevents their unintentional dispersal, to a suitable location for disposal, research, or educational purposes; or
                (E) Being transported in such a way as the commission may otherwise prescribe; and
                (ii) This subsection does not apply to a person who:
                (A) Is stopped at an aquatic invasive species check station and possesses a recreational or commercial watercraft that is contaminated with an aquatic invasive plant species if that person complies with all department directives for the proper decontamination of the watercraft and equipment; or
                (B) Has voluntarily submitted a recreational or commercial watercraft for inspection by the department or its designee and has received a receipt verifying that the watercraft has not been contaminated since its last use.))

NEW SECTION.  Sec. 205.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) A person is guilty of unlawful use of invasive species in the second degree if the person:

                (a) Fails to stop at a mandatory check station or to return to the mandatory check station for inspection if directed to do so by a fish and wildlife officer or ex officio fish and wildlife officer;

                (b) Fails to allow an aquatic conveyance stopped at a mandatory check station to be inspected for clean and drain requirements or aquatic invasive species;

                (c) Fails to comply with a decontamination order;

                (d) Possesses, except in the case of trafficking, a prohibited level 1 or level 2 species without department authorization, a permit, or as otherwise provided by rule;

                (e) Possesses, introduces on or into a water body or property, or traffics in a prohibited level 3 species without department authorization, a permit, or as otherwise provided by rule;

                (f) Introduces on or into a water body or property a regulated type A, type B, or type C species without department authorization, a permit, or as otherwise provided by rule;

                (g) Fails to readily and clearly identify in writing by taxonomic species name or subspecies name a regulated type B species used for commercial purposes; or

                (h) Knowingly violates a quarantine declaration under section 107 of this act.

                (2) A violation of subsection (1) of this section is a gross misdemeanor.  In addition to criminal penalties, a court may order the person to pay all costs in capturing, killing, or controlling the invasive species, including its progeny.  This subsection does not affect the authority of the department to bring a separate civil action to recover habitat restoration costs necessitated by the person's unlawful use of invasive species.

                (3) This section does not apply to:

                (a) A person who complies with the department directives pursuant to section 114 of this act for mandatory check stations.  Such a person is exempt from criminal penalties under this section or section 206 of this act, and forfeiture under this chapter, unless the person has a prior conviction under those sections within the past five years;

                (b) A person who possesses an aquatic invasive species, if the person is in the process of:

                (i) Removing it from the aquatic conveyance in a manner specified by the department; or

                (ii) Releasing it if caught while fishing and immediately returning it to the water body from which it came;

                (c) Possessing or introducing nonnative aquatic animal species by ballast water held or discharged by vessels regulated under chapter 77.120 RCW; or

                (d) Possessing or introducing nonnative aquatic animal species through private sector shellfish aquaculture operations, transfers, or conveyances regulated under chapter 77.115 RCW.

                (4) Unless the context clearly requires otherwise, the definitions in both RCW 77.08.010 and section 102 of this act apply throughout this section.

NEW SECTION.  Sec. 206.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) A person is guilty of unlawful use of invasive species in the first degree if the person:

                (a) Traffics or introduces on or into a water body or property a prohibited level 1 or level 2 species without department authorization, a permit, or as otherwise provided by rule; or

                (b) Commits a subsequent violation of unlawful use of invasive species in the second degree within five years of the date of a prior conviction under section 205 of this act.

                (2) A violation of this section is a class C felony.  In addition to criminal penalties, a court may order the person to pay all costs in managing the invasive species, including the species' progeny.  This subsection does not affect the authority of the department to bring a separate civil action to recover habitat restoration costs necessitated by the person's unlawful use of invasive species.

                (3) This section does not apply to:

                (a) A person who complies with department directives pursuant to section 114 of this act for mandatory check stations, and who is exempt from criminal penalties under this section and forfeiture under this chapter, unless the person has a prior conviction under this section or section 205 of this act within the past five years; or

                (b) A person who possesses an aquatic invasive species, if the person is in the process of:

                (i) Removing it from the aquatic conveyance in a manner specified by the department; or

                (ii) Releasing it if caught while fishing and is immediately returning it to the water body from which it came.

                (4) Unless the context clearly requires otherwise, the definitions in both RCW 77.08.010 and section 102 of this act apply throughout this section.

PART 3
INVASIVE SPECIES--OTHER PROVISIONS

Sec. 301.  RCW 77.08.010 and 2012 c 176 s 4 are each reenacted and amended to read as follows:

                The definitions in this section apply throughout this title or rules adopted under this title unless the context clearly requires otherwise.

                (1) "Anadromous game fish buyer" means a person who purchases or sells steelhead trout and other anadromous game fish harvested by Indian fishers lawfully exercising fishing rights reserved by federal statute, treaty, or executive order, under conditions prescribed by rule of the director.

                (2) "Angling gear" means a line attached to a rod and reel capable of being held in hand while landing the fish or a hand-held line operated without rod or reel.

                (3) (("Aquatic invasive species" means any invasive, prohibited, regulated, unregulated, or unlisted aquatic animal or plant species as defined under subsections (4), (34), (49), (53), (70), and (71) of this section, aquatic noxious weeds as defined under RCW 17.26.020(5)(c), and aquatic nuisance species as defined under RCW 77.60.130(1).
                (4) "Aquatic plant species" means an emergent, submersed, partially submersed, free-floating, or floating-leaving plant species that grows in or near a body of water or wetland.
                (5))) "Bag limit" means the maximum number of game animals, game birds, or game fish which may be taken, caught, killed, or possessed by a person, as specified by rule of the commission for a particular period of time, or as to size, sex, or species.

                (((6))) (4) "Building" means a private domicile, garage, barn, or public or commercial building.

                (((7))) (5) "Closed area" means a place where the hunting of some or all species of wild animals or wild birds is prohibited.

                (((8))) (6) "Closed season" means all times, manners of taking, and places or waters other than those established by rule of the commission as an open season.  "Closed season" also means all hunting, fishing, taking, or possession of game animals, game birds, game fish, food fish, or shellfish that do not conform to the special restrictions or physical descriptions established by rule of the commission as an open season or that have not otherwise been deemed legal to hunt, fish, take, harvest, or possess by rule of the commission as an open season.

                (((9))) (7) "Closed waters" means all or part of a lake, river, stream, or other body of water, where fishing or harvesting is prohibited.

                (((10))) (8) "Commercial" means related to or connected with buying, selling, or bartering.

                (((11))) (9) "Commission" means the state fish and wildlife commission.

                (((12))) (10) "Concurrent waters of the Columbia river" means those waters of the Columbia river that coincide with the Washington-Oregon state boundary.

                (((13))) (11) "Contraband" means any property that is unlawful to produce or possess.

                (((14))) (12) "Deleterious exotic wildlife" means species of the animal kingdom not native to Washington and designated as dangerous to the environment or wildlife of the state.

                (((15))) (13) "Department" means the department of fish and wildlife.

                (((16))) (14) "Director" means the director of fish and wildlife.

                (((17))) (15) "Endangered species" means wildlife designated by the commission as seriously threatened with extinction.

                (((18))) (16) "Ex officio fish and wildlife officer" means:

                (a) A commissioned officer of a municipal, county, or state agency having as its primary function the enforcement of criminal laws in general, while the officer is acting in the respective jurisdiction of that agency;

                (b) An officer or special agent commissioned by one of the following:  The national marine fisheries service; the Washington state parks and recreation commission; the United States fish and wildlife service; the Washington state department of natural resources; the United States forest service; or the United States parks service, if the agent or officer is in the respective jurisdiction of the primary commissioning agency and is acting under a mutual law enforcement assistance agreement between the department and the primary commissioning agency;

                (c) A commissioned fish and wildlife peace officer from another state who meets the training standards set by the Washington state criminal justice training commission pursuant to RCW 10.93.090, 43.101.080, and 43.101.200, and who is acting under a mutual law enforcement assistance agreement between the department and the primary commissioning agency; or

                (d) A Washington state tribal police officer who successfully completes the requirements set forth under RCW 43.101.157, is employed by a tribal nation that has complied with RCW 10.92.020(2) (a) and (b), and is acting under a mutual law enforcement assistance agreement between the department and the tribal government.

                (((19))) (17) "Fish" includes all species classified as game fish or food fish by statute or rule, as well as all fin fish not currently classified as food fish or game fish if such species exist in state waters.  The term "fish" includes all stages of development and the bodily parts of fish species.

                (((20))) (18) "Fish and wildlife officer" means a person appointed and commissioned by the director, with authority to enforce this title and rules adopted pursuant to this title, and other statutes as prescribed by the legislature.  Fish and wildlife officer includes a person commissioned before June 11, 1998, as a wildlife agent or a fisheries patrol officer.

                (((21))) (19) "Fish broker" means a person whose business it is to bring a seller of fish and shellfish and a purchaser of those fish and shellfish together.

                (((22))) (20) "Fish buyer" means a person engaged by a wholesale fish dealer to purchase food fish or shellfish from a licensed commercial fisher.

                (((23))) (21) "Fishery" means the taking of one or more particular species of fish or shellfish with particular gear in a particular geographical area.

                (((24))) (22) "Food, food waste, or other substance" includes human and pet food or other waste or garbage that could attract large wild carnivores.

                (((25))) (23) "Freshwater" means all waters not defined as saltwater including, but not limited to, rivers upstream of the river mouth, lakes, ponds, and reservoirs.

                (((26))) (24) "Fur-bearing animals" means game animals that shall not be trapped except as authorized by the commission.

                (((27))) (25) "Fur dealer" means a person who purchases, receives, or resells raw furs for commercial purposes.

                (((28))) (26) "Game animals" means wild animals that shall not be hunted except as authorized by the commission.

                (((29))) (27) "Game birds" means wild birds that shall not be hunted except as authorized by the commission.

                (((30))) (28) "Game farm" means property on which wildlife is held, confined, propagated, hatched, fed, or otherwise raised for commercial purposes, trade, or gift.  The term "game farm" does not include publicly owned facilities.

                (((31))) (29) "Game reserve" means a closed area where hunting for all wild animals and wild birds is prohibited.

                (((32))) (30) "Illegal items" means those items unlawful to be possessed.

                (((33))) (31)(a) "Intentionally feed, attempt to feed, or attract" means to purposefully or knowingly provide, leave, or place in, on, or about any land or building any food, food waste, or other substance that attracts or could attract large wild carnivores to that land or building.

                (b) "Intentionally feed, attempt to feed, or attract" does not include keeping food, food waste, or other substance in an enclosed garbage receptacle or other enclosed container unless specifically directed by a fish and wildlife officer or animal control authority to secure the receptacle or container in another manner.

                (((34) "Invasive species" means a plant species or a nonnative animal species that either:
                (a) Causes or may cause displacement of, or otherwise threatens, native species in their natural communities;
                (b) Threatens or may threaten natural resources or their use in the state;
                (c) Causes or may cause economic damage to commercial or recreational activities that are dependent upon state waters; or
                (d) Threatens or harms human health.
                (35))) (32) "Large wild carnivore" includes wild bear, cougar, and wolf.

                (((36))) (33) "License year" means the period of time for which a recreational license is valid.  The license year begins April 1st, and ends March 31st.

                (((37))) (34) "Limited-entry license" means a license subject to a license limitation program established in chapter 77.70 RCW.

                (((38))) (35) "Money" means all currency, script, personal checks, money orders, or other negotiable instruments.

                (((39))) (36) "Natural person" means a human being.

                (((40))) (37)(a) "Negligently feed, attempt to feed, or attract" means to provide, leave, or place in, on, or about any land or building any food, food waste, or other substance that attracts or could attract large wild carnivores to that land or building, without the awareness that a reasonable person in the same situation would have with regard to the likelihood that the food, food waste, or other substance could attract large wild carnivores to the land or building.

                (b) "Negligently feed, attempt to feed, or attract" does not include keeping food, food waste, or other substance in an enclosed garbage receptacle or other enclosed container unless specifically directed by a fish and wildlife officer or animal control authority to secure the receptacle or container in another manner.

                (((41))) (38) "Nonresident" means a person who has not fulfilled the qualifications of a resident.

                (((42))) (39) "Offshore waters" means marine waters of the Pacific Ocean outside the territorial boundaries of the state, including the marine waters of other states and countries.

                (((43))) (40) "Open season" means those times, manners of taking, and places or waters established by rule of the commission for the lawful hunting, fishing, taking, or possession of game animals, game birds, game fish, food fish, or shellfish that conform to the special restrictions or physical descriptions established by rule of the commission or that have otherwise been deemed legal to hunt, fish, take, harvest, or possess by rule of the commission.  "Open season" includes the first and last days of the established time.

                (((44))) (41) "Owner" means the person in whom is vested the ownership dominion, or title of the property.

                (((45))) (42) "Person" means and includes an individual; a corporation; a public or private entity or organization; a local, state, or federal agency; all business organizations, including corporations and partnerships; or a group of two or more individuals acting with a common purpose whether acting in an individual, representative, or official capacity.

                (((46))) (43) "Personal property" or "property" includes both corporeal and incorporeal personal property and includes, among other property, contraband and money.

                (((47))) (44) "Personal use" means for the private use of the individual taking the fish or shellfish and not for sale or barter.

                (((48))) (45) "Predatory birds" means wild birds that may be hunted throughout the year as authorized by the commission.

                (((49) "Prohibited aquatic animal species" means an invasive species of the animal kingdom that has been classified as a prohibited aquatic animal species by the commission.
                (50))) (46) "Protected wildlife" means wildlife designated by the commission that shall not be hunted or fished.

                (((51))) (47) "Raffle" means an activity in which tickets bearing an individual number are sold for not more than twenty-five dollars each and in which a permit or permits are awarded to hunt or for access to hunt big game animals or wild turkeys on the basis of a drawing from the tickets by the person or persons conducting the raffle.

                (((52) "Recreational and commercial watercraft" includes the boat, as well as equipment used to transport the boat, and any auxiliary equipment such as attached or detached outboard motors.
                (53) "Regulated aquatic animal species" means a potentially invasive species of the animal kingdom that has been classified as a regulated aquatic animal species by the commission.
                (54))) (48) "Resident" has the same meaning as defined in RCW 77.08.075.

                (((55))) (49) "Retail-eligible species" means commercially harvested salmon, crab, and sturgeon.

                (((56))) (50) "Saltwater" means those marine waters seaward of river mouths.

                (((57))) (51) "Seaweed" means marine aquatic plant species that are dependent upon the marine aquatic or tidal environment, and exist in either an attached or free floating form, and includes but is not limited to marine aquatic plants in the classes Chlorophyta, Phaeophyta, and Rhodophyta.

                (((58))) (52) "Senior" means a person seventy years old or older.

                (((59))) (53) "Shark fin" means a raw, dried, or otherwise processed detached fin or tail of a shark.

                (((60))) (54)(a) "Shark fin derivative product" means any product intended for use by humans or animals that is derived in whole or in part from shark fins or shark fin cartilage.

                (b) "Shark fin derivative product" does not include a drug approved by the United States food and drug administration and available by prescription only or medical device or vaccine approved by the United States food and drug administration.

                (((61))) (55) "Shellfish" means those species of marine and freshwater invertebrates that have been classified and that shall not be taken except as authorized by rule of the commission.  The term "shellfish" includes all stages of development and the bodily parts of shellfish species.

                (((62))) (56) "State waters" means all marine waters and fresh waters within ordinary high water lines and within the territorial boundaries of the state.

                (((63))) (57) "Taxidermist" means a person who, for commercial purposes, creates lifelike representations of fish and wildlife using fish and wildlife parts and various supporting structures.

                (((64))) (58) "To fish," "to harvest," and "to take," and their derivatives means an effort to kill, injure, harass, or catch a fish or shellfish.

                (((65))) (59) "To hunt" and its derivatives means an effort to kill, injure, capture, or harass a wild animal or wild bird.

                (((66))) (60) "To process" and its derivatives mean preparing or preserving fish, wildlife, or shellfish.

                (((67))) (61) "To trap" and its derivatives means a method of hunting using devices to capture wild animals or wild birds.

                (((68))) (62) "Trafficking" means offering, attempting to engage, or engaging in sale, barter, or purchase of fish, shellfish, wildlife, or deleterious exotic wildlife.

                (((69))) (63) "Unclaimed" means that no owner of the property has been identified or has requested, in writing, the release of the property to themselves nor has the owner of the property designated an individual to receive the property or paid the required postage to effect delivery of the property.

                (((70) "Unlisted aquatic animal species" means a nonnative animal species that has not been classified as a prohibited aquatic animal species, a regulated aquatic animal species, or an unregulated aquatic animal species by the commission.
                (71) "Unregulated aquatic animal species" means a nonnative animal species that has been classified as an unregulated aquatic animal species by the commission.
                (72))) (64) "Wholesale fish dealer" means a person who, acting for commercial purposes, takes possession or ownership of fish or shellfish and sells, barters, or exchanges or attempts to sell, barter, or exchange fish or shellfish that have been landed into the state of Washington or entered the state of Washington in interstate or foreign commerce.

                (((73))) (65) "Wild animals" means those species of the class Mammalia whose members exist in Washington in a wild state.  The term "wild animal" does not include feral domestic mammals or old world rats and mice of the family Muridae of the order Rodentia.

                (((74))) (66) "Wild birds" means those species of the class Aves whose members exist in Washington in a wild state.

                (((75))) (67) "Wildlife" means all species of the animal kingdom whose members exist in Washington in a wild state.  This includes but is not limited to mammals, birds, reptiles, amphibians, fish, and invertebrates.  The term "wildlife" does not include feral domestic mammals, old world rats and mice of the family Muridae of the order Rodentia, or those fish, shellfish, and marine invertebrates classified as food fish or shellfish by the director.  The term "wildlife" includes all stages of development and the bodily parts of wildlife members.

                (((76))) (68) "Wildlife meat cutter" means a person who packs, cuts, processes, or stores wildlife for consumption for another for commercial purposes.

                (((77))) (69) "Youth" means a person fifteen years old for fishing and under sixteen years old for hunting.

Sec. 302.  RCW 77.12.020 and 2002 c 281 s 3 are each amended to read as follows:

                (1) The director shall investigate the habits and distribution of the various species of wildlife native to or adaptable to the habitats of the state.  The commission shall determine whether a species should be managed by the department and, if so, classify it under this section.

                (2) The commission may classify by rule wild animals as game animals and game animals as fur-bearing animals.

                (3) The commission may classify by rule wild birds as game birds or predatory birds.  All wild birds not otherwise classified are protected wildlife.

                (4) In addition to those species listed in RCW 77.08.020, the commission may classify by rule as game fish other species of the class Osteichthyes that are commonly found in freshwater except those classified as food fish by the director.

                (5) The director may recommend to the commission that a species of wildlife should not be hunted or fished.  The commission may designate species of wildlife as protected.

                (6) If the director determines that a species of wildlife is seriously threatened with extinction in the state of Washington, the director may request its designation as an endangered species.  The commission may designate an endangered species.

                (7) If the director determines that a species of the animal kingdom, not native to Washington, is dangerous to the environment or wildlife of the state, the director may request its designation as deleterious exotic wildlife.  The commission may designate deleterious exotic wildlife.

                (8) ((Upon recommendation by the director, the commission may classify nonnative aquatic animal species according to the following categories:
                (a) Prohibited aquatic animal species:  These species are considered by the commission to have a high risk of becoming an invasive species and may not be possessed, imported, purchased, sold, propagated, transported, or released into state waters except as provided in RCW 77.15.253;
                (b) Regulated aquatic animal species:  These species are considered by the commission to have some beneficial use along with a moderate, but manageable risk of becoming an invasive species, and may not be released into state waters, except as provided in RCW 77.15.253.  The commission shall classify the following commercial aquaculture species as regulated aquatic animal species, and allow their release into state waters pursuant to rule of the commission:  Pacific oyster (Crassostrea gigas), kumamoto oyster (Crassostrea sikamea), European flat oyster (Ostrea edulis), eastern oyster (Crassostrea virginica), manila clam (Tapes philippinarum), blue mussel (Mytilus galloprovincialis), and suminoe oyster (Crassostrea ariankenisis);
                (c) Unregulated aquatic animal species:  These species are considered by the commission as having some beneficial use along with a low risk of becoming an invasive species, and are not subject to regulation under this title;
                (d) Unlisted aquatic animal species:  These species are not designated as a prohibited aquatic animal species, regulated aquatic animal species, or unregulated aquatic animal species by the commission, and may not be released into state waters.  Upon request, the commission may determine the appropriate category for an unlisted aquatic animal species and classify the species accordingly;
                (e) This subsection (8) does not apply to the transportation or release of nonnative aquatic animal species by ballast water or ballast water discharge.
                (9))) Upon recommendation by the director, the commission may develop a work plan to eradicate native aquatic species that threaten human health.  Priority shall be given to water bodies that the department of health has classified as representing a threat to human health based on the presence of a native aquatic species.

Sec. 303.  RCW 77.15.080 and 2012 c 176 s 9 are each amended to read as follows:

                (((1))) Based upon articulable facts that a person is engaged in fishing, harvesting, or hunting activities, fish and wildlife officers and ex officio fish and wildlife officers have the authority to temporarily stop the person and check for valid licenses, tags, permits, stamps, or catch record cards, and to inspect all fish, shellfish, seaweed, and wildlife in possession as well as the equipment being used to ensure compliance with the requirements of this title.  Fish and wildlife officers and ex officio fish and wildlife officers also may request that the person write his or her signature for comparison with the signature on his or her fishing, harvesting, or hunting license.  Failure to comply with the request is prima facie evidence that the person is not the person named on the license.  Fish and wildlife officers may require the person, if age sixteen or older, to exhibit a driver's license or other photo identification.

                (((2) Based upon articulable facts that a person is transporting a prohibited aquatic animal species or any aquatic plant, fish and wildlife officers and ex officio fish and wildlife officers have the authority to temporarily stop the person and inspect the watercraft to ensure that the watercraft and associated equipment are not transporting prohibited aquatic animal species or aquatic plants.))

Sec. 304.  RCW 77.15.290 and 2012 c 176 s 21 are each amended to read as follows:

                (1) A person is guilty of unlawful transportation of fish or wildlife in the second degree if the person:

                (a) Knowingly imports, moves within the state, or exports fish, shellfish, or wildlife in violation of any department rule governing the transportation or movement of fish, shellfish, or wildlife and the transportation does not involve big game, endangered fish or wildlife, deleterious exotic wildlife, or fish, shellfish, or wildlife having a value greater than two hundred fifty dollars; or

                (b) Possesses but fails to affix or notch a big game transport tag as required by department rule.

                (2) A person is guilty of unlawful transportation of fish or wildlife in the first degree if the person:

                (a) Knowingly imports, moves within the state, or exports fish, shellfish, or wildlife in violation of any department rule governing the transportation or movement of fish, shellfish, or wildlife and the transportation involves big game, endangered fish or wildlife, deleterious exotic wildlife, or fish, shellfish, or wildlife with a value of two hundred fifty dollars or more; or

                (b) Knowingly transports shellfish, shellstock, or equipment used in commercial culturing, taking, handling, or processing shellfish without a permit required by authority of this title.

                (3)(a) Unlawful transportation of fish or wildlife in the second degree is a misdemeanor.

                (b) Unlawful transportation of fish or wildlife in the first degree is a gross misdemeanor.

                (4) This section does not apply to((:  (a) Any person stopped at an aquatic)) invasive species ((check station who possesses a recreational or commercial watercraft that is contaminated with an aquatic invasive species if that person complies with all department directives for the proper decontamination of the watercraft and equipment; or (b) any person who has voluntarily submitted a recreational or commercial watercraft for inspection by the department or its designee and has received a receipt verifying that the watercraft has not been contaminated since its last use)).

Sec. 305.  RCW 43.06.010 and 1994 c 223 s 3 are each amended to read as follows:

                In addition to those prescribed by the Constitution, the governor may exercise the powers and perform the duties prescribed in this and the following sections:

                (1) The governor shall supervise the conduct of all executive and ministerial offices;

                (2) The governor shall see that all offices are filled, including as provided in RCW 42.12.070, and the duties thereof performed, or in default thereof, apply such remedy as the law allows; and if the remedy is imperfect, acquaint the legislature therewith at its next session;

                (3) The governor shall make the appointments and supply the vacancies mentioned in this title;

                (4) The governor is the sole official organ of communication between the government of this state and the government of any other state or territory, or of the United States;

                (5) Whenever any suit or legal proceeding is pending against this state, or which may affect the title of this state to any property, or which may result in any claim against the state, the governor may direct the attorney general to appear on behalf of the state, and report the same to the governor, or to any grand jury designated by the governor, or to the legislature when next in session;

                (6) The governor may require the attorney general or any prosecuting attorney to inquire into the affairs or management of any corporation existing under the laws of this state, or doing business in this state, and report the same to the governor, or to any grand jury designated by the governor, or to the legislature when next in session;

                (7) The governor may require the attorney general to aid any prosecuting attorney in the discharge of the prosecutor's duties;

                (8) The governor may offer rewards, not exceeding one thousand dollars in each case, payable out of the state treasury, for information leading to the apprehension of any person convicted of a felony who has escaped from a state correctional institution or for information leading to the arrest of any person who has committed or is charged with the commission of a felony;

                (9) The governor shall perform such duties respecting fugitives from justice as are prescribed by law;

                (10) The governor shall issue and transmit election proclamations as prescribed by law;

                (11) The governor may require any officer or board to make, upon demand, special reports to the governor, in writing;

                (12) The governor may, after finding that a public disorder, disaster, energy emergency, or riot exists within this state or any part thereof which affects life, health, property, or the public peace, proclaim a state of emergency in the area affected, and the powers granted the governor during a state of emergency shall be effective only within the area described in the proclamation;

                (13) The governor may, after finding that there exists within this state an imminent danger of infestation of plant pests as defined in RCW 17.24.007 or plant diseases which seriously endangers the agricultural or horticultural industries of the state of Washington, or which seriously threatens life, health, or economic well-being, order emergency measures to prevent or abate the infestation or disease situation, which measures, after thorough evaluation of all other alternatives, may include the aerial application of pesticides;

                (14) The governor, after finding that a prohibited level 1 or level 2 species as defined in chapter 77.-- RCW (the new chapter created in section 122 of this act) has been detected and after finding that the detected species seriously endangers or threatens the environment, economy, human health, or well-being of the state of Washington, may order emergency measures to prevent or abate the prohibited species, which measures, after thorough evaluation of all other alternatives, may include the surface or aerial application of pesticides;
                (15) On all compacts forwarded to the governor pursuant to RCW 9.46.360(6), the governor is authorized and empowered to execute on behalf of the state compacts with federally recognized Indian tribes in the state of Washington pursuant to the federal Indian Gaming Regulatory Act, 25 U.S.C. Sec. 2701 et seq., for conducting class III gaming, as defined in the Act, on Indian lands.

Sec. 306.  RCW 43.43.400 and 2011 c 171 s 8 are each amended to read as follows:

                (1) ((The definitions in this subsection apply throughout this section unless the context clearly requires otherwise:
                (a) "Aquatic invasive species" means any invasive, prohibited, regulated, unregulated, or unlisted aquatic animal or plant species as defined under RCW 77.08.010 [(3),] (28), (40), (44), (58), and (59), aquatic noxious weeds as defined under RCW 17.26.020(5)(c), and aquatic nuisance species as defined under RCW 77.60.130(1).
                (b) "Recreational and commercial watercraft" includes the boat, as well as equipment used to transport the boat, and any auxiliary equipment such as attached or detached outboard motors.
                (2))) The aquatic invasive species enforcement account is created in the state treasury.  Moneys directed to the account from RCW 82.49.030 and 88.02.640 must be deposited in the account.  Expenditures from the account may only be used as provided in this section.  Moneys in the account may be spent only after appropriation.

                (((3) Funds in the aquatic invasive species enforcement account may be appropriated to the Washington state patrol and the department of fish and wildlife to develop an aquatic invasive species enforcement program for recreational and commercial watercraft, which includes equipment used to transport the watercraft and auxiliary equipment such as attached or detached outboard motors.  Funds must be expended as follows:
                (a) By the Washington state patrol, to inspect recreational and commercial watercraft that are required to stop at port of entry weigh stations managed by the Washington state patrol.  The watercraft must be inspected for the presence of aquatic invasive species; and
                (b) By the department of fish and wildlife to:
                (i) Establish random check stations, to inspect recreational and commercial watercraft as provided for in RCW 77.12.879(3);
                (ii) Inspect or delegate inspection of recreational and commercial watercraft.  If the department conducts the inspection, there will be no cost to the person requesting the inspection;
                (iii) Provide training to all department employees that are deployed in the field to inspect recreational and commercial watercraft; and
                (iv) Provide an inspection receipt verifying that the watercraft is not contaminated after the watercraft has been inspected at a check station or has been inspected at the request of the owner of the recreational or commercial watercraft.  The inspection receipt is valid until the watercraft is used again.
                (4) The Washington state patrol and the department of fish and wildlife shall submit a biennial report to the appropriate legislative committees describing the actions taken to implement this section along with suggestions on how to better fulfill the intent of chapter 464, Laws of 2005.  The first report is due December 1, 2007.))

                (2) Expenditures from the account by the Washington state patrol may only be used to inspect for the presence of aquatic invasive species on aquatic conveyances that are required to stop at a Washington state patrol port of entry weigh station.
                (3) Expenditures from the account by the department of fish and wildlife may only be used to develop and implement an:  (a) Aquatic invasive species local management grant program; and (b) aquatic invasive species enforcement program including enforcement of chapter 77.-- RCW (the new chapter created in section 122 of this act), enforcement of aquatic invasive species provisions in chapter 77.15 RCW, and training Washington state patrol employees working at port of entry weigh stations on how to inspect aquatic conveyances for the presence of aquatic invasive species.
                (4) Unless the context clearly requires otherwise, the definitions in both RCW 77.08.010 and section 102 of this act apply throughout this section.

Sec. 307.  RCW 10.31.100 and 2013 2nd sp.s. c 35 s 22 are each amended to read as follows:

                A police officer having probable cause to believe that a person has committed or is committing a felony shall have the authority to arrest the person without a warrant.  A police officer may arrest a person without a warrant for committing a misdemeanor or gross misdemeanor only when the offense is committed in the presence of the officer, except as provided in subsections (1) through (11) of this section.

                (1) Any police officer having probable cause to believe that a person has committed or is committing a misdemeanor or gross misdemeanor, involving physical harm or threats of harm to any person or property or the unlawful taking of property or involving the use or possession of cannabis, or involving the acquisition, possession, or consumption of alcohol by a person under the age of twenty-one years under RCW 66.44.270, or involving criminal trespass under RCW 9A.52.070 or 9A.52.080, shall have the authority to arrest the person.

                (2) A police officer shall arrest and take into custody, pending release on bail, personal recognizance, or court order, a person without a warrant when the officer has probable cause to believe that:

                (a) An order has been issued of which the person has knowledge under RCW 26.44.063, or chapter 7.92, 7.90, 9A.46, 10.99, 26.09, 26.10, 26.26, 26.50, or 74.34 RCW restraining the person and the person has violated the terms of the order restraining the person from acts or threats of violence, or restraining the person from going onto the grounds of or entering a residence, workplace, school, or day care, or prohibiting the person from knowingly coming within, or knowingly remaining within, a specified distance of a location or, in the case of an order issued under RCW 26.44.063, imposing any other restrictions or conditions upon the person; or

                (b) A foreign protection order, as defined in RCW 26.52.010, has been issued of which the person under restraint has knowledge and the person under restraint has violated a provision of the foreign protection order prohibiting the person under restraint from contacting or communicating with another person, or excluding the person under restraint from a residence, workplace, school, or day care, or prohibiting the person from knowingly coming within, or knowingly remaining within, a specified distance of a location, or a violation of any provision for which the foreign protection order specifically indicates that a violation will be a crime; or

                (c) The person is sixteen years or older and within the preceding four hours has assaulted a family or household member as defined in RCW 10.99.020 and the officer believes:  (i) A felonious assault has occurred; (ii) an assault has occurred which has resulted in bodily injury to the victim, whether the injury is observable by the responding officer or not; or (iii) that any physical action has occurred which was intended to cause another person reasonably to fear imminent serious bodily injury or death.  Bodily injury means physical pain, illness, or an impairment of physical condition.  When the officer has probable cause to believe that family or household members have assaulted each other, the officer is not required to arrest both persons.  The officer shall arrest the person whom the officer believes to be the primary physical aggressor.  In making this determination, the officer shall make every reasonable effort to consider:  (i) The intent to protect victims of domestic violence under RCW 10.99.010; (ii) the comparative extent of injuries inflicted or serious threats creating fear of physical injury; and (iii) the history of domestic violence of each person involved, including whether the conduct was part of an ongoing pattern of abuse; or

                (d) The person has violated RCW 46.61.502 or 46.61.504 or an equivalent local ordinance and the police officer has knowledge that the person has a prior offense as defined in RCW 46.61.5055 within ten years.

                (3) Any police officer having probable cause to believe that a person has committed or is committing a violation of any of the following traffic laws shall have the authority to arrest the person:

                (a) RCW 46.52.010, relating to duty on striking an unattended car or other property;

                (b) RCW 46.52.020, relating to duty in case of injury to or death of a person or damage to an attended vehicle;

                (c) RCW 46.61.500 or 46.61.530, relating to reckless driving or racing of vehicles;

                (d) RCW 46.61.502 or 46.61.504, relating to persons under the influence of intoxicating liquor or drugs;

                (e) RCW 46.61.503 or 46.25.110, relating to persons having alcohol or THC in their system;

                (f) RCW 46.20.342, relating to driving a motor vehicle while operator's license is suspended or revoked;

                (g) RCW 46.61.5249, relating to operating a motor vehicle in a negligent manner.

                (4) A law enforcement officer investigating at the scene of a motor vehicle accident may arrest the driver of a motor vehicle involved in the accident if the officer has probable cause to believe that the driver has committed in connection with the accident a violation of any traffic law or regulation.

                (5)(a) A law enforcement officer investigating at the scene of a motor vessel accident may arrest the operator of a motor vessel involved in the accident if the officer has probable cause to believe that the operator has committed, in connection with the accident, a criminal violation of chapter 79A.60 RCW.

                (b) A law enforcement officer investigating at the scene of a motor vessel accident may issue a citation for an infraction to the operator of a motor vessel involved in the accident if the officer has probable cause to believe that the operator has committed, in connection with the accident, a violation of any boating safety law of chapter 79A.60 RCW.

                (6) Any police officer having probable cause to believe that a person has committed or is committing a violation of RCW 79A.60.040 shall have the authority to arrest the person.

                (7) An officer may act upon the request of a law enforcement officer in whose presence a traffic infraction was committed, to stop, detain, arrest, or issue a notice of traffic infraction to the driver who is believed to have committed the infraction.  The request by the witnessing officer shall give an officer the authority to take appropriate action under the laws of the state of Washington.

                (8) Any police officer having probable cause to believe that a person has committed or is committing any act of indecent exposure, as defined in RCW 9A.88.010, may arrest the person.

                (9) A police officer may arrest and take into custody, pending release on bail, personal recognizance, or court order, a person without a warrant when the officer has probable cause to believe that an order has been issued of which the person has knowledge under chapter 10.14 RCW and the person has violated the terms of that order.

                (10) Any police officer having probable cause to believe that a person has, within twenty-four hours of the alleged violation, committed a violation of RCW 9A.50.020 may arrest such person.

                (11) A police officer having probable cause to believe that a person illegally possesses or illegally has possessed a firearm or other dangerous weapon on private or public elementary or secondary school premises shall have the authority to arrest the person.

                For purposes of this subsection, the term "firearm" has the meaning defined in RCW 9.41.010 and the term "dangerous weapon" has the meaning defined in RCW 9.41.250 and 9.41.280(1) (c) through (e).

                (12) A law enforcement officer having probable cause to believe that a person has committed a violation under RCW 77.15.160(4) may issue a citation for an infraction to the person in connection with the violation.
                (13) A law enforcement officer having probable cause to believe that a person has committed a criminal violation under section 205 or 206 of this act may arrest the person in connection with the violation.
                (14) Except as specifically provided in subsections (2), (3), (4), and (7) of this section, nothing in this section extends or otherwise affects the powers of arrest prescribed in Title 46 RCW.

                (((13))) (15) No police officer may be held criminally or civilly liable for making an arrest pursuant to subsection (2) or (9) of this section if the police officer acts in good faith and without malice.

Sec. 308.  RCW 77.15.360 and 2007 c 337 s 3 are each amended to read as follows:

                (1) A person is guilty of unlawful interfering in department operations if the person prevents department employees from carrying out duties authorized by this title, including but not limited to interfering:

                (a) In the operation of department vehicles, vessels, or aircraft; ((or))

                (b) With the collection of samples of tissue, fluids, or other bodily parts of fish, wildlife, and shellfish under RCW 77.12.071; or
                (c) With actions authorized by a warrant issued under section 119 or 203 of this act.

                (2) Unlawful interfering in department operations is a gross misdemeanor.

Sec. 309.  RCW 82.49.030 and 2010 c 161 s 1045 are each amended to read as follows:

                (1) The excise tax imposed under this chapter is due and payable to the department of licensing, county auditor or other agent, or subagent appointed by the director of the department of licensing at the time of registration of a vessel.  The department of licensing shall not issue or renew a registration for a vessel until the tax is paid in full.

                (2) The excise tax collected under this chapter must be deposited ((in the general fund.)) as follows:
                (a) For fiscal year 2015, ninety-six percent to the general fund and the remaining four percent to be distributed as specified in subsection (3) of this section;
                (b) For fiscal year 2016, ninety-three percent to the general fund and the remaining seven percent to be distributed as specified in subsection (3) of this section; and
                (c) For fiscal year 2017 and each fiscal year thereafter, ninety percent to the general fund and the remaining ten percent to be distributed as specified in subsection (3) of this section.
                (3) The excise tax not deposited into the general fund in subsection (2) of this section must be distributed as follows:
                (a) Sixty percent must be deposited into the aquatic invasive species prevention account established under RCW 77.12.879; and
                (b) Forty percent must be deposited into the aquatic invasive species enforcement account established under RCW 43.43.400.

Sec. 310.  RCW 77.12.879 and 2013 c 307 s 1 are each amended to read as follows:

                (1) The aquatic invasive species prevention account is created in the state treasury.  ((Moneys directed to the account from RCW 88.02.640(3)(a)(i) must be deposited in the account.  Expenditures from the account may only be used as provided in this section.  Moneys in the account may be spent only after appropriation.
                (2) Funds in the aquatic invasive species prevention account may be appropriated to the department to develop an aquatic invasive species prevention program for recreational and commercial watercraft.  Funds must be expended as follows:
                (a) To inspect recreational and commercial watercraft;
                (b) To educate general law enforcement officers on how to enforce state laws relating to preventing the spread of aquatic invasive species;
                (c) To evaluate and survey the risk posed by recreational and commercial watercraft in spreading aquatic invasive species into Washington state waters;
                (d) To evaluate the risk posed by float planes in spreading aquatic invasive species into Washington state waters; and
                (e) To implement an aquatic invasive species early detection and rapid response plan.  The plan must address the treatment and immediate response to the introduction to Washington waters of aquatic invasive species.  Agency and public review of the plan must be conducted under chapter 43.21C RCW, the state environmental policy act.  If the implementation measures or actions would have a probable significant adverse environmental impact, a detailed statement under chapter 43.21C RCW must be prepared on the plan.
                (3) Funds in the aquatic invasive species enforcement account created in RCW 43.43.400 may be appropriated to the department and Washington state patrol to develop an aquatic invasive species enforcement program for recreational and commercial watercraft.
                (a) The department shall provide training to Washington state patrol employees working at port of entry weigh stations, and other local law enforcement employees, on how to inspect recreational and commercial watercraft for the presence of aquatic invasive species.
                (b) A person who enters Washington by road transporting any commercial or recreational watercraft that has been used outside of Washington must have in his or her possession documentation that the watercraft is free of aquatic invasive species.  The department must develop and maintain rules to implement this subsection (3)(b), including specifying allowable forms of documentation.
                (c) The department is authorized to require persons transporting recreational and commercial watercraft to stop at check stations.  Check stations must be plainly marked by signs, operated by at least one uniformed fish and wildlife officer, and operated in a safe manner.
                (d) Any person stopped at a check station who possesses a recreational or commercial watercraft that is contaminated with aquatic invasive species, must bear the expense for any necessary impoundment, transportation, cleaning, and decontamination of the watercraft. 
                (e) Any person stopped at a check station who possesses a recreational or commercial watercraft that is contaminated with aquatic invasive species, is exempt from the criminal penalties found in RCW 77.15.253 and 77.15.290, and forfeiture under RCW 77.15.070, if that person complies with all department directives for the proper decontamination of the watercraft.
                (4) The department shall submit a biennial report to the appropriate legislative committees describing the actions taken to implement this section along with suggestions on how to better fulfill the intent of chapter 464, Laws of 2005.)) All receipts directed to the account from RCW 82.49.030 and 88.02.640, as well as legislative appropriations, gifts, donations, fees, and penalties received by the department for aquatic invasive species management, must be deposited into the account.
                (2) Expenditures from the account may only be used to implement the provisions of chapter 77.-- RCW (the new chapter created in section 122 of this act).
                (3) Moneys in the account may be spent only after appropriation.

NEW SECTION.  Sec. 311.  The following acts or parts of acts are each repealed:

                (1) RCW 77.12.875 (Prohibited aquatic animal species‑-Infested state waters) and 2002 c 281 s 5;

                (2) RCW 77.12.878 (Infested waters‑-Rapid response plan) and 2002 c 281 s 6;

                (3) RCW 77.12.882 (Aquatic invasive species‑-Inspection of recreational and commercial watercraft‑-Rules‑-Signage) and 2007 c 350 s 4;

                (4) RCW 77.15.253 (Unlawful use of prohibited aquatic animal species‑-Penalty) and 2007 c 350 s 5 & 2002 c 281 s 4;

                (5) RCW 77.15.293 (Unlawfully avoiding aquatic invasive species check stations‑-Penalty) and 2007 c 350 s 7;

                (6) RCW 77.60.110 (Zebra mussels and European green crabs‑-Draft rules‑-Prevention of introduction and dispersal) and 1998 c 153 s 2; and

                (7) RCW 77.60.120 (Infested waters‑-List published) and 1998 c 153 s 3."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

Referred to Committee on Appropriations.

 

February 25, 20140)

SB 6047             Prime Sponsor, Senator Rolfes: Setting a maximum annual gross sales amount for cottage food operations.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Dunshee; Stanford and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 6079             Prime Sponsor, Senator Hatfield: Extending the dairy inspection program assessment expiration date.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 25, 20140)

SSB 6094           Prime Sponsor, Committee on Human Services & Corrections: Authorizing the use of jail data for research purposes in the public interest.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Carlyle; Christian; Manweller; Orwall; Robinson and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member and Kretz.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 6133             Prime Sponsor, Senator Braun: Concerning expiration dates related to real estate broker provisions.  Reported by Committee on Business & Financial Services

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Kirby, Chair; Ryu, Vice Chair; Parker, Ranking Minority Member; Vick, Assistant Ranking Minority Member; Blake; Fagan; Habib; Hawkins; Hudgins; Hunt, G.; Hurst; Kochmar; MacEwen; Santos and Stanford.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6145           Prime Sponsor, Committee on Governmental Operations: Declaring the Ostrea lurida the official oyster of the state of Washington.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The Ostrea lurida is the only oyster native to Washington state.

NEW SECTION.  Sec. 2.  A new section is added to chapter 1.20 RCW to read as follows:

                The Ostrea lurida is hereby designated the official oyster of the state of Washington.  This native oyster species plays an important role in the history and culture that surrounds shellfish in Washington state and along the west coast of the United States.  Some of the common and historic names used for this species are Native, Western, Shoalwater, and Olympia."

                Correct the title.

 

Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member; Carlyle; Christian; Kretz; Manweller; Orwall; Robinson and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6199           Prime Sponsor, Committee on Natural Resources & Parks: Addressing wildfires caused by incendiary devices.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 76.04.005 and 2007 c 480 s 12 are each amended to read as follows:

                As used in this chapter, the following terms have the meanings indicated unless the context clearly requires otherwise.

                (1) "Additional fire hazard" means a condition existing on any land in the state:

                (a) Covered wholly or in part by forest debris which is likely to further the spread of fire and thereby endanger life or property; or

                (b) When, due to the effects of disturbance agents, broken, down, dead, or dying trees exist on forest land in sufficient quantity to be likely to further the spread of fire within areas covered by a forest health hazard warning or order issued by the commissioner of public lands under RCW 76.06.180.  The term "additional fire hazard" does not include green trees or snags left standing in upland or riparian areas under the provisions of RCW 76.04.465 or chapter 76.09 RCW.

                (2) "Closed season" means the period between April 15th and October 15th, unless the department designates different dates because of prevailing fire weather conditions.

                (3) "Department" means the department of natural resources, or its authorized representatives, as defined in chapter 43.30 RCW.

                (4) "Department protected lands" means all lands subject to the forest protection assessment under RCW 76.04.610 or covered under contract or agreement pursuant to RCW 76.04.135 by the department.

                (5) "Disturbance agent" means those forces that damage or kill significant numbers of forest trees, such as insects, diseases, wind storms, ice storms, and fires.

                (6) "Emergency fire costs" means those costs incurred or approved by the department for emergency forest fire suppression, including the employment of personnel, rental of equipment, and purchase of supplies over and above costs regularly budgeted and provided for nonemergency fire expenses for the biennium in which the costs occur.

                (7) "Forest debris" includes forest slash, chips, and any other vegetative residue resulting from activities on forest land.

                (8) "Forest fire service" includes all wardens, rangers, and other persons employed especially for preventing or fighting forest fires.

                (9) "Forest land" means any unimproved lands which have enough trees, standing or down, or flammable material, to constitute in the judgment of the department, a fire menace to life or property.  Sagebrush and grass areas east of the summit of the Cascade mountains may be considered forest lands when such areas are adjacent to or intermingled with areas supporting tree growth.  Forest land, for protection purposes, does not include structures.

                (10) "Forest landowner," "owner of forest land," "landowner," or "owner" means the owner or the person in possession of any public or private forest land.

                (11) "Forest material" means forest slash, chips, timber, standing or down, or other vegetation.

                (12) "Landowner operation" means every activity, and supporting activities, of a forest landowner and the landowner's agents, employees, or independent contractors or permittees in the management and use of forest land subject to the forest protection assessment under RCW 76.04.610 for the primary benefit of the owner.  The term includes, but is not limited to, the growing and harvesting of forest products, the development of transportation systems, the utilization of minerals or other natural resources, and the clearing of land.  The term does not include recreational and/‌or residential activities not associated with these enumerated activities.

                (13) "Participating landowner" means an owner of forest land whose land is subject to the forest protection assessment under RCW 76.04.610.

                (14) "Slash" means organic forest debris such as tree tops, limbs, brush, and other dead flammable material remaining on forest land as a result of a landowner operation.

                (15) "Slash burning" means the planned and controlled burning of forest debris on forest lands by broadcast burning, underburning, pile burning, or other means, for the purposes of silviculture, hazard abatement, or reduction and prevention or elimination of a fire hazard.

                (16) "Suppression" means all activities involved in the containment and control of forest fires, including the patrolling thereof until such fires are extinguished or considered by the department to pose no further threat to life or property.

                (17) "Unimproved lands" means those lands that will support grass, brush and tree growth, or other flammable material when such lands are not cleared or cultivated and, in the opinion of the department, are a fire menace to life and property.

(18) "Exploding target" means a device that is designed or marketed to ignite or explode when struck by firearm ammunition or other projectiles.
                (19) "Incendiary ammunition" means ammunition that is designed to ignite or explode upon impact with or penetration of a target or designed to trace its course in the air with a trail of smoke, chemical incandescence, or fire.
                (20) "Sky lantern" means an unmanned self-contained luminary device that uses heated air produced by an open flame or produced by another source to become or remain airborne.

Sec. 2.  RCW 76.04.455 and 1986 c 100 s 29 are each amended to read as follows:

                (1)(a) Except as otherwise provided in this subsection, it is unlawful ((during the closed season)) for any person to ((throw away)), during the closed season:
                (i) Discard any lighted tobacco, cigars, cigarettes, matches, fireworks, charcoal, or other lighted material ((or to)), discharge any ((tracer or)) incendiary ammunition ((in)), release a sky lantern, or detonate an exploding target on or over any forest, brush, range, or grain areas((.
                (2) It is unlawful during the closed season for any individual to smoke)); or
                (ii) Smoke any flammable material when in forest or brush areas except on roads, cleared landings, gravel pits, or any similar area free of flammable material.

(b) The prohibitions contained in this subsection do not apply to the detonation of nonflammable exploding targets on any forest, brush, range, or grain areas if the person detonating the nonflammable exploding target:
                (i) Has lawful possession and control of the land in question; or
                (ii) Has prior written permission for the activity from the person who owns or has lawful possession and control of the land in question.
                (c) The prohibitions contained in this subsection do not apply to suppression actions authorized or conducted by the department under the authority of this chapter.
                (2)(a) Except as otherwise provided in this subsection, it is unlawful for any person to, during any time outside of the closed season, discharge any incendiary ammunition, release a sky lantern, or detonate an exploding target on or over any forest, brush, range, or grain areas.
                (b) The prohibitions contained in this subsection do not apply if the person conducting the otherwise prohibited action:
                (i) Has lawful possession and control of the land in question; or
                (ii) Has prior written permission for the activity from the person who owns or has lawful possession and control of the land in question.

                (3) Every conveyance operated through or above forest, range, brush, or grain areas ((shall)) must be equipped in each compartment with a suitable receptacle for the disposition of lighted tobacco, cigars, cigarettes, matches, or other flammable material.

                (4) Every person operating a public conveyance through or above forest, range, brush, or grain areas shall post a copy of this section in a conspicuous place within the smoking compartment of the conveyance; and every person operating a saw mill or a logging camp in any such areas shall post a copy of this section in a conspicuous place upon the ground or buildings of the milling or logging operation."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 24, 20140)

SB 6201             Prime Sponsor, Senator Hasegawa: Creating an optional life annuity benefit for plan 2 members of the law enforcement officers' and firefighters' retirement system.  Reported by Committee on Appropriations

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunter, Chair; Ormsby, Vice Chair; Chandler, Ranking Minority Member; Ross, Assistant Ranking Minority Member; Wilcox, Assistant Ranking Minority Member; Buys; Carlyle; Christian; Cody; Dahlquist; Dunshee; Fagan; Green; Haigh; Haler; Harris; Hudgins; Hunt, G.; Hunt, S.; Jinkins; Kagi; Lytton; Morrell; Parker; Pettigrew; Schmick; Seaquist; Springer; Sullivan; Taylor and Tharinger.

 

Passed to Committee on Rules for second reading.

 

February 24, 20140)

SSB 6226           Prime Sponsor, Committee on Commerce & Labor: Concerning sales by craft and general licensed distilleries of spirits for off-premise consumption and spirits samples for on-premise consumption.  Reported by Committee on Government Accountability & Oversight

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hurst, Chair; Wylie, Vice Chair; Condotta, Ranking Minority Member; Holy, Assistant Ranking Minority Member; Blake; Kirby; Moscoso; Shea and Vick.

 

Passed to Committee on Rules for second reading.

 

February 24, 20140)

SSB 6237           Prime Sponsor, Committee on Ways & Means: Concerning license issuance fees imposed on former contract liquor stores.  Reported by Committee on Government Accountability & Oversight

 

MAJORITY recommendation:  Do pass as amended.

 

                On page 5, after line 20, insert the following:

"NEW SECTION.  Sec. 2.  This act is necessary for the immediate preservation of the public peace, health, or safety, or support of the state government and its existing public institutions, and takes effect April 1, 2014."

                Correct the title.

 

Signed by Representatives Hurst, Chair; Wylie, Vice Chair; Condotta, Ranking Minority Member; Holy, Assistant Ranking Minority Member; Blake; Kirby; Moscoso; Shea and Vick.

 

Referred to Committee on Finance.

 

February 25, 20140)

ESSB 6272         Prime Sponsor, Committee on Commerce & Labor: Concerning manufacturer and new motor vehicle dealer franchise agreements.  Reported by Committee on Business & Financial Services

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Kirby, Chair; Ryu, Vice Chair; Parker, Ranking Minority Member; Vick, Assistant Ranking Minority Member; Blake; Fagan; Habib; Hudgins; Hurst; Kochmar; MacEwen; Santos and Stanford.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Hawkins and Hunt, G..

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6290           Prime Sponsor, Committee on Commerce & Labor: Regarding miniature hobby boilers.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Passed to Committee on Rules for second reading.

 

February 24, 20140)

SB 6321             Prime Sponsor, Senator Bailey: Removing the statutory provision that allows members of plan 3 of the public employees' retirement system, school employees' retirement system, and teachers' retirement system to select a new contribution rate option each year.  Reported by Committee on Appropriations

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunter, Chair; Ormsby, Vice Chair; Chandler, Ranking Minority Member; Ross, Assistant Ranking Minority Member; Wilcox, Assistant Ranking Minority Member; Buys; Carlyle; Christian; Cody; Dahlquist; Dunshee; Fagan; Green; Haigh; Haler; Harris; Hudgins; Hunt, G.; Hunt, S.; Jinkins; Kagi; Lytton; Morrell; Parker; Pettigrew; Schmick; Seaquist; Springer; Sullivan; Taylor and Tharinger.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 6358             Prime Sponsor, Senator Kohl-Welles: Requiring institutions of higher education to provide certain financial aid information to admitted and prospective students.  Reported by Committee on Higher Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Seaquist, Chair; Pollet, Vice Chair; Haler, Ranking Minority Member; Zeiger, Assistant Ranking Minority Member; Gregerson; Hansen; Hargrove; Johnson; Magendanz; Muri; Reykdal; Sawyer; Scott; Sells; Smith; Tarleton; Walkinshaw; Walsh and Wylie.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6362           Prime Sponsor, Committee on Higher Education: Creating efficiencies for institutions of higher education.  Reported by Committee on Higher Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Seaquist, Chair; Pollet, Vice Chair; Haler, Ranking Minority Member; Zeiger, Assistant Ranking Minority Member; Gregerson; Hansen; Hargrove; Johnson; Magendanz; Muri; Reykdal; Sawyer; Scott; Sells; Smith; Tarleton; Walkinshaw; Walsh and Wylie.

 

Referred to Committee on Capital Budget.

 

February 25, 20140)

SB 6415             Prime Sponsor, Senator Fain: Concerning consecutive sentences for driving under the influence or physical control of a vehicle under the influence of intoxicating liquor, marijuana, or any drug.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 25, 20140)

SSB 6446           Prime Sponsor, Committee on Natural Resources & Parks: Concerning payments in lieu of taxes on county game lands.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 77.12.203 and 2013 2nd sp.s. c 4 s 999 are each amended to read as follows:

                (1) Except as provided in subsection (((5))) (6) of this section, the state treasurer must, on behalf of the department and notwithstanding RCW 84.36.010 or other statutes to the contrary, ((the director shall pay)) distribute by April 30th of each year on game lands, regardless of acreage, in each county, if requested by an election under RCW 77.12.201, an amount in lieu of real property taxes equal to that amount paid on similar parcels of open space land taxable under chapter 84.34 RCW or the greater of seventy cents per acre per year or the amount paid in 1984 plus an additional amount for control of noxious weeds equal to that which would be paid if such lands were privately owned.  This amount ((shall)) may not be assessed or paid on department buildings, structures, facilities, game farms, fish hatcheries, water access sites, tidelands, or public fishing areas ((of less than one hundred acres)).

                (2) The department must provide all relevant information to the state treasurer for each county receiving an amount in lieu of real property taxes including but not limited to the amount of acres eligible, the open space rate to be applied, and the additional amount for control of noxious weeds.
                (3) "Game lands," as used in this section and RCW 77.12.201, means those tracts ((one hundred acres or larger)), regardless of acreage, owned in fee by the department and used for wildlife habitat and public recreational purposes.  All lands purchased for wildlife habitat, public access or recreation purposes with federal funds in the Snake River drainage basin ((shall be)) are considered game lands regardless of acreage.

                (((3))) (4) This section ((shall)) does not apply to lands transferred after April 23, 1990, to the department from other state agencies.

                (((4))) (5) The county ((shall)) must distribute the amount received under this section in lieu of real property taxes to all property taxing districts except the state in appropriate tax code areas the same way it would distribute local property taxes from private property.  The county ((shall)) must distribute the amount received under this section for weed control to the appropriate weed district.

                (((5))) (6) For the 2011-2013 and 2013-2015 fiscal biennia, the director ((shall)) must pay by April 30th of each year on game lands in each county, if requested by an election under RCW 77.12.201, an amount in lieu of real property taxes and ((shall)) must be distributed as follows:

 

County

Adams     1,909

Asotin     36,123

Chelan     24,757

Columbia 7,795

Ferry       6,781

Garfield   4,840

Grant       37,443

Kittitas    143,974

Klickitat  21,906

Lincoln    13,535

Okanogan                151,402

Pend Oreille            3,309

Yakima   126,225

 

 

These amounts ((shall)) may not be assessed or paid on department buildings, structures, facilities, game farms, fish hatcheries, water access sites, tidelands, or public fishing areas ((of less than one hundred acres)).

NEW SECTION.  Sec. 2.  This act takes effect July 1, 2015."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 24, 20140)

SB 6514             Prime Sponsor, Senator Kohl-Welles: Modifying the definition of qualifying farmers markets for the purposes of serving and sampling beer and wine.  Reported by Committee on Government Accountability & Oversight

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hurst, Chair; Wylie, Vice Chair; Condotta, Ranking Minority Member; Holy, Assistant Ranking Minority Member; Blake; Kirby; Moscoso; Shea and Vick.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 6522             Prime Sponsor, Senator Holmquist Newbry: Restricting the use of personal information gathered during the claims resolution structured settlement agreement process.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SCR 8409           Prime Sponsor, Senator Bailey: Approving the workforce training and education coordinating board's high skills high wages plan.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Passed to Committee on Rules for second reading.

 

2nd SUPPLEMENTAL REPORTS OF STANDING COMMITTEES

 

February 25, 20140)

2SSB 5064         Prime Sponsor, Committee on Human Services & Corrections: Concerning persons sentenced for offenses committed prior to reaching eighteen years of age.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 9.94A.510 and 2002 c 290 s 10 are each amended to read as follows:

 

 

                TABLE 1

 

                Sentencing Grid

 

SERIOUSNESS

 

LEVEL

 

OFFENDER SCORE

 

 

0

 

1

 

2

 

3

 

4

 

5

 

6

 

7

 

8

9 or

more

XVI

Life sentence without parole/death penalty for offenders at or over the age of eighteen.
For offenders under the age of eighteen, a term of twenty-five years to life.

XV

23y4m

24y4m

25y4m

26y4m

27y4m

28y4m

30y4m

32y10m

36y

40y

 

240-

250-

261-

271-

281-

291-

312-

338-

370-

411-

 

320

333

347

361

374

388

416

450

493

548

XIV

14y4m

15y4m

16y2m

17y

17y11m

18y9m

20y5m

22y2m

25y7m

29y

 

123-

134-

144-

154-

165-

175-

195-

216-

257-

298-

 

220

234

244

254

265

275

295

316

357

397

XIII

12y

13y

14y

15y

16y

17y

19y

21y

25y

29y

 

123-

134-

144-

154-

165-

175-

195-

216-

257-

298-

 

164

178

192

205

219

233

260

288

342

397

XII

9y

9y11m

10y9m

11y8m

12y6m

13y5m

15y9m

17y3m

20y3m

23y3m

 

93-

102-

111-

120-

129-

138-

162-

178-

209-

240-

 

123

136

147

160

171

184

216

236

277

318

XI

7y6m

8y4m

9y2m

9y11m

10y9m

11y7m

14y2m

15y5m

17y11m

20y5m

 

78-

86-

95-

102-

111-

120-

146-

159-

185-

210-

 

102

114

125

136

147

158

194

211

245

280

X

5y

5y6m

6y

6y6m

7y

7y6m

9y6m

10y6m

12y6m

14y6m

 

51-

57-

62-

67-

72-

77-

98-

108-

129-

149-

 

68

75

82

89

96

102

130

144

171

198

IX

3y

3y6m

4y

4y6m

5y

5y6m

7y6m

8y6m

10y6m

12y6m

 

31-

36-

41-

46-

51-

57-

77-

87-

108-

129-

 

41

48

54

61

68

75

102

116

144

171

VIII

2y

2y6m

3y

3y6m

4y

4y6m

6y6m

7y6m

8y6m

10y6m

 

21-

26-

31-

36-

41-

46-

67-

77-

87-

108-

 

27

34

41

48

54

61

89

102

116

144

VII

18m

2y

2y6m

3y

3y6m

4y

5y6m

6y6m

7y6m

8y6m

 

15-

21-

26-

31-

36-

41-

57-

67-

77-

87-

 

20

27

34

41

48

54

75

89

102

116

VI

13m

18m

2y

2y6m

3y

3y6m

4y6m

5y6m

6y6m

7y6m

 

12+-

15-

21-

26-

31-

36-

46-

57-

67-

77-

 

14 

20

27

34

41

48

61

75

89

102

V

9m

13m

15m

18m

2y2m

3y2m

4y

5y

6y

7y

 

6-

12+-

13-

15-

22-

33-

41-

51-

62-

72-

 

12

14

17

20

29

43

54

68

82

96

IV

6m

9m

13m

15m

18m

2y2m

3y2m

4y2m

5y2m

6y2m

 

3-

6-

12+-

13-

15-

22-

33-

43-

53-

63-

 

9

12

14

17

20

29

43

57

70

84

III

2m

5m

8m

11m

14m

20m

2y2m

3y2m

4y2m

5y

 

1-

3-

4-

9-

12+-

17-

22-

33-

43-

51-

 

3

8

12

12

16

22

29

43

57

68

II

 

4m

6m

8m

13m

16m

20m

2y2m

3y2m

4y2m

 

0-90

2-

3-

4-

12+-

14-

17-

22-

33-

43-

 

Days

6

9

12

14

18

22

29

43

57

I

 

 

3m

4m

5m

8m

13m

16m

20m

2y2m

 

0-60

0-90

2-

2-

3-

4-

12+-

14-

17-

22-

 

Days

Days

5

6

8

12

14 

18

22

29

 

 

Numbers in the first horizontal row of each seriousness category represent sentencing midpoints in years(y) and months(m).  Numbers in the second and third rows represent standard sentence ranges in months, or in days if so designated.  12+ equals one year and one day.

Sec. 2.  RCW 9.94A.540 and 2005 c 437 s 2 are each amended to read as follows:

                (1) Except to the extent provided in subsection (3) of this section, the following minimum terms of total confinement are mandatory and shall not be varied or modified under RCW 9.94A.535:

                (a) An offender convicted of the crime of murder in the first degree shall be sentenced to a term of total confinement not less than twenty years.

                (b) An offender convicted of the crime of assault in the first degree or assault of a child in the first degree where the offender used force or means likely to result in death or intended to kill the victim shall be sentenced to a term of total confinement not less than five years.

                (c) An offender convicted of the crime of rape in the first degree shall be sentenced to a term of total confinement not less than five years.

                (d) An offender convicted of the crime of sexually violent predator escape shall be sentenced to a minimum term of total confinement not less than sixty months.

(e) An offender convicted of the crime of aggravated first degree murder for a murder that was committed prior to the offender's eighteenth birthday shall be sentenced to a term of total confinement not less than twenty-five years.

                (2) During such minimum terms of total confinement, no offender subject to the provisions of this section is eligible for community custody, earned release time, furlough, home detention, partial confinement, work crew, work release, or any other form of early release authorized under RCW 9.94A.728, or any other form of authorized leave of absence from the correctional facility while not in the direct custody of a corrections officer.  The provisions of this subsection shall not apply:  (a) In the case of an offender in need of emergency medical treatment; (b) for the purpose of commitment to an inpatient treatment facility in the case of an offender convicted of the crime of rape in the first degree; or (c) for an extraordinary medical placement when authorized under RCW 9.94A.728(((4))) (3).

                (3)(a) Subsection (1)(a) through (d) of this section shall not be applied in sentencing of juveniles tried as adults pursuant to RCW 13.04.030(1)(e)(i).

                (b) This subsection (3) applies only to crimes committed on or after July 24, 2005.

Sec. 3.  RCW 9.94A.6332 and 2010 c 224 s 11 are each amended to read as follows:

                The procedure for imposing sanctions for violations of sentence conditions or requirements is as follows:

                (1) If the offender was sentenced under the drug offender sentencing alternative, any sanctions shall be imposed by the department or the court pursuant to RCW 9.94A.660.

                (2) If the offender was sentenced under the special sex offender sentencing alternative, any sanctions shall be imposed by the department or the court pursuant to RCW 9.94A.670.

                (3) If the offender was sentenced under the parenting sentencing alternative, any sanctions shall be imposed by the department or by the court pursuant to RCW 9.94A.655.

                (4) If a sex offender was sentenced pursuant to RCW 9.94A.507, any sanctions shall be imposed by the board pursuant to RCW 9.95.435.

                (5) If the offender was released pursuant to section 10 of this act, any sanctions shall be imposed by the board pursuant to RCW 9.95.435.
                (6) If the offender was sentenced pursuant to RCW 10.95.030(3) or section 11 of this act, any sanctions shall be imposed by the board pursuant to RCW 9.95.435.
                (7) In any other case, if the offender is being supervised by the department, any sanctions shall be imposed by the department pursuant to RCW 9.94A.737.  If a probationer is being supervised by the department pursuant to RCW 9.92.060, 9.95.204, or 9.95.210, upon receipt of a violation hearing report from the department, the court retains any authority that those statutes provide to respond to a probationer's violation of conditions.

                (((6))) (8) If the offender is not being supervised by the department, any sanctions shall be imposed by the court pursuant to RCW 9.94A.6333.

Sec. 4.  RCW 9.94A.729 and 2013 2nd sp.s. c 14 s 2 and 2013 c 266 s 1 are each reenacted and amended to read as follows:

                (1)(a) The term of the sentence of an offender committed to a correctional facility operated by the department may be reduced by earned release time in accordance with procedures that shall be developed and adopted by the correctional agency having jurisdiction in which the offender is confined.  The earned release time shall be for good behavior and good performance, as determined by the correctional agency having jurisdiction.  The correctional agency shall not credit the offender with earned release credits in advance of the offender actually earning the credits.

                (b) Any program established pursuant to this section shall allow an offender to earn early release credits for presentence incarceration.  If an offender is transferred from a county jail to the department, the administrator of a county jail facility shall certify to the department the amount of time spent in custody at the facility and the number of days of early release credits lost or not earned.  The department may approve a jail certification from a correctional agency that calculates early release time based on the actual amount of confinement time served by the offender before sentencing when an erroneous calculation of confinement time served by the offender before sentencing appears on the judgment and sentence.  The department must adjust an offender's rate of early release listed on the jail certification to be consistent with the rate applicable to offenders in the department's facilities.  However, the department is not authorized to adjust the number of presentence early release days that the jail has certified as lost or not earned.

                (2) An offender who has been convicted of a felony committed after July 23, 1995, that involves any applicable deadly weapon enhancements under RCW 9.94A.533 (3) or (4), or both, shall not receive any good time credits or earned release time for that portion of his or her sentence that results from any deadly weapon enhancements.

                (3) An offender may earn early release time as follows:

                (a) In the case of an offender sentenced pursuant to RCW 10.95.030(3) or section 11 of this act, the aggregate earned release time may not exceed ten percent of the sentence.
                (b) In the case of an offender convicted of a serious violent offense, or a sex offense that is a class A felony, committed on or after July 1, 1990, and before July 1, 2003, the aggregate earned release time may not exceed fifteen percent of the sentence.

                (((b))) (c) In the case of an offender convicted of a serious violent offense, or a sex offense that is a class A felony, committed on or after July 1, 2003, the aggregate earned release time may not exceed ten percent of the sentence.

                (((c))) (d) An offender is qualified to earn up to fifty percent of aggregate earned release time if he or she:

                (i) Is not classified as an offender who is at a high risk to reoffend as provided in subsection (4) of this section;

                (ii) Is not confined pursuant to a sentence for:

                (A) A sex offense;

                (B) A violent offense;

                (C) A crime against persons as defined in RCW 9.94A.411;

                (D) A felony that is domestic violence as defined in RCW 10.99.020;

                (E) A violation of RCW 9A.52.025 (residential burglary);

                (F) A violation of, or an attempt, solicitation, or conspiracy to violate, RCW 69.50.401 by manufacture or delivery or possession with intent to deliver methamphetamine; or

                (G) A violation of, or an attempt, solicitation, or conspiracy to violate, RCW 69.50.406 (delivery of a controlled substance to a minor);

                (iii) Has no prior conviction for the offenses listed in (((c))) (d)(ii) of this subsection;

                (iv) Participates in programming or activities as directed by the offender's individual reentry plan as provided under RCW 72.09.270 to the extent that such programming or activities are made available by the department; and

                (v) Has not committed a new felony after July 22, 2007, while under community custody.

                (((d))) (e) In no other case shall the aggregate earned release time exceed one-third of the total sentence.

                (4) The department shall perform a risk assessment of each offender who may qualify for earned early release under subsection (3)(((c))) (d) of this section utilizing the risk assessment tool recommended by the Washington state institute for public policy.  Subsection (3)(((c))) (d) of this section does not apply to offenders convicted after July 1, 2010.

                (5)(a) A person who is eligible for earned early release as provided in this section and who will be supervised by the department pursuant to RCW 9.94A.501 or 9.94A.5011, shall be transferred to community custody in lieu of earned release time;

                (b) The department shall, as a part of its program for release to the community in lieu of earned release, require the offender to propose a release plan that includes an approved residence and living arrangement.  All offenders with community custody terms eligible for release to community custody in lieu of earned release shall provide an approved residence and living arrangement prior to release to the community;

                (c) The department may deny transfer to community custody in lieu of earned release time if the department determines an offender's release plan, including proposed residence location and living arrangements, may violate the conditions of the sentence or conditions of supervision, place the offender at risk to violate the conditions of the sentence, place the offender at risk to reoffend, or present a risk to victim safety or community safety.  The department's authority under this section is independent of any court-ordered condition of sentence or statutory provision regarding conditions for community custody;

                (d) If the department is unable to approve the offender's release plan, the department may do one or more of the following:

                (i) Transfer an offender to partial confinement in lieu of earned early release for a period not to exceed three months.  The three months in partial confinement is in addition to that portion of the offender's term of confinement that may be served in partial confinement as provided in RCW 9.94A.728(5);

                (ii) Provide rental vouchers to the offender for a period not to exceed three months if rental assistance will result in an approved release plan.

                A voucher must be provided in conjunction with additional transition support programming or services that enable an offender to participate in services including, but not limited to, substance abuse treatment, mental health treatment, sex offender treatment, educational programming, or employment programming;

                (e) The department shall maintain a list of housing providers that meets the requirements of RCW 72.09.285.  If more than two voucher recipients will be residing per dwelling unit, as defined in RCW 59.18.030, rental vouchers for those recipients may only be paid to a housing provider on the department's list;

                (f) For each offender who is the recipient of a rental voucher, the department shall gather data as recommended by the Washington state institute for public policy in order to best demonstrate whether rental vouchers are effective in reducing recidivism.

                (6) An offender serving a term of confinement imposed under RCW 9.94A.670(5)(a) is not eligible for earned release credits under this section.

Sec. 5.  RCW 9.95.425 and 2009 c 28 s 30 are each amended to read as follows:

                (1) Whenever the board or a community corrections officer of this state has reason to believe an offender released under RCW 9.95.420,  10.95.030(3), or section 10 of this act has violated a condition of community custody or the laws of this state, any community corrections officer may arrest or cause the arrest and detention of the offender pending a determination by the board whether sanctions should be imposed or the offender's community custody should be revoked.  The community corrections officer shall report all facts and circumstances surrounding the alleged violation to the board, with recommendations.

                (2) If the board or the department causes the arrest or detention of an offender for a violation that does not amount to a new crime and the offender is arrested or detained by local law enforcement or in a local jail, the board or department, whichever caused the arrest or detention, shall be financially responsible for local costs.  Jail bed costs shall be allocated at the rate established under RCW 9.94A.740.

Sec. 6.  RCW 9.95.430 and 2001 2nd sp.s. c 12 s 308 are each amended to read as follows:

                Any offender released under RCW 9.95.420, 10.95.030(3), or section 10 of this act who is arrested and detained in physical custody by the authority of a community corrections officer, or upon the written order of the board, shall not be released from custody on bail or personal recognizance, except upon approval of the board and the issuance by the board of an order reinstating the offender's release on the same or modified conditions.  All chiefs of police, marshals of cities and towns, sheriffs of counties, and all police, prison, and peace officers and constables shall execute any such order in the same manner as any ordinary criminal process.

Sec. 7.  RCW 9.95.435 and 2007 c 363 s 3 are each amended to read as follows:

                (1) If an offender released by the board under RCW 9.95.420, 10.95.030(3), or section 10 of this act violates any condition or requirement of community custody, the board may transfer the offender to a more restrictive confinement status to serve up to the remaining portion of the sentence, less credit for any period actually spent in community custody or in detention awaiting disposition of an alleged violation and subject to the limitations of subsection (2) of this section.

                (2) Following the hearing specified in subsection (3) of this section, the board may impose sanctions such as work release, home detention with electronic monitoring, work crew, community restitution, inpatient treatment, daily reporting, curfew, educational or counseling sessions, supervision enhanced through electronic monitoring, or any other sanctions available in the community, or may suspend the release and sanction up to sixty days' confinement in a local correctional facility for each violation, or revoke the release to community custody whenever an offender released by the board under RCW 9.95.420, 10.95.030(3), or section 10 of this act violates any condition or requirement of community custody.

                (3) If an offender released by the board under RCW 9.95.420, 10.95.030(3), or section 10 of this act is accused of violating any condition or requirement of community custody, he or she is entitled to a hearing before the board or a designee of the board prior to the imposition of sanctions.  The hearing shall be considered as offender disciplinary proceedings and shall not be subject to chapter 34.05 RCW.  The board shall develop hearing procedures and a structure of graduated sanctions consistent with the hearing procedures and graduated sanctions developed pursuant to RCW 9.94A.737.  The board may suspend the offender's release to community custody and confine the offender in a correctional institution owned, operated by, or operated under contract with the state prior to the hearing unless the offender has been arrested and confined for a new criminal offense.

                (4) The hearing procedures required under subsection (3) of this section shall be developed by rule and include the following:

                (a) Hearings shall be conducted by members or designees of the board unless the board enters into an agreement with the department to use the hearing officers established under RCW 9.94A.737;

                (b) The board shall provide the offender with findings and conclusions which include the evidence relied upon, and the reasons the particular sanction was imposed.  The board shall notify the offender of the right to appeal the sanction and the right to file a personal restraint petition under court rules after the final decision of the board;

                (c) The hearing shall be held unless waived by the offender, and shall be electronically recorded.  For offenders not in total confinement, the hearing shall be held within thirty days of service of notice of the violation, but not less than twenty-four hours after notice of the violation.  For offenders in total confinement, the hearing shall be held within thirty days of service of notice of the violation, but not less than twenty-four hours after notice of the violation.  The board or its designee shall make a determination whether probable cause exists to believe the violation or violations occurred.  The determination shall be made within forty-eight hours of receipt of the allegation;

                (d) The offender shall have the right to:  (i) Be present at the hearing; (ii) have the assistance of a person qualified to assist the offender in the hearing, appointed by the presiding hearing officer if the offender has a language or communications barrier; (iii) testify or remain silent; (iv) call witnesses and present documentary evidence; (v) question witnesses who appear and testify; and (vi) be represented by counsel if revocation of the release to community custody upon a finding of violation is a probable sanction for the violation.  The board may not revoke the release to community custody of any offender who was not represented by counsel at the hearing, unless the offender has waived the right to counsel; and

                (e) The sanction shall take effect if affirmed by the presiding hearing officer.

                (5) Within seven days after the presiding hearing officer's decision, the offender may appeal the decision to the full board or to a panel of three reviewing examiners designated by the chair of the board or by the chair's designee.  The sanction shall be reversed or modified if a majority of the panel finds that the sanction was not reasonably related to any of the following:  (a) The crime of conviction; (b) the violation committed; (c) the offender's risk of reoffending; or (d) the safety of the community.

                (6) For purposes of this section, no finding of a violation of conditions may be based on unconfirmed or unconfirmable allegations.

Sec. 8.  RCW 9.95.440 and 2008 c 231 s 45 are each amended to read as follows:

                In the event the board suspends the release status of an offender released under RCW 9.95.420, 10.95.030(3), or section 10 of this act by reason of an alleged violation of a condition of release, or pending disposition of a new criminal charge, the board may nullify the suspension order and reinstate release under previous conditions or any new conditions the board determines advisable under RCW 9.94A.704.  Before the board may nullify a suspension order and reinstate release, it shall determine that the best interests of society and the offender shall be served by such reinstatement rather than return to confinement.

Sec. 9.  RCW 10.95.030 and 2010 c 94 s 3 are each amended to read as follows:

                (1) Except as provided in subsections (2) and (3) of this section, any person convicted of the crime of aggravated first degree murder shall be sentenced to life imprisonment without possibility of release or parole.  A person sentenced to life imprisonment under this section shall not have that sentence suspended, deferred, or commuted by any judicial officer and the indeterminate sentence review board or its successor may not parole such prisoner nor reduce the period of confinement in any manner whatsoever including but not limited to any sort of good‑time calculation.  The department of social and health services or its successor or any executive official may not permit such prisoner to participate in any sort of release or furlough program.

                (2) If, pursuant to a special sentencing proceeding held under RCW 10.95.050, the trier of fact finds that there are not sufficient mitigating circumstances to merit leniency, the sentence shall be death.  In no case, however, shall a person be sentenced to death if the person had an intellectual disability at the time the crime was committed, under the definition of intellectual disability set forth in (a) of this subsection.  A diagnosis of intellectual disability shall be documented by a licensed psychiatrist or licensed psychologist designated by the court, who is an expert in the diagnosis and evaluation of intellectual disabilities.  The defense must establish an intellectual disability by a preponderance of the evidence and the court must make a finding as to the existence of an intellectual disability.

                (a) "Intellectual disability" means the individual has:  (i) Significantly subaverage general intellectual functioning; (ii) existing concurrently with deficits in adaptive behavior; and (iii) both significantly subaverage general intellectual functioning and deficits in adaptive behavior were manifested during the developmental period.

                (b) "General intellectual functioning" means the results obtained by assessment with one or more of the individually administered general intelligence tests developed for the purpose of assessing intellectual functioning.

                (c) "Significantly subaverage general intellectual functioning" means intelligence quotient seventy or below.

                (d) "Adaptive behavior" means the effectiveness or degree with which individuals meet the standards of personal independence and social responsibility expected for his or her age.

                (e) "Developmental period" means the period of time between conception and the eighteenth birthday.

(3)(a)(i) Any person convicted of the crime of aggravated first degree murder for an offense committed prior to the person's sixteenth birthday shall be sentenced to a maximum term of life imprisonment and a minimum term of total confinement of twenty-five years.
                (ii) Any person convicted of the crime of aggravated first degree murder for an offense committed when the person is at least sixteen years old but less than eighteen years old shall be sentenced to a maximum term of life imprisonment and a minimum term of total confinement of no less than twenty-five years.  A minimum term of life may be imposed, in which case the person will be ineligible for parole or early release.
                (b) In setting a minimum term, the court must take into account mitigating factors that account for the diminished culpability of youth as provided in Miller v. Alabama, 132 S.Ct. 2455 (2012) including, but not limited to, the age of the individual, the youth's childhood and life experience, the degree of responsibility the youth was capable of exercising, and the youth's chances of becoming rehabilitated.
                (c) A person sentenced under this subsection shall serve the sentence in a facility or institution operated, or utilized under contract, by the state.  During the minimum term of total confinement, the person shall not be eligible for community custody, earned release time, furlough, home detention, partial confinement, work crew, work release, or any other form of early release authorized under RCW 9.94A.728, or any other form of authorized leave or absence from the correctional facility while not in the direct custody of a corrections officer.  The provisions of this subsection shall not apply:  (i) In the case of an offender in need of emergency medical treatment; or (ii) for an extraordinary medical placement when authorized under RCW 9.94A.728(3).
                (d) Any person sentenced pursuant to this subsection shall be subject to community custody under the supervision of the department of corrections and the authority of the indeterminate sentence review board.  As part of any sentence under this subsection, the court shall require the person to comply with any conditions imposed by the board.
                (e) No later than five years prior to the expiration of the person's minimum term, the department of corrections shall conduct an assessment of the offender and identify programming and services that would be appropriate to prepare the offender for return to the community.  To the extent possible, the department shall make programming available as identified by the assessment.
                (f) No later than one hundred eighty days prior to the expiration of the person's minimum term, the department of corrections shall conduct, and the offender shall participate in, an examination of the person, incorporating methodologies that are recognized by experts in the prediction of dangerousness, and including a prediction of the probability that the person will engage in future criminal behavior if released on conditions to be set by the board.  The board may consider a person's failure to participate in an evaluation under this subsection in determining whether to release the person.  The board shall order the person released, under such affirmative and other conditions as the board determines appropriate, unless the board determines by a preponderance of the evidence that, despite such conditions, it is more likely than not that the person will commit new criminal law violations if released.  If the board does not order the person released, the board shall set a new minimum term not to exceed five additional years.  The board shall give public safety considerations the highest priority when making all discretionary decisions regarding the ability for release and conditions of release.
                (g) In a hearing conducted under (f) of this subsection, the board shall provide opportunities for victims and survivors of victims of any crimes for which the offender has been convicted to present statements as set forth in RCW 7.69.032.  The procedures for victim and survivor of victim input shall be developed by rule.  To facilitate victim and survivor of victim involvement, county prosecutor's offices shall ensure that any victim impact statements and known contact information for victims of record and survivors of victims are forwarded as part of the judgment and sentence.
                (h) An offender released by the board is subject to the supervision of the department of corrections for a period of time to be determined by the board.  The department shall monitor the offender's compliance with conditions of community custody imposed by the court, department, or board, and promptly report any violations to the board.  Any violation of conditions of community custody established or modified by the board are subject to the provisions of RCW 9.95.425 through 9.95.440.

NEW SECTION.  Sec. 10.  A new section is added to chapter 9.94A RCW to read as follows:

                (1) Notwithstanding any other provision of this chapter, any person convicted of one or more crimes committed prior to the person's eighteenth birthday may petition the indeterminate sentence review board for early release after serving no less than twenty years of total confinement, provided the person has not been convicted for any crime committed subsequent to the person's eighteenth birthday, the person has not committed a major violation in the twelve months prior to filing the petition for early release, and the current sentence was not imposed under RCW 10.95.030 or 9.94A.507.

                (2) When an offender who will be eligible to petition under this section has served fifteen years, the department shall conduct an assessment of the offender and identify programming and services that would be appropriate to prepare the offender for return to the community.  To the extent possible, the department shall make programming available as identified by the assessment.

                (3) No later than one hundred eighty days from receipt of the petition for early release, the department shall conduct, and the offender shall participate in, an examination of the person, incorporating methodologies that are recognized by experts in the prediction of dangerousness, and including a prediction of the probability that the person will engage in future criminal behavior if released on conditions to be set by the board.  The board may consider a person's failure to participate in an evaluation under this subsection in determining whether to release the person.  The board shall order the person released under such affirmative and other conditions as the board determines appropriate, unless the board determines by a preponderance of the evidence that, despite such conditions, it is more likely than not that the person will commit new criminal law violations if released.  The board shall give public safety considerations the highest priority when making all discretionary decisions regarding the ability for release and conditions of release.

                (4) In a hearing conducted under subsection (3) of this section, the board shall provide opportunities for victims and survivors of victims of any crimes for which the offender has been convicted to present statements as set forth in RCW 7.69.032.  The procedures for victim and survivor of victim input shall be developed by rule.  To facilitate victim and survivor of victim involvement, county prosecutor's offices shall ensure that any victim impact statements and known contact information for victims of record and survivors of victims are forwarded as part of the judgment and sentence.

                (5) An offender released by the board is subject to the supervision of the department for a period of time to be determined by the board.  The department shall monitor the offender's compliance with conditions of community custody imposed by the court, department, or board, and promptly report any violations to the board.  Any violation of conditions of community custody established or modified by the board are subject to the provisions of RCW 9.95.425 through 9.95.440.

                (6) An offender whose petition for release is denied may file a new petition for release five years from the date of denial or at an earlier date as may be set by the board.

NEW SECTION.  Sec. 11.  A new section is added to chapter 10.95 RCW to read as follows:

                (1) A person, who was sentenced prior to June 1, 2014, to a term of life without the possibility of parole for an offense committed prior to their eighteenth birthday, shall be returned to the sentencing court or the sentencing court's successor for sentencing consistent with RCW 10.95.030.  Release and supervision of a person who receives a minimum term of less than life will be governed by RCW 10.95.030.

                (2) The court shall provide an opportunity for victims and survivors of victims of any crimes for which the offender has been convicted to present a statement personally or by representation.

                (3) The court's order setting a minimum term is subject to review to the same extent as a minimum term decision by the parole board before July 1, 1986.

                (4) A resentencing under this section shall not reopen the defendant's conviction to challenges that would otherwise be barred by RCW 10.73.090. 10.73.100, 10.73.140, or other procedural barriers.

NEW SECTION.  Sec. 12.  A new section is added to chapter 10.95 RCW to read as follows:

                Sections 1 through 9 of this act apply to all sentencing hearings conducted on or after June 1, 2014, regardless of the date of an offender's underlying offense.

NEW SECTION.  Sec. 13.  (1) The legislature shall convene a task force to examine juvenile sentencing reform, with the following voting members:

                (a) The president of the senate shall appoint one member from each of the two largest caucuses of the senate;

                (b) The speaker of the house of representatives shall appoint one member from each of the two largest caucuses in the house of representatives;

                (c) A representative from the governor's office;

                (d) The assistant secretary of the department of social and health services overseeing the juvenile justice and rehabilitation administration or his or her designee;

                (e) The secretary of the department of corrections or his or her designee;

                (f) A superior court judge from the superior court judges association family and juvenile law subcommittee, who is familiar with cases involving the transfer of youth to the adult criminal justice system and sentencing of youth in the adult criminal justice system;

                (g) A representative of the Washington association of prosecuting attorneys;

                (h) A representative of the Washington association of criminal defense lawyers or the Washington defender association;

                (i) A representative from the Washington coalition of crime victim advocates;

                (j) A representative from the juvenile court administrator's association;

                (k) A representative from the Washington association of sheriffs and police chiefs;

                (l) A representative from law enforcement who works with juveniles; and

                (m) A representative from the sentencing guidelines commission.

                (2) The task force shall choose two cochairs from among its legislative members.              

                (3) The task force shall undertake a thorough review of juvenile sentencing as it relates to the intersection of the adult and juvenile justice systems and make recommendations for reform that promote improved outcomes for youth, public safety, and taxpayer resources.  The review shall include, but is not limited to:

                (a) The process and circumstances for transferring a juvenile to adult jurisdiction, including discretionary and mandatory decline hearings and automatic transfer to adult jurisdiction;

                (b) Sentencing standards, term lengths, sentencing enhancements, and stacking provisions that apply once a juvenile is transferred to adult jurisdiction; and

                (c) The appropriate custody, treatment, and resources for declined youth who will complete their term of confinement prior to reaching age twenty-one.

                (4) Staff support for the task force must be provided by the senate committee services and the house of representatives office of program research.

                (5) Legislative members of the task force may be reimbursed for travel expenses in accordance with RCW 44.04.120.  Nonlegislative members, except those representing an employer or organization, are entitled to be reimbursed for travel expenses as provided in RCW 43.03.050 and 43.03.060.

                (6) The expenses of the task force shall be paid jointly by the senate and the house of representatives.  Task force expenditures are subject to approval by the senate facilities and operations committee and the house executive rules committee, or their successor committees.

                (7) The task force shall report its findings and recommendations to the governor and the appropriate committees of the legislature by December 1, 2014.

NEW SECTION.  Sec. 14.  Section 13 of this act expires June 1, 2015.

NEW SECTION.  Sec. 15.  If any provision of this act or its application to any person or circumstance is held invalid, the remainder of the act or the application of the provision to other persons or circumstances is not affected.

NEW SECTION.  Sec. 16.  This act is necessary for the immediate preservation of the public peace, health, or safety, or support of the state government and its existing public institutions, and takes effect June 1, 2014."

                Correct the title.

 

Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 26, 20140)

ESB 5097           Prime Sponsor, Senator Becker: Allowing spouses to combine volunteer hours for purposes of receiving a complimentary discover pass.  Reported by Committee on Environment

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  (1) During the 2015 and 2016 calendar years only, the state parks and recreation commission, the department of natural resources, and the department of fish and wildlife must, for the purposes of implementing RCW 79A.80.020(6), allow married spouses to combine their annual collective volunteer hours served on agency-sanctioned projects on vouchers presented in exchange for a complimentary discover pass, as long as the combined volunteer hours served meets or exceeds the twenty-four hour threshold provided in RCW 79A.80.020(6).  Married spouses meeting or exceeding this threshold are entitled to one complimentary discover pass if submitting a combined voucher.

                (2) This section applies to married spouses recognized under chapter 26.04 RCW.

                (3) The state parks and recreation commission, the department of natural resources, and the department of fish and wildlife must jointly report to the legislature, consistent with RCW 43.01.036, relevant information related to the implementation of this act.  This information must include, at a minimum, the number of complimentary discover passes issued under combined vouchers, an estimate of lost revenue to the recreation access pass account, and a recommendation as to whether a policy to allow married spouses to combine volunteer hours should be extended or modified.

                (4) This section expires June 30, 2017."

 

Signed by Representatives Fitzgibbon, Chair; Senn, Vice Chair; Short, Ranking Minority Member; Pike, Assistant Ranking Minority Member; Farrell; Fey; Harris; Kagi; Morris; Nealey; Overstreet and Tharinger.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 5141             Prime Sponsor, Senator King: Allowing motorcycles to stop and proceed through traffic control signals under certain conditions.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  A new section is added to chapter 46.61 RCW to read as follows:

                Notwithstanding any provision of law to the contrary, the operator of a street legal motorcycle approaching an intersection, including a left turn intersection, that is controlled by a triggered traffic control signal using a vehicle detection device that is inoperative due to the size of the street legal motorcycle shall come to a full and complete stop at the intersection.  If the traffic control signal, including the left turn signal, as appropriate, fails to begin a change in signal phase after ninety seconds, the operator may, after exercising due care, proceed directly through the intersection or proceed to turn left, as appropriate.  It is not a defense to a violation of RCW 46.61.050 that the driver of a motorcycle proceeded under the belief that a traffic control signal used a vehicle detection device or was inoperative due to the size of the motorcycle when the signal did not use a vehicle detection device or that any such device was not in fact inoperative due to the size of the motorcycle."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 2.  A new section is added to chapter 46.61 RCW to read as follows:

                (1) Notwithstanding any provision of law to the contrary, the operator of a street legal motorcycle approaching an intersection, including a left turn intersection, that is controlled by a triggered traffic control signal using a vehicle detection device that is inoperative due to the size of the street legal motorcycle shall come to a full and complete stop at the intersection.  If the traffic control signal, including the left turn signal, as appropriate, fails to operate after the lesser of either ninety seconds or one cycle of the traffic signal, the operator may, after exercising due care, proceed directly through the intersection or proceed to turn left, as appropriate.  It is not a defense to a violation of RCW 46.61.050 that the driver of a motorcycle proceeded under the belief that a traffic control signal used a vehicle detection device or was inoperative due to the size of the motorcycle when the signal did not use a vehicle detection device or that any such device was not in fact inoperative due to the size of the motorcycle.

                (2) By October 31, 2015, the Washington traffic safety commission, with input from the Washington state patrol and local law enforcement, shall submit a report to the legislature regarding the implementation of this act.  This report must describe the act's effectiveness in helping motorcyclists, note any increase or decrease in the frequency of traffic accidents as a result of this act, summarize any issues related to ticketing or automated traffic safety cameras, explore whether all motor vehicles and bicycles should be given the same ability to proceed through traffic signals, and provide appropriate recommendations.

                (3) This section expires August 1, 2016."

                Correct the title.

 

Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Overstreet, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Habib; Hawkins; Johnson; Klippert; Kochmar; Moeller; Morris; Muri; Riccelli; Rodne; Ryu; Sells; Shea; Takko; Walkinshaw; Young and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Freeman; Hayes; Ortiz-Self; Pike and Tarleton.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESB 5514           Prime Sponsor, Senator Roach: Concerning utility rates and charges for vacant mobile home lots in manufactured housing communities. (REVISED FOR ENGROSSED: Concerning utility rates and charges for vacant lots in manufactured housing communities. )  Reported by Committee on Local Government

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 35.23.535 and 1995 c 301 s 37 are each amended to read as follows:

                No taxes shall be imposed for maintenance and operating charges of city owned water, light, power, or heating works or systems.

                Rates shall be fixed by ordinance for supplying water, light, power, or heat for commercial, domestic, or irrigation purposes sufficient to pay for all operating and maintenance charges.  No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually water, light, power, or heat services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.  If the rates in force produce a greater amount than is necessary to meet operating and maintenance charges, the rates may be reduced or the excess income may be transferred to the city's current expense fund.

                Complete separate accounts for municipal utilities must be kept under the system and on forms prescribed by the state auditor.

                The term "maintenance and operating charges," as used in this section includes all necessary repairs, replacement, interest on any debts incurred in acquiring, constructing, repairing and operating plants and departments and all depreciation charges.  This term shall also include an annual charge equal to four percent on the cost of the plant or system, as determined by the state auditor to be paid into the current expense fund, except that where utility bonds have been or may hereafter be issued and are unpaid no payment shall be required into the current expense fund until such bonds are paid.

Sec. 2.  RCW 35.58.220 and 1999 c 153 s 34 are each amended to read as follows:

(1) If a metropolitan municipal corporation shall be authorized to perform the function of metropolitan water supply, it shall have the following powers in addition to the general powers granted by this chapter:

                (((1))) (a) To prepare a comprehensive plan for the development of sources of water supply, trunk supply mains and water treatment and storage facilities for the metropolitan area.

                (((2))) (b) To acquire by purchase, condemnation, gift or grant and to lease, construct, add to, improve, replace, repair, maintain, operate and regulate the use of metropolitan facilities for water supply within or without the metropolitan area, including buildings, structures, water sheds, wells, springs, dams, settling basins, intakes, treatment plants, trunk supply mains and pumping stations, together with all lands, property, equipment and accessories necessary to enable the metropolitan municipal corporation to obtain and develop sources of water supply, treat and store water and deliver water through trunk supply mains.  Water supply facilities which are owned by a city or special district may be acquired or used by the metropolitan municipal corporation only with the consent of the legislative body of the city or special district owning such facilities.  Cities and special districts are hereby authorized to convey or lease such facilities to metropolitan municipal corporations or to contract for their joint use on such terms as may be fixed by agreement between the legislative body of such city or special district and the metropolitan council, without submitting the matter to the voters of such city or special district.

                (((3))) (c) To fix rates and charges for water supplied by the metropolitan municipal corporation.

                (((4))) (d) To acquire by purchase, condemnation, gift or grant and to lease, construct, add to, improve, replace, repair, maintain, operate and regulate the use of facilities for the local distribution of water in portions of the metropolitan area not contained within any city, or water-sewer district that operates a water system, and, with the consent of the legislative body of any city or the water-sewer district, to exercise such powers within such city or water-sewer district and for such purpose to have all the powers conferred by law upon such city or water-sewer district with respect to such local distribution facilities.  All costs of such local distribution facilities shall be paid for by the area served thereby.

(2) No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually water services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.

Sec. 3.  RCW 35.67.020 and 2003 c 394 s 1 are each amended to read as follows:

                (1) Every city and town may construct, condemn and purchase, acquire, add to, maintain, conduct, and operate systems of sewerage and systems and plants for refuse collection and disposal together with additions, extensions, and betterments thereto, within and without its limits.  Every city and town has full jurisdiction and authority to manage, regulate, and control them and, except as provided in subsection (3) of this section, to fix, alter, regulate, and control the rates and charges for their use.

                (2) Subject to subsection (3) of this section, the rates charged under this section must be uniform for the same class of customers or service and facilities furnished.  In classifying customers served or service and facilities furnished by such system of sewerage, the city or town legislative body may in its discretion consider any or all of the following factors:

                (a) The difference in cost of service and facilities to the various customers;

                (b) The location of the various customers within and without the city or town;

                (c) The difference in cost of maintenance, operation, repair, and replacement of the various parts of the system;

                (d) The different character of the service and facilities furnished various customers;

                (e) The quantity and quality of the sewage delivered and the time of its delivery;

                (f) The achievement of water conservation goals and the discouragement of wasteful water use practices;

                (g) Capital contributions made to the system, including but not limited to, assessments;

                (h) The nonprofit public benefit status, as defined in RCW 24.03.490, of the land user; and

                (i) Any other matters which present a reasonable difference as a ground for distinction.

                (3)(a) The rate a city or town may charge under this section for storm or surface water sewer systems or the portion of the rate allocable to the storm or surface water sewer system of combined sanitary sewage and storm or surface water sewer systems shall be reduced by a minimum of ten percent for any new or remodeled commercial building that utilizes a permissive rainwater harvesting system.  Rainwater harvesting systems shall be properly sized to utilize the available roof surface of the building.  The jurisdiction shall consider rate reductions in excess of ten percent dependent upon the amount of rainwater harvested.

(b) No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually storm or surface water sewer system or sanitary sewage system services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.

                (4) Rates or charges for on-site inspection and maintenance services may not be imposed under this chapter on the development, construction, or reconstruction of property.

                (5) A city or town may provide assistance to aid low-income persons in connection with services provided under this chapter.

                (6) Under this chapter, after July 1, 1998, any requirements for pumping the septic tank of an on-site sewage system should be based, among other things, on actual measurement of accumulation of sludge and scum by a trained inspector, trained owner's agent, or trained owner.  Training must occur in a program approved by the state board of health or by a local health officer.

                (7) Before adopting on-site inspection and maintenance utility services, or incorporating residences into an on-site inspection and maintenance or sewer utility under this chapter, notification must be provided, prior to the applicable public hearing, to all residences within the proposed service area that have on-site systems permitted by the local health officer.  The notice must clearly state that the residence is within the proposed service area and must provide information on estimated rates or charges that may be imposed for the service.

                (8) A city or town shall not provide on-site sewage system inspection, pumping services, or other maintenance or repair services under this section using city or town employees unless the on-site system is connected by a publicly owned collection system to the city or town's sewerage system, and the on-site system represents the first step in the sewage disposal process.  Nothing in this section shall affect the authority of state or local health officers to carry out their responsibilities under any other applicable law.

Sec. 4.  RCW 35.92.010 and 2002 c 102 s 2 are each amended to read as follows:

                A city or town may construct, condemn and purchase, purchase, acquire, add to, alter, maintain and operate waterworks, including fire hydrants as an integral utility service incorporated within general rates, within or without its limits, for the purpose of furnishing the city and its inhabitants, and any other persons, with an ample supply of water for all purposes, public and private, including water power and other power derived therefrom, with full power to regulate and control the use, distribution, and price thereof:  PROVIDED, That the rates charged must be uniform for the same class of customers or service.  Such waterworks may include facilities for the generation of electricity as a by-product and such electricity may be used by the city or town or sold to an entity authorized by law to distribute electricity.  Such electricity is a by-product when the electrical generation is subordinate to the primary purpose of water supply.

                In classifying customers served or service furnished, the city or town governing body may in its discretion consider any or all of the following factors:  The difference in cost of service to the various customers; location of the various customers within and without the city or town; the difference in cost of maintenance, operation, repair, and replacement of the various parts of the system; the different character of the service furnished various customers; the quantity and quality of the water furnished; the time of its use; the achievement of water conservation goals and the discouragement of wasteful water use practices; capital contributions made to the system including, but not limited to, assessments; and any other matters which present a reasonable difference as a ground for distinction.  No rate shall be charged that is less than the cost of the water and service to the class of customers served.  No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually water services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.

                For such purposes any city or town may take, condemn and purchase, purchase, acquire, and retain water from any public or navigable lake or watercourse, surface or ground, and, by means of aqueducts or pipe lines, conduct it to the city or town; and it may erect and build dams or other works across or at the outlet of any lake or watercourse in this state for the purpose of storing and retaining water therein up to and above high water mark; and for all the purposes of erecting such aqueducts, pipe lines, dams, or waterworks or other necessary structures in storing and retaining water, or for any of the purposes provided for by this chapter, the city or town may occupy and use the beds and shores up to the high water mark of any such watercourse or lake, and acquire the right by purchase, or by condemnation and purchase, or otherwise, to any water, water rights, easements or privileges named in this chapter, or necessary for any of said purposes, and the city or town may acquire by purchase or condemnation and purchase any properties or privileges necessary to be had to protect its water supply from pollution.  Should private property be necessary for any such purposes or for storing water above high water mark, the city or town may condemn and purchase, or purchase and acquire such private property.  For the purposes of waterworks which include facilities for the generation of electricity as a by-product, nothing in this section may be construed to authorize a city or town that does not own or operate an electric utility system to condemn electric generating, transmission, or distribution rights or facilities of entities authorized by law to distribute electricity, or to acquire such rights or facilities without the consent of the owner.

Sec. 5.  RCW 35.92.020 and 2003 c 394 s 2 are each amended to read as follows:

                (1) A city or town may construct, condemn and purchase, purchase, acquire, add to, alter, maintain, and operate systems, plants, sites, or other facilities of sewerage as defined in RCW 35.67.010, or solid waste handling as defined by RCW 70.95.030.  A city or town shall have full authority to manage, regulate, operate, control, and, except as provided in subsection (3) of this section, to fix the price of service and facilities of those systems, plants, sites, or other facilities within and without the limits of the city or town.

                (2) Subject to subsection (3) of this section, the rates charged shall be uniform for the same class of customers or service and facilities.  In classifying customers served or service and facilities furnished by a system or systems of sewerage, the legislative authority of the city or town may in its discretion consider any or all of the following factors:

                (a) The difference in cost of service and facilities to customers;

                (b) The location of customers within and without the city or town;

                (c) The difference in cost of maintenance, operation, repair, and replacement of the parts of the system;

                (d) The different character of the service and facilities furnished to customers;

                (e) The quantity and quality of the sewage delivered and the time of its delivery;

                (f) Capital contributions made to the systems, plants, sites, or other facilities, including but not limited to, assessments;

                (g) The nonprofit public benefit status, as defined in RCW 24.03.490, of the land user; and

                (h) Any other factors that present a reasonable difference as a ground for distinction.

                (3)(a) The rate a city or town may charge under this section for storm or surface water sewer systems or the portion of the rate allocable to the storm or surface water sewer system of combined sanitary sewage and storm or surface water sewer systems shall be reduced by a minimum of ten percent for any new or remodeled commercial building that utilizes a permissive rainwater harvesting system.  Rainwater harvesting systems shall be properly sized to utilize the available roof surface of the building.  The jurisdiction shall consider rate reductions in excess of ten percent dependent upon the amount of rainwater harvested.

(b) No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually storm or surface water sewer system or sanitary sewage system services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.

                (4) Rates or charges for on-site inspection and maintenance services may not be imposed under this chapter on the development, construction, or reconstruction of property.

                (5) A city or town may provide assistance to aid low-income persons in connection with services provided under this chapter.

                (6) Under this chapter, after July 1, 1998, any requirements for pumping the septic tank of an on-site sewage system should be based, among other things, on actual measurement of accumulation of sludge and scum by a trained inspector, trained owner's agent, or trained owner.  Training must occur in a program approved by the state board of health or by a local health officer.

                (7) Before adopting on-site inspection and maintenance utility services, or incorporating residences into an on-site inspection and maintenance or sewer utility under this chapter, notification must be provided, prior to the applicable public hearing, to all residences within the proposed service area that have on-site systems permitted by the local health officer.  The notice must clearly state that the residence is within the proposed service area and must provide information on estimated rates or charges that may be imposed for the service.

                (8) A city or town shall not provide on-site sewage system inspection, pumping services, or other maintenance or repair services under this section using city or town employees unless the on-site system is connected by a publicly owned collection system to the city or town's sewerage system, and the on-site system represents the first step in the sewage disposal process.  Nothing in this section shall affect the authority of state or local health officers to carry out their responsibilities under any other applicable law.

Sec. 6.  RCW 36.89.080 and 2003 c 394 s 3 are each amended to read as follows:

                (1) Subject to subsections (2) and (3) of this section, any county legislative authority may provide by resolution for revenues by fixing rates and charges for the furnishing of service to those served or receiving benefits or to be served or to receive benefits from any storm water control facility or contributing to an increase of surface water runoff.  In fixing rates and charges, the county legislative authority may in its discretion consider:

                (a) Services furnished or to be furnished;

                (b) Benefits received or to be received;

                (c) The character and use of land or its water runoff characteristics;

                (d) The nonprofit public benefit status, as defined in RCW 24.03.490, of the land user;

                (e) Income level of persons served or provided benefits under this chapter, including senior citizens and ((disabled)) persons with disabilities; or

                (f) Any other matters which present a reasonable difference as a ground for distinction.

                (2) The rate a county may charge under this section for storm water control facilities shall be reduced by a minimum of ten percent for any new or remodeled commercial building that utilizes a permissive rainwater harvesting system.  Rainwater harvesting systems shall be properly sized to utilize the available roof surface of the building.  The jurisdiction shall consider rate reductions in excess of ten percent dependent upon the amount of rainwater harvested.

                (3) Rates and charges authorized under this section may not be imposed on lands taxed as forest land under chapter 84.33 RCW or as timber land under chapter 84.34 RCW.

                (4) No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually storm water control facility services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.
                (5) The service charges and rates collected shall be deposited in a special fund or funds in the county treasury to be used only for the purpose of paying all or any part of the cost and expense of maintaining and operating storm water control facilities, all or any part of the cost and expense of planning, designing, establishing, acquiring, developing, constructing and improving any of such facilities, or to pay or secure the payment of all or any portion of any issue of general obligation or revenue bonds issued for such purpose.

Sec. 7.  RCW 36.94.140 and 2005 c 324 s 2 are each amended to read as follows:

                (1) Every county, in the operation of a system of sewerage and/or water, shall have full jurisdiction and authority to manage, regulate, and control it.  Except as provided in subsection (3) of this section, every county shall have full jurisdiction and authority to fix, alter, regulate, and control the rates and charges for the service and facilities to those to whom such service and facilities are available, and to levy charges for connection to the system.

                (2) The rates for availability of service and facilities, and connection charges so charged must be uniform for the same class of customers or service and facility.  In classifying customers served, service furnished or made available by such system of sewerage and/or water, or the connection charges, the county legislative authority may consider any or all of the following factors:

                (a) The difference in cost of service to the various customers within or without the area;

                (b) The difference in cost of maintenance, operation, repair and replacement of the various parts of the systems;

                (c) The different character of the service and facilities furnished various customers;

                (d) The quantity and quality of the sewage and/or water delivered and the time of its delivery;

                (e) Capital contributions made to the system or systems, including, but not limited to, assessments;

                (f) The cost of acquiring the system or portions of the system in making system improvements necessary for the public health and safety;

                (g) The nonprofit public benefit status, as defined in RCW 24.03.490, of the land user; and

                (h) Any other matters which present a reasonable difference as a ground for distinction.

                (3)(a) The rate a county may charge under this section for storm or surface water sewer systems or the portion of the rate allocable to the storm or surface water sewer system of combined sanitary sewage and storm or surface water sewer systems shall be reduced by a minimum of ten percent for any new or remodeled commercial building that utilizes a permissive rainwater harvesting system.  Rainwater harvesting systems shall be properly sized to utilize the available roof surface of the building.  The jurisdiction shall consider rate reductions in excess of ten percent dependent upon the amount of rainwater harvested.

(b) No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually storm or surface water sewer system or sanitary sewage system services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.

                (4) A county may provide assistance to aid low-income persons in connection with services provided under this chapter.

                (5) The service charges and rates shall produce revenues sufficient to take care of the costs of maintenance and operation, revenue bond and warrant interest and principal amortization requirements, and all other charges necessary for the efficient and proper operation of the system.

                (6) A connection charge under this section for service to a manufactured housing community, as defined in RCW 59.20.030, applies to an individual lot within that community only if the system of water or sewerage provides and maintains the connection.

Sec. 8.  RCW 54.24.080 and 1995 c 140 s 3 are each amended to read as follows:

                (1) The commission of each district which shall have revenue obligations outstanding shall have the power and shall be required to establish, maintain, and collect rates or charges for electric energy and water and other services, facilities, and commodities sold, furnished, or supplied by the district.  The rates and charges shall be fair and, except as authorized by RCW 74.38.070 and by subsections (2) and (3) of this section, nondiscriminatory, and shall be adequate to provide revenues sufficient for the payment of the principal of and interest on such revenue obligations for which the payment has not otherwise been provided and all payments which the district is obligated to set aside in any special fund or funds created for such purpose, and for the proper operation and maintenance of the public utility and all necessary repairs, replacements, and renewals thereof.

                (2) The commission of a district may waive connection charges for properties purchased by low-income persons from organizations exempt from tax under section 501(c)(3) of the federal internal revenue code as amended prior to the July 23, 1995.  Waivers of connection charges for the same class of electric or gas utility service must be uniformly applied to all qualified property.  Nothing in this subsection (2) authorizes the impairment of a contract.

                (3) In establishing rates or charges for water service, commissioners may in their discretion consider the achievement of water conservation goals and the discouragement of wasteful water use practices.

(4) No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually electric energy or water services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.

Sec. 9.  RCW 57.08.081 and 2003 c 394 s 6 are each amended to read as follows:

                (1) Subject to RCW 57.08.005(((6)))(7), the commissioners of any district shall provide for revenues by fixing rates and charges for furnishing sewer and drainage service and facilities to those to whom service is available or for providing water, such rates and charges to be fixed as deemed necessary by the commissioners, so that uniform charges will be made for the same class of customer or service and facility.  Rates and charges may be combined for the furnishing of more than one type of sewer or drainage service and facilities.

                (2) In classifying customers of such water, sewer, or drainage system, the board of commissioners may in its discretion consider any or all of the following factors:  The difference in cost to various customers; the location of the various customers within and without the district; the difference in cost of maintenance, operation, repair, and replacement of the various parts of the system; the different character of the service furnished various customers; the quantity and quality of the service and facility furnished; the time of its use; the achievement of water conservation goals and the discouragement of wasteful practices; capital contributions made to the system including but not limited to assessments; and any other matters which present a reasonable difference as a ground for distinction.  Rates shall be established as deemed proper by the commissioners and as fixed by resolution and shall produce revenues sufficient to take care of the costs of maintenance and operation, revenue bond and warrant interest and principal amortization requirements, and all other charges necessary for efficient and proper operation of the system.  No rates, charges, noncapital fees, or other costs may be charged for any vacant lot in a manufactured housing community, as defined in RCW 59.20.030, unless the lot is receiving individually water, sewer, or drainage system services or the landlord voluntarily elects to continue the rates, charges, noncapital fees, or other costs during the period the lot is vacant.  Prior to furnishing services, a district may require a deposit to guarantee payment for services.  However, failure to require a deposit does not affect the validity of any lien authorized by this section.

                (3) The commissioners shall enforce collection of connection charges, and rates and charges for water supplied against property owners connecting with the system or receiving such water, and for sewer and drainage services charged against property to which and its owners to whom the service is available, such charges being deemed charges against the property served, by addition of penalties of not more than ten percent thereof in case of failure to pay the charges at times fixed by resolution.  The commissioners may provide by resolution that where either connection charges or rates and charges for services supplied are delinquent for any specified period of time, the district shall certify the delinquencies to the auditor of the county in which the real property is located, and the charges and any penalties added thereto and interest thereon at the rate of not more than the prime lending rate of the district's bank plus four percentage points per year shall be a lien against the property upon which the service was received, subject only to the lien for general taxes.

                (4) The district may, at any time after the connection charges or rates and charges for services supplied or available and penalties are delinquent for a period of sixty days, bring suit in foreclosure by civil action in the superior court of the county in which the real property is located.  The court may allow, in addition to the costs and disbursements provided by statute, attorneys' fees, title search and report costs, and expenses as it adjudges reasonable.  The action shall be in rem, and may be brought in the name of the district against an individual or against all of those who are delinquent in one action.  The laws and rules of the court shall control as in other civil actions.

                (5) In addition to the right to foreclose provided in this section, the district may also cut off all or part of the service after charges for water or sewer service supplied or available are delinquent for a period of thirty days.

                (6) A district may determine how to apply partial payments on past due accounts.

                (7) A district may provide a real property owner or the owner's designee with duplicate bills for service to tenants, or may notify an owner or the owner's designee that a tenant's service account is delinquent.  However, if an owner or the owner's designee notifies the district in writing that a property served by the district is a rental property, asks to be notified of a tenant's delinquency, and has provided, in writing, a complete and accurate mailing address, the district shall notify the owner or the owner's designee of a tenant's delinquency at the same time and in the same manner the district notifies the tenant of the tenant's delinquency or by mail.  When a district provides a real property owner or the owner's designee with duplicates of tenant utility service bills or notice that a tenant's utility account is delinquent, the district shall notify the tenant that it is providing the duplicate bills or delinquency notice to the owner or the owner's designee.  After January 1, 1999, if a district fails to notify the owner of a tenant's delinquency after receiving a written request to do so and after receiving the other information required by this subsection (7), the district shall have no lien against the premises for the tenant's delinquent and unpaid charges."

                Correct the title.

 

Signed by Representatives Takko, Chair; Gregerson, Vice Chair; Overstreet, Ranking Minority Member; Kochmar, Assistant Ranking Minority Member; Farrell; Fitzgibbon; Pike; Springer and Taylor.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 5775             Prime Sponsor, Senator Benton: Allowing for a veteran designation on drivers' licenses and identicards.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 46.20.161 and 2012 c 80 s 8 are each amended to read as follows:

(1) The department, upon receipt of a fee of forty-five dollars from October 1, 2012, to June 30, 2013, and fifty-four dollars after June 30, 2013, unless the driver's license is issued for a period other than five years from October 1, 2012, to June 30, 2013, or six years after June 30, 2013, in which case the fee shall be nine dollars for each year that the license is issued, which includes the fee for the required photograph, shall issue to every qualifying applicant a driver's license.  A driver's license issued to a person under the age of eighteen is an intermediate license, subject to the restrictions imposed under RCW 46.20.075, until the person reaches the age of eighteen.  The license must include a distinguishing number assigned to the licensee, the name of record, date of birth, Washington residence address, photograph, a brief description of the licensee, ((and)) either a facsimile of the signature of the licensee or a space upon which the licensee shall write his or her usual signature with pen and ink immediately upon receipt of the license, and, if applicable, the person's status as a veteran as provided in subsection (2) of this section.  No license is valid until it has been so signed by the licensee.

(2) A person may apply to the department to obtain a veteran designation on a driver's license issued under this section by providing the United States department of defense discharge document, DD Form 214, as it exists on the effective date of this section, or such subsequent date as may be provided by the department by rule, consistent with the purposes of this section, that shows a discharge status of "honorable" or "general under honorable conditions" that establishes the person's service in the armed forces of the United States.

Sec. 2.  RCW 46.20.117 and 2012 c 80 s 6 are each amended to read as follows:

                (1) Issuance.  The department shall issue an identicard, containing a picture, if the applicant:

                (a) Does not hold a valid Washington driver's license;

                (b) Proves his or her identity as required by RCW 46.20.035; and

                (c) Pays the required fee.  Except as provided in subsection (5) of this section, the fee is forty-five dollars from October 1, 2012, to June 30, 2013, and fifty-four dollars after June 30, 2013, unless an applicant is a recipient of continuing public assistance grants under Title 74 RCW, who is referred in writing by the secretary of social and health services.  For those persons the fee must be the actual cost of production of the identicard.

                (2)(a)Design and term.  The identicard must:

                (((a))) (i) Be distinctly designed so that it will not be confused with the official driver's license; and

                (((b))) (ii) Except as provided in subsection (5) of this section, expire on the sixth anniversary of the applicant's birthdate after issuance.

(b) The identicard may include the person's status as a veteran, consistent with RCW 46.20.161(2).

                (3) Renewal.  An application for identicard renewal may be submitted by means of:

                (a) Personal appearance before the department; or

                (b) Mail or electronic commerce, if permitted by rule of the department and if the applicant did not renew his or her identicard by mail or by electronic commerce when it last expired.

                An identicard may not be renewed by mail or by electronic commerce unless the renewal issued by the department includes a photograph of the identicard holder.

                (4) Cancellation.  The department may cancel an identicard if the holder of the identicard used the card or allowed others to use the card in violation of RCW 46.20.0921.

                (5) Alternative issuance/renewal/extension.  The department may issue or renew an identicard for a period other than five years from October 1, 2012, to June 30, 2013, or six years after June 30, 2013, or may extend by mail or electronic commerce an identicard that has already been issued, in order to evenly distribute, as nearly as possible, the yearly renewal rate of identicard holders.  The fee for an identicard issued or renewed for a period other than five years from October 1, 2012, to June 30, 2013, or six years after June 30, 2013, or that has been extended by mail or electronic commerce, is nine dollars for each year that the identicard is issued, renewed, or extended.  The department may adopt any rules as are necessary to carry out this subsection.

NEW SECTION.  Sec. 3.  This act takes effect August 30, 2017."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 4.  RCW 46.20.161 and 2012 c 80 s 8 are each amended to read as follows:

(1) The department, upon receipt of a fee of forty-five dollars from October 1, 2012, to June 30, 2013, and fifty-four dollars after June 30, 2013, unless the driver's license is issued for a period other than five years from October 1, 2012, to June 30, 2013, or six years after June 30, 2013, in which case the fee shall be nine dollars for each year that the license is issued, which includes the fee for the required photograph, shall issue to every qualifying applicant a driver's license.  A driver's license issued to a person under the age of eighteen is an intermediate license, subject to the restrictions imposed under RCW 46.20.075, until the person reaches the age of eighteen.  The license must include a distinguishing number assigned to the licensee, the name of record, date of birth, Washington residence address, photograph, a brief description of the licensee, ((and)) either a facsimile of the signature of the licensee or a space upon which the licensee shall write his or her usual signature with pen and ink immediately upon receipt of the license, and, if applicable, the person's status as a veteran as provided in subsection (2) of this section.  No license is valid until it has been so signed by the licensee.

(2)(a) A person may apply to the department to obtain a veteran designation on a driver's license issued under this section by providing valid proof of service in the armed forces of the United States under (b) of this subsection.  In addition to the fee described in subsection (1) of this section, the department may charge a fee sufficient to cover the start-up and administrative costs associated with the inclusion of the designation, but the fee may not exceed two dollars per designation.
                (b) Valid proof of service may be established by providing either separation papers showing that the applicant's character of service was honorable or a United States department of defense Form 214, as it exists on the effective date of this section or such subsequent date as may be provided by the department by rule, consistent with the purposes of this section, that shows a discharge status of "honorable" or "general under honorable conditions."

Sec. 5.  RCW 46.20.117 and 2012 c 80 s 6 are each amended to read as follows:

                (1) Issuance.  The department shall issue an identicard, containing a picture, if the applicant:

                (a) Does not hold a valid Washington driver's license;

                (b) Proves his or her identity as required by RCW 46.20.035; and

                (c) Pays the required fee.  Except as provided in subsection (5) of this section, the fee is forty-five dollars from October 1, 2012, to June 30, 2013, and fifty-four dollars after June 30, 2013, unless an applicant is a recipient of continuing public assistance grants under Title 74 RCW, who is referred in writing by the secretary of social and health services.  For those persons the fee must be the actual cost of production of the identicard.

                (2)(a)Design and term.  The identicard must:

                (((a))) (i) Be distinctly designed so that it will not be confused with the official driver's license; and

                (((b))) (ii) Except as provided in subsection (5) of this section, expire on the sixth anniversary of the applicant's birthdate after issuance.

(b) The identicard may include the person's status as a veteran, consistent with RCW 46.20.161(2).

                (3) Renewal.  An application for identicard renewal may be submitted by means of:

                (a) Personal appearance before the department; or

                (b) Mail or electronic commerce, if permitted by rule of the department and if the applicant did not renew his or her identicard by mail or by electronic commerce when it last expired.

                An identicard may not be renewed by mail or by electronic commerce unless the renewal issued by the department includes a photograph of the identicard holder.

                (4) Cancellation.  The department may cancel an identicard if the holder of the identicard used the card or allowed others to use the card in violation of RCW 46.20.0921.

                (5) Alternative issuance/renewal/extension.  The department may issue or renew an identicard for a period other than five years from October 1, 2012, to June 30, 2013, or six years after June 30, 2013, or may extend by mail or electronic commerce an identicard that has already been issued, in order to evenly distribute, as nearly as possible, the yearly renewal rate of identicard holders.  The fee for an identicard issued or renewed for a period other than five years from October 1, 2012, to June 30, 2013, or six years after June 30, 2013, or that has been extended by mail or electronic commerce, is nine dollars for each year that the identicard is issued, renewed, or extended.  The department may adopt any rules as are necessary to carry out this subsection.

NEW SECTION.  Sec. 6.  This act takes effect July 1, 2015."

                Correct the title.

 

Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Overstreet, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Freeman; Habib; Hawkins; Hayes; Johnson; Klippert; Kochmar; Morris; Muri; Ortiz-Self; Pike; Riccelli; Rodne; Ryu; Sells; Shea; Takko; Tarleton; Walkinshaw; Young and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Moeller.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

2ESSB 5785       Prime Sponsor, Committee on Transportation: Modifying requirements for the display and replacement of license plates.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Freeman; Habib; Hawkins; Hayes; Johnson; Klippert; Kochmar; Moeller; Morris; Muri; Ortiz-Self; Pike; Riccelli; Rodne; Ryu; Sells; Takko; Tarleton; Walkinshaw; Young and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Overstreet, Assistant Ranking Minority Member and Shea.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SB 5957             Prime Sponsor, Senator Honeyford: Concerning the renewal of parking privileges for persons with disabilities.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Overstreet, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Freeman; Habib; Hawkins; Hayes; Johnson; Klippert; Kochmar; Moeller; Morris; Muri; Ortiz-Self; Pike; Riccelli; Rodne; Ryu; Sells; Shea; Takko; Tarleton; Walkinshaw; Young and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

2SSB 5958         Prime Sponsor, Committee on Ways & Means: Concerning accountability in providing opportunities for certain students to participate in transition services.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Lytton; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESB 5964           Prime Sponsor, Senator Fain: Concerning training public officials and employees regarding public records, records management, and open public meetings requirements.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature finds that the rights of citizens to observe the actions of their public officials and to have timely access to public records are the underpinnings of democracy and are essential for meaningful citizen participation in the democratic process.  All too often, however, violations of the requirements of the public records act and the open public meetings act by public officials and agencies result in citizens being denied this important information and materials to which they are legally entitled.  Such violations are often the result of inadvertent error or a lack of knowledge on the part of officials and agencies regarding their legal duties to the public pursuant to these acts.  Also, whether due to error or ignorance, violations of the public records act and open public meetings act are very costly for state and local governments, both in terms of litigation expenses and administrative costs.  The legislature also finds that the implementation of simple, cost-effective training programs will greatly increase the likelihood that public officials and agencies will better serve the public by improving citizen access to public records and encouraging public participation in governmental deliberations.  Such improvements in public service will, in turn, enhance the public's trust in its government and result in significant cost savings by reducing the number of violations of the public records act and open public meetings act.

NEW SECTION.  Sec. 2.  A new section is added to chapter 42.30 RCW to read as follows:

                (1) Every member of the governing body of a public agency must complete training on the requirements of this chapter no later than ninety days after the date the member either:

                (a) Takes the oath of office, if the member is required to take an oath of office to assume his or her duties as a public official; or

                (b) Otherwise assumes his or her duties as a public official.

                (2) In addition to the training required under subsection (1) of this section, every member of the governing body of a public agency must complete training at intervals of no more than four years as long as the individual is a member of the governing body or public agency.

                (3) Training may be completed remotely with technology including but not limited to internet-based training.

NEW SECTION.  Sec. 3.  A new section is added to chapter 42.56 RCW to read as follows:

                (1) Each local elected official and statewide elected official, and each person appointed to fill a vacancy in a local or statewide office, must complete a training course regarding the provisions of this chapter, and also chapter 40.14 RCW for records retention.

                (2) Officials required to complete training under this section may complete their training before assuming office but must:

                (a) Complete training no later than ninety days after the date the official either:

                (i) Takes the oath of office, if the official is required to take an oath of office to assume his or her duties as a public official; or

                (ii) Otherwise assumes his or her duties as a public official; and

                (b) Complete refresher training at intervals of no more than four years for as long as he or she holds the office.

                (3) Training must be consistent with the attorney general's model rules for compliance with the public records act.

                (4) Training may be completed remotely with technology including but not limited to internet-based training.

NEW SECTION.  Sec. 4.  A new section is added to chapter 42.56 RCW to read as follows:

                (1) Public records officers designated under RCW 42.56.580 and records officers designated under RCW 40.14.040 must complete a training course regarding the provisions of this chapter, and also chapter 40.14 RCW for records retention.

                (2) Public records officers must:

                (a) Complete training no later than ninety days after assuming responsibilities as a public records officer or records manager; and

                (b) Complete refresher training at intervals of no more than four years as long as they maintain the designation.

                (3) Training must be consistent with the attorney general's model rules for compliance with the public records act.

                (4) Training may be completed remotely with technology including but not limited to internet-based training.

NEW SECTION.  Sec. 5.  A new section is added to chapter 42.56 RCW to read as follows:

                The attorney general's office may provide information, technical assistance, and training on the provisions of this chapter.

NEW SECTION.  Sec. 6.  A new section is added to chapter 40.14 RCW to read as follows:

                (1) Each local elected official and statewide elected official, and each person appointed to fill a vacancy in a local or statewide office, must complete a training course regarding the records retention provisions of this chapter.

                (2) Elected officials may complete their training before assuming office but must:

                (a) Complete training no later than ninety days after the date the official either:

                (i) Takes the oath of office, if the official is required to take an oath of office to assume his or her duties as a public official; or

                (ii) Otherwise assumes his or her duties as a public official; and

                (b) Complete refresher training at intervals of no more than four years for as long as he or she holds the office.

                (3) Training must be provided by the secretary of state, or consistent with the records retention training provided by the secretary of state.

                (4) Training may be completed remotely with technology including but not limited to internet-based training.

NEW SECTION.  Sec. 7.  A new section is added to chapter 40.14 RCW to read as follows:

                (1) Public records officers designated under RCW 42.56.580 and records officers designated under RCW 40.14.040 must complete a training course regarding the records retention provisions of this chapter.

                (2) Public records officers must:

                (a) Complete training no later than ninety days after assuming responsibilities as a public records officer or records manager; and

                (b) Complete refresher training at intervals of no more than four years as long as they maintain the designation.

                (3) Training must be provided by the secretary of state, or consistent with the records retention training provided by the secretary of state.

                (4) Training may be completed remotely with technology including but not limited to internet-based training.

NEW SECTION.  Sec. 8.  This act may be known and cited as the open government trainings act.

NEW SECTION.  Sec. 9.  This act takes effect July 1, 2014."

                Correct the title.

 

Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Carlyle; Orwall; Robinson and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member; Christian; Kretz and Manweller.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 5969           Prime Sponsor, Committee on Higher Education: Providing for awarding academic credit for military training.  Reported by Committee on Higher Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Seaquist, Chair; Pollet, Vice Chair; Haler, Ranking Minority Member; Zeiger, Assistant Ranking Minority Member; Gregerson; Hansen; Hargrove; Johnson; Magendanz; Muri; Reykdal; Sawyer; Scott; Sells; Smith; Tarleton; Walkinshaw; Walsh and Wylie.

 

Referred to Committee on Appropriations Subcommittee on Education.

 

February 26, 20140)

SSB 6007           Prime Sponsor, Committee on Governmental Operations: Clarifying the exemption in the public records act for customer information held by public utilities.  Reported by Committee on Local Government

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Takko, Chair; Gregerson, Vice Chair; Overstreet, Ranking Minority Member; Kochmar, Assistant Ranking Minority Member; Farrell; Fitzgibbon; Pike; Springer and Taylor.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6010             Prime Sponsor, Senator Padden: Establishing penalties for altered or shaved keys.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 9A.52.060 and 2011 c 336 s 371 are each amended to read as follows:

                (1) Every person who shall make or mend or cause to be made or mended, or have in his or her possession, any engine, machine, tool, false key, altered or shaved key, pick lock, bit, nippers, or implement adapted, designed, or commonly used for the commission of burglary under circumstances evincing an intent to use or employ, or allow the same to be used or employed in the commission of a burglary, or knowing that the same is intended to be so used, shall be guilty of making or having burglar tools.

                (2) For purposes of this section, an "altered or shaved key" is any key so altered, by cutting, filing, or other means, to fit multiple locks other than the lock for which the key was originally manufactured.
                (3) Making or having burglar tools is a gross misdemeanor."

                Correct the title.

 

Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6011             Prime Sponsor, Senator Padden: Increasing penalties for random assaults.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Goodman, Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

MINORITY recommendation:  Without recommendation.  Signed by Representatives Roberts, Vice Chair and Appleton.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6013             Prime Sponsor, Senator Mullet: Making a technical correction to school law governing the use of epinephrine autoinjectors (EPI pens).  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Lytton; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6016         Prime Sponsor, Committee on Health Care: Concerning the grace period for enrollees of the Washington health benefit exchange.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  A new section is added to chapter 43.71 RCW to read as follows:

                (1) The exchange must support the grace period by providing electronic information to an issuer of a qualified health plan or a qualified dental plan that complies with 45 C.F.R. Sec. 156.270 (2013) and 45 C.F.R. Sec. 155.430 (2013).

                (2) If the health benefit exchange notifies an enrollee that he or she is delinquent on payment of premium, the notice must include information on how to report a change in income or circumstances and an explanation that such a report may result in a change in the premium amount or program eligibility.

NEW SECTION.  Sec. 2.  A new section is added to chapter 48.43 RCW to read as follows:

                (1) For an enrollee who is in the second or third month of the grace period, an issuer of a qualified health plan shall:

                (a) Upon request by a health care provider or health care facility, provide information regarding the enrollee's eligibility status in real-time; and

                (b) Notify a health care provider or health care facility that an enrollee is in the grace period within three business days after submittal of a claim or status request for services provided.

                (2) The information or notification required under subsection (1) of this section must, at a minimum, indicate "grace period" or use the appropriate national coding standard as the reason for pending the claim if a claim is pended due to the enrollee's grace period status.

                (3) By December 1, 2014, and annually each December 1st thereafter, the health benefit exchange shall provide a report to the appropriate committees of the legislature with the following information for the calendar year:  (a) The number of exchange enrollees who entered the grace period; (b) the number of enrollees who subsequently paid premium after entering the grace period; (c) the average number of days enrollees were in the grace period prior to paying premium; and (d) the number of enrollees who were in the grace period and whose coverage was terminated due to nonpayment of premium.  The report must include as much data as is available for the calendar year.

                (4) For purposes of this section, "grace period" means nonpayment of premiums by an enrollee receiving advance payments of the premium tax credit, as defined in section 1412 of the patient protection and affordable care act, P.L. 111-148, as amended by the health care and education reconciliation act, P.L. 111-152, and implementing regulations issued by the federal department of health and human services.

Sec. 3.  RCW 48.43.--- and 2014 c . . . s 2 (section 2 of this act)  are each amended to read as follows:

                (1) For an enrollee who is in the second or third month of the grace period, an issuer of a qualified health plan shall:

                (a) Upon request by a health care provider or health care facility, provide information regarding the enrollee's eligibility status in real-time; and

                (b) Notify a health care provider or health care facility that an enrollee is in the grace period within three business days after submittal of a claim or status request for services provided.

                (2) The information or notification required under subsection (1) of this section must, at a minimum((,)):
                (a) Indicate "grace period" or use the appropriate national coding standard as the reason for pending the claim if a claim is pended due to the enrollee's grace period status; and
                (b) Except for notifications provided electronically, indicate that enrollee is in the second or third month of the grace period.

                (3) By December 1, 2014, and annually each December 1st thereafter, the health benefit exchange shall provide a report to the appropriate committees of the legislature with the following information for the calendar year:  (a) The number of exchange enrollees who entered the grace period; (b) the number of enrollees who subsequently paid premium after entering the grace period; (c) the average number of days enrollees were in the grace period prior to paying premium; and (d) the number of enrollees who were in the grace period and whose coverage was terminated due to nonpayment of premium.  The report must include as much data as is available for the calendar year.

                (4) For purposes of this section, "grace period" means nonpayment of premiums by an enrollee receiving advance payments of the premium tax credit, as defined in section 1412 of the patient protection and affordable care act, P.L. 111-148, as amended by the health care and education reconciliation act, P.L. 111-152, and implementing regulations issued by the federal department of health and human services.

NEW SECTION.  Sec. 4.  Section 3 of this act takes effect January 1st following the issuance of a report under section 2(3) of this act indicating that coverage was terminated due to nonpayment of premium for ten thousand or more enrollees who were in the grace period in that calendar year.  In no case may section 3 of this act take effect before January 1, 2015.  The health benefit exchange must provide notice of the effective date of section 3 of this act to affected parties, the chief clerk of the house of representatives, the secretary of the senate, the office of the code reviser, and others as deemed appropriate by the health benefit exchange."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 5.  A new section is added to chapter 43.71 RCW to read as follows:

                (1) The exchange must provide electronic notification to the qualified health plan before the sixth of the month indicating an enrollee has not paid the premium.

                (2) If the health benefit exchange notifies an enrollee that he or she is delinquent on payment of premium, the notice must include information on how to report a change in income or circumstances and an explanation that such a report may result in a change in the premium amount or program eligibility.

NEW SECTION.  Sec. 6.  A new section is added to chapter 48.43 RCW to read as follows:

                (1) For an enrollee who is in the second or third month of the grace period, an issuer of a qualified health plan shall:

                (a) Upon request by a health care provider or health care facility, provide information regarding the enrollee's eligibility status in real-time; and

                (b) Notify a health care provider or health care facility that an enrollee is in the grace period within three business days after submittal of a claim or status request for services provided.

                (2) The information or notification required under subsection (1) of this section must, at a minimum, indicate "grace period" or use the appropriate national coding standard as the reason for pending the claim if a claim is pended due to the enrollee's grace period status.

                (3) By December 1, 2014, and annually each December 1st thereafter, the health benefit exchange shall provide a report to the appropriate committees of the legislature with the following information for the calendar year:  (a) The number of exchange enrollees who entered the grace period; (b) the number of enrollees who subsequently paid premium after entering the grace period; (c) the average number of days enrollees were in the grace period prior to paying premium; and (d) the number of enrollees who were in the grace period and whose coverage was terminated due to nonpayment of premium.  The report must include as much data as is available for the calendar year.

                (4) For purposes of this section, "grace period" means nonpayment of premiums by an enrollee receiving advance payments of the premium tax credit, as defined in section 1412 of the patient protection and affordable care act, P.L. 111-148, as amended by the health care and education reconciliation act, P.L. 111-152, and implementing regulations issued by the federal department of health and human services.

Sec. 7.  RCW 48.43.--- and 2014 c . . . s 2 (section 2 of this act)  are each amended to read as follows:

                (1) For an enrollee who is in the second or third month of the grace period, an issuer of a qualified health plan shall:

                (a) Upon request by a health care provider or health care facility, provide information regarding the enrollee's eligibility status in real-time; and

                (b) Notify a health care provider or health care facility that an enrollee is in the grace period within three business days after submittal of a claim or status request for services provided.

                (2) The information or notification required under subsection (1) of this section must, at a minimum((,)):
                (a) Indicate "grace period" or use the appropriate national coding standard as the reason for pending the claim if a claim is pended due to the enrollee's grace period status; and
                (b) Except for notifications provided electronically, indicate that enrollee is in the second or third month of the grace period.

                (3) By December 1, 2014, and annually each December 1st thereafter, the health benefit exchange shall provide a report to the appropriate committees of the legislature with the following information for the calendar year:  (a) The number of exchange enrollees who entered the grace period; (b) the number of enrollees who subsequently paid premium after entering the grace period; (c) the average number of days enrollees were in the grace period prior to paying premium; and (d) the number of enrollees who were in the grace period and whose coverage was terminated due to nonpayment of premium.  The report must include as much data as is available for the calendar year.

                (4) For purposes of this section, "grace period" means nonpayment of premiums by an enrollee receiving advance payments of the premium tax credit, as defined in section 1412 of the patient protection and affordable care act, P.L. 111-148, as amended by the health care and education reconciliation act, P.L. 111-152, and implementing regulations issued by the federal department of health and human services.

NEW SECTION.  Sec. 8.  Section 3 of this act takes effect January 1st following the issuance of a report under section 2(3) of this act indicating that coverage was terminated due to nonpayment of premium for ten thousand or more enrollees who were in the grace period in that calendar year.  In no case may section 3 of this act take effect before January 1, 2015.  The health benefit exchange must provide notice of the effective date of section 3 of this act to affected parties, the chief clerk of the house of representatives, the secretary of the senate, the office of the code reviser, and others as deemed appropriate by the health benefit exchange."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Clibborn; Green; Hunt, G.; Jinkins; Manweller; Moeller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6017           Prime Sponsor, Committee on Law & Justice: Concerning the use of proceeds from seizure and forfeiture activities from sexual exploitation of children and promoting prostitution.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 9.68A.120 and 2009 c 479 s 12 are each amended to read as follows:

                The following are subject to seizure and forfeiture:

                (1) All visual or printed matter that depicts a minor engaged in sexually explicit conduct.

                (2) All raw materials, equipment, and other tangible personal property of any kind used or intended to be used to manufacture or process any visual or printed matter that depicts a minor engaged in sexually explicit conduct, and all conveyances, including aircraft, vehicles, or vessels that are used or intended for use to transport, or in any manner to facilitate the transportation of, visual or printed matter in violation of RCW 9.68A.050 or 9.68A.060, but:

                (a) No conveyance used by any person as a common carrier in the transaction of business as a common carrier is subject to forfeiture under this section unless it appears that the owner or other person in charge of the conveyance is a consenting party or privy to a violation of this chapter;

                (b) No property is subject to forfeiture under this section by reason of any act or omission established by the owner of the property to have been committed or omitted without the owner's knowledge or consent;

                (c) A forfeiture of property encumbered by a bona fide security interest is subject to the interest of the secured party if the secured party neither had knowledge of nor consented to the act or omission; and

                (d) When the owner of a conveyance has been arrested under this chapter the conveyance may not be subject to forfeiture unless it is seized or process is issued for its seizure within ten days of the owner's arrest.

                (3) All personal property, moneys, negotiable instruments, securities, or other tangible or intangible property furnished or intended to be furnished by any person in exchange for visual or printed matter depicting a minor engaged in sexually explicit conduct, or constituting proceeds traceable to any violation of this chapter.

                (4) Property subject to forfeiture under this chapter may be seized by any law enforcement officer of this state upon process issued by any superior court having jurisdiction over the property.  Seizure without process may be made if:

                (a) The seizure is incident to an arrest or a search under a search warrant or an inspection under an administrative inspection warrant;

                (b) The property subject to seizure has been the subject of a prior judgment in favor of the state in a criminal injunction or forfeiture proceeding based upon this chapter;

                (c) A law enforcement officer has probable cause to believe that the property is directly or indirectly dangerous to health or safety; or

                (d) The law enforcement officer has probable cause to believe that the property was used or is intended to be used in violation of this chapter.

                (5) In the event of seizure under subsection (4) of this section, proceedings for forfeiture shall be deemed commenced by the seizure.  The law enforcement agency under whose authority the seizure was made shall cause notice to be served within fifteen days following the seizure on the owner of the property seized and the person in charge thereof and any person having any known right or interest therein, of the seizure and intended forfeiture of the seized property.  The notice may be served by any method authorized by law or court rule including but not limited to service by certified mail with return receipt requested.  Service by mail shall be deemed complete upon mailing within the fifteen day period following the seizure.

                (6) If no person notifies the seizing law enforcement agency in writing of the person's claim of ownership or right to possession of seized items within forty-five days of the seizure, the item seized shall be deemed forfeited.

                (7) If any person notifies the seizing law enforcement agency in writing of the person's claim of ownership or right to possession of seized items within forty-five days of the seizure, the person or persons shall be afforded a reasonable opportunity to be heard as to the claim or right.  The hearing shall be before an administrative law judge appointed under chapter 34.12 RCW, except that any person asserting a claim or right may remove the matter to a court of competent jurisdiction if the aggregate value of the article or articles involved is more than five hundred dollars.  The hearing before an administrative law judge and any appeal therefrom shall be under Title 34 RCW.  In a court hearing between two or more claimants to the article or articles involved, the prevailing party shall be entitled to a judgment for costs and reasonable attorney's fees.  The burden of producing evidence shall be upon the person claiming to be the lawful owner or the person claiming to have the lawful right to possession of the seized items.  The seizing law enforcement agency shall promptly return the article or articles to the claimant upon a determination by the administrative law judge or court that the claimant is lawfully entitled to possession thereof of the seized items.

                (8) If property is sought to be forfeited on the ground that it constitutes proceeds traceable to a violation of this chapter, the seizing law enforcement agency must prove by a preponderance of the evidence that the property constitutes proceeds traceable to a violation of this chapter.

                (9) When property is forfeited under this chapter the seizing law enforcement agency may:

                (a) Retain it for official use or upon application by any law enforcement agency of this state release the property to that agency for the exclusive use of enforcing this chapter or chapter 9A.88 RCW;

                (b) Sell that which is not required to be destroyed by law and which is not harmful to the public((.  The proceeds and all moneys forfeited under this chapter shall be used for payment of all proper expenses of the investigation leading to the seizure, including any money delivered to the subject of the investigation by the law enforcement agency, and of the proceedings for forfeiture and sale, including expenses of seizure, maintenance of custody, advertising, actual costs of the prosecuting or city attorney, and court costs.  Fifty percent of the money remaining after payment of these expenses shall be deposited in the state general fund and fifty percent shall be deposited in the general fund of the state, county, or city of the seizing law enforcement agency)); or

                (c) Request the appropriate sheriff or director of public safety to take custody of the property and remove it for disposition in accordance with law.

(10)(a) By January 31st of each year, each seizing agency shall remit to the state treasurer an amount equal to ten percent of the net proceeds of any property forfeited during the preceding calendar year.  Money remitted shall be deposited in the prostitution prevention and intervention account under RCW 43.63A.740.
                (b) The net proceeds of forfeited property is the value of the forfeitable interest in the property after deducting the cost of satisfying any bona fide security interest to which the property is subject at the time of seizure; and in the case of sold property, after deducting the cost of sale, including reasonable fees or commissions paid to an independent selling agency.
                (c) The value of sold forfeited property is the sale price.  The value of retained forfeited property is the fair market value of the property at the time of seizure determined when possible by reference to an applicable commonly used index.  A seizing agency may use, but need not use, an independent qualified appraiser to determine the value of retained property.  If an appraiser is used, the value of the property appraised is net of the cost of the appraisal.  The value of destroyed property and retained firearms or illegal property is zero.
                (11) Forfeited property and net proceeds not required to be paid to the state treasurer under this chapter shall be used for payment of all proper expenses of the investigation leading to the seizure, including any money delivered to the subject of the investigation by the law enforcement agency, and of the proceedings for forfeiture and sale, including expenses of seizure, maintenance of custody, advertising, actual costs of the prosecuting or city attorney, and court costs.  Money remaining after payment of these expenses shall be retained by the seizing law enforcement agency for the exclusive use of enforcing the provisions of this chapter or chapter 9A.88 RCW.

Sec. 2.  RCW 9A.88.150 and 2012 c 140 s 1 are each amended to read as follows:

                (1) The following are subject to seizure and forfeiture and no property right exists in them:

                (a) Any property or other interest acquired or maintained in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070 to the extent of the investment of funds, and any appreciation or income attributable to the investment, from a violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070;

                (b) All conveyances, including aircraft, vehicles, or vessels, which are used, or intended for use, in any manner to facilitate a violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070, except that:

                (i) No conveyance used by any person as a common carrier in the transaction of business as a common carrier is subject to forfeiture under this section unless it appears that the owner or other person in charge of the conveyance is a consenting party or privy to a violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070;

                (ii) No conveyance is subject to forfeiture under this section by reason of any act or omission established by the owner thereof to have been committed or omitted without the owner's knowledge or consent;

                (iii) A forfeiture of a conveyance encumbered by a bona fide security interest is subject to the interest of the secured party if the secured party neither had knowledge of nor consented to the act or omission; and

                (iv) When the owner of a conveyance has been arrested for a violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070, the conveyance in which the person is arrested may not be subject to forfeiture unless it is seized or process is issued for its seizure within ten days of the owner's arrest;

                (c) Any property, contractual right, or claim against property used to influence any enterprise that a person has established, operated, controlled, conducted, or participated in the conduct of, in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070;

                (d) All proceeds traceable to or derived from an offense defined in RCW 9.68A.100, 9.68A.101, or 9A.88.070 and all moneys, negotiable instruments, securities, and other things of value significantly used or intended to be used significantly to facilitate commission of the offense;

                (e) All books, records, and research products and materials, including formulas, microfilm, tapes, and data which are used, or intended for use, in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070;

                (f) All moneys, negotiable instruments, securities, or other tangible or intangible property of value furnished or intended to be furnished by any person in exchange for a violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070, all tangible or intangible personal property, proceeds, or assets acquired in whole or in part with proceeds traceable to an exchange or series of exchanges in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070, and all moneys, negotiable instruments, and securities used or intended to be used to facilitate any violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070.  A forfeiture of money, negotiable instruments, securities, or other tangible or intangible property encumbered by a bona fide security interest is subject to the interest of the secured party if, at the time the security interest was created, the secured party neither had knowledge of nor consented to the act or omission.  No personal property may be forfeited under this subsection (1)(f), to the extent of the interest of an owner, by reason of any act or omission, which that owner establishes was committed or omitted without the owner's knowledge or consent; and

                (g) All real property, including any right, title, and interest in the whole of any lot or tract of land, and any appurtenances or improvements which are being used with the knowledge of the owner for a violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070, or which have been acquired in whole or in part with proceeds traceable to an exchange or series of exchanges in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070, if a substantial nexus exists between the violation and the real property.  However:

                (i) No property may be forfeited pursuant to this subsection (1)(g), to the extent of the interest of an owner, by reason of any act or omission committed or omitted without the owner's knowledge or consent;

                (ii) A forfeiture of real property encumbered by a bona fide security interest is subject to the interest of the secured party if the secured party, at the time the security interest was created, neither had knowledge of nor consented to the act or omission.

                (2) Real or personal property subject to forfeiture under this section may be seized by any law enforcement officer of this state upon process issued by any superior court having jurisdiction over the property.  Seizure of real property shall include the filing of a lis pendens by the seizing agency.  Real property seized under this section shall not be transferred or otherwise conveyed until ninety days after seizure or until a judgment of forfeiture is entered, whichever is later:  PROVIDED, That real property seized under this section may be transferred or conveyed to any person or entity who acquires title by foreclosure or deed in lieu of foreclosure of a security interest.  Seizure of personal property without process may be made if:

                (a) The seizure is incident to an arrest or a search under a search warrant;

                (b) The property subject to seizure has been the subject of a prior judgment in favor of the state in a criminal injunction or forfeiture proceeding; or

                (c) The law enforcement officer has probable cause to believe that the property was used or is intended to be used in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070.

                (3) In the event of seizure pursuant to subsection (2) of this section, proceedings for forfeiture shall be deemed commenced by the seizure.  The law enforcement agency under whose authority the seizure was made shall cause notice to be served within fifteen days following the seizure on the owner of the property seized and the person in charge thereof and any person having any known right or interest therein, including any community property interest, of the seizure and intended forfeiture of the seized property.  Service of notice of seizure of real property shall be made according to the rules of civil procedure.  However, the state may not obtain a default judgment with respect to real property against a party who is served by substituted service absent an affidavit stating that a good faith effort has been made to ascertain if the defaulted party is incarcerated within the state, and that there is no present basis to believe that the party is incarcerated within the state.  Notice of seizure in the case of property subject to a security interest that has been perfected by filing a financing statement, or a certificate of title, shall be made by service upon the secured party or the secured party's assignee at the address shown on the financing statement or the certificate of title.  The notice of seizure in other cases may be served by any method authorized by law or court rule including, but not limited to, service by certified mail with return receipt requested.  Service by mail shall be deemed complete upon mailing within the fifteen day period following the seizure.

                (4) If no person notifies the seizing law enforcement agency in writing of the person's claim of ownership or right to possession of items specified in subsection (1) of this section within forty‑five days of the service of notice from the seizing agency in the case of personal property and ninety days in the case of real property, the item seized shall be deemed forfeited.  The community property interest in real property of a person whose spouse or domestic partner committed a violation giving rise to seizure of the real property may not be forfeited if the person did not participate in the violation.

                (5) If any person notifies the seizing law enforcement agency in writing of the person's claim of ownership or right to possession of items specified in subsection (1) of this section within forty‑five days of the service of notice from the seizing agency in the case of personal property and ninety days in the case of real property, the person or persons shall be afforded a reasonable opportunity to be heard as to the claim or right.  The notice of claim may be served by any method authorized by law or court rule including, but not limited to, service by first‑class mail.  Service by mail shall be deemed complete upon mailing within the forty‑five day period following service of the notice of seizure in the case of personal property and within the ninety day period following service of the notice of seizure in the case of real property.  The hearing shall be before the chief law enforcement officer of the seizing agency or the chief law enforcement officer's designee, except where the seizing agency is a state agency as defined in RCW 34.12.020(4), the hearing shall be before the chief law enforcement officer of the seizing agency or an administrative law judge appointed under chapter 34.12 RCW, except that any person asserting a claim or right may remove the matter to a court of competent jurisdiction.  Removal of any matter involving personal property may only be accomplished according to the rules of civil procedure.  The person seeking removal of the matter must serve process against the state, county, political subdivision, or municipality that operates the seizing agency, and any other party of interest, in accordance with RCW 4.28.080 or 4.92.020, within forty‑five days after the person seeking removal has notified the seizing law enforcement agency of the person's claim of ownership or right to possession.  The court to which the matter is to be removed shall be the district court when the aggregate value of personal property is within the jurisdictional limit set forth in RCW 3.66.020.  A hearing before the seizing agency and any appeal therefrom shall be under Title 34 RCW.  In all cases, the burden of proof is upon the law enforcement agency to establish, by a preponderance of the evidence, that the property is subject to forfeiture.

                The seizing law enforcement agency shall promptly return the article or articles to the claimant upon a determination by the administrative law judge or court that the claimant is the present lawful owner or is lawfully entitled to possession thereof of items specified in subsection (1) of this section.

                (6) In any proceeding to forfeit property under this title, where the claimant substantially prevails, the claimant is entitled to reasonable attorneys' fees reasonably incurred by the claimant.  In addition, in a court hearing between two or more claimants to the article or articles involved, the prevailing party is entitled to a judgment for costs and reasonable attorneys' fees.

                (7) When property is forfeited under this chapter, the seizing law enforcement agency ((shall sell the property that is not required to be destroyed by law and that is not harmful to the public)) may:
                (a) Retain it for official use or upon application by any law enforcement agency of this state release the property to that agency for the exclusive use of enforcing this chapter or chapter 9.68A RCW;
                (b) Sell that which is not required to be destroyed by law and which is not harmful to the public; or
                (c) Request the appropriate sheriff or director of public safety to take custody of the property and remove it for disposition in accordance with law.

                (8)(a) When property is forfeited, the seizing agency shall keep a record indicating the identity of the prior owner, if known, a description of the property, the disposition of the property, the value of the property at the time of seizure, and the amount of proceeds realized from disposition of the property.

                (b) Each seizing agency shall retain records of forfeited property for at least seven years.

                (c) Each seizing agency shall file a report including a copy of the records of forfeited property with the state treasurer each calendar quarter.

                (d) The quarterly report need not include a record of forfeited property that is still being held for use as evidence during the investigation or prosecution of a case or during the appeal from a conviction.

                (9)(a) By January 31st of each year, each seizing agency shall remit to the state treasurer an amount equal to ten percent of the net proceeds of any property forfeited during the preceding calendar year.  Money remitted shall be deposited in the prostitution prevention and intervention account under RCW 43.63A.740.

                (b) The net proceeds of forfeited property is the value of the forfeitable interest in the property after deducting the cost of satisfying any bona fide security interest to which the property is subject at the time of seizure; and in the case of sold property, after deducting the cost of sale, including reasonable fees or commissions paid to independent selling agents, and the cost of any valid landlord's claim for damages under subsection (((11))) (12) of this section.

                (c) The value of sold forfeited property is the sale price.  The value of destroyed property and retained firearms or illegal property is zero.

                (10) Net proceeds not required to be paid to the state treasurer shall be used for payment of all proper expenses of the investigation leading to the seizure, including any money delivered to the subject of the investigation by the law enforcement agency, and of the proceedings for forfeiture and sale, including expenses of seizure, maintenance of custody, advertising, actual costs of the prosecuting or city attorney, and court costs.  Money remaining after payment of these expenses shall be retained by the seizing law enforcement agency for the exclusive use of enforcing the provisions of this chapter or chapter 9.68A RCW.
                (11) Upon the entry of an order of forfeiture of real property, the court shall forward a copy of the order to the assessor of the county in which the property is located.  Orders for the forfeiture of real property shall be entered by the superior court, subject to court rules.  Such an order shall be filed by the seizing agency in the county auditor's records in the county in which the real property is located.

                (((11))) (12) A landlord may assert a claim against proceeds from the sale of assets seized and forfeited under subsection (9) of this section, only if:

                (a) A law enforcement officer, while acting in his or her official capacity, directly caused damage to the complaining landlord's property while executing a search of a tenant's residence;

                (b) The landlord has applied any funds remaining in the tenant's deposit, to which the landlord has a right under chapter 59.18 RCW, to cover the damage directly caused by a law enforcement officer prior to asserting a claim under the provisions of this section:

                (i) Only if the funds applied under (b) of this subsection are insufficient to satisfy the damage directly caused by a law enforcement officer, may the landlord seek compensation for the damage by filing a claim against the governmental entity under whose authority the law enforcement agency operates within thirty days after the search;

                (ii) Only if the governmental entity denies or fails to respond to the landlord's claim within sixty days of the date of filing, may the landlord collect damages under this subsection by filing within thirty days of denial or the expiration of the sixty day period, whichever occurs first, a claim with the seizing law enforcement agency.  The seizing law enforcement agency must notify the landlord of the status of the claim by the end of the thirty day period.  Nothing in this section requires the claim to be paid by the end of the sixty day or thirty day period; and

                (c) For any claim filed under (b) of this subsection, the law enforcement agency shall pay the claim unless the agency provides substantial proof that the landlord either:

                (i) Knew or consented to actions of the tenant in violation of RCW 9.68A.100, 9.68A.101, or 9A.88.070; or

                (ii) Failed to respond to a notification of the illegal activity, provided by a law enforcement agency under RCW 59.18.075, within seven days of receipt of notification of the illegal activity.

                (((12))) (13) The landlord's claim for damages under subsection (((11))) (12) of this section may not include a claim for loss of business and is limited to:

                (a) Damage to tangible property and clean‑up costs;

                (b) The lesser of the cost of repair or fair market value of the damage directly caused by a law enforcement officer;

                (c) The proceeds from the sale of the specific tenant's property seized and forfeited under subsection (9) of this section; and

                (d) The proceeds available after the seizing law enforcement agency satisfies any bona fide security interest in the tenant's property and costs related to sale of the tenant's property as provided by subsection (((11))) (12) of this section.

                (((13))) (14) Subsections (((11))) (12) and (((12))) (13) of this section do not limit any other rights a landlord may have against a tenant to collect for damages.  However, if a law enforcement agency satisfies a landlord's claim under subsection (((11))) (12) of this section, the rights the landlord has against the tenant for damages directly caused by a law enforcement officer under the terms of the landlord and tenant's contract are subrogated to the law enforcement agency."

                Correct the title.

 

Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

ESB 6031           Prime Sponsor, Senator Sheldon: Concerning lake and beach management districts.  Reported by Committee on Local Government

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 36.61.010 and 2008 c 301 s 1 are each amended to read as follows:

(1) The legislature finds that the environmental, recreational, and aesthetic values of many of the state's lakes are threatened by eutrophication and other deterioration and that existing governmental authorities are unable to adequately improve and maintain the quality of the state's lakes.

(2) The legislature intends that an ecosystem-based beach management approach should be used to help promote the health of aquatic ecosystems and that such a management approach be undertaken in a manner that retains ecosystem values within the state.  This management approach should use long-term strategies that focus on reducing nutrient inputs from human activities affecting the aquatic ecosystem, such as decreasing nutrients into storm water sewers, decreasing fertilizer application, promoting the proper disposal of pet waste, promoting the use of vegetative borders, promoting the reduction of nutrients from on-site septic systems where appropriate, and protecting riparian areas.  Organic debris, including vegetation, driftwood, seaweed, kelp, and organisms, are extremely important to beach ecosystems.

(3) The legislature further finds that it is in the public interest to promote the conservation and stewardship of shorelines and upland properties adjoining lakes and beaches in order to:  (a) Conserve natural or scenic resources; (b) protect riparian habitats and water quality; (c) promote conservation of soils, wetlands, shorelines, or tidal marshes; (d) enhance the value of lakes or beaches to the public as well as the benefit of abutting or neighboring parks, forests, wildlife preserves, nature reservations or sanctuaries, or other open space; (e) enhance recreation opportunities; (f) preserve historic sites; and (g) protect visual quality along highway, road, street, trail, recreational, and other corridors or scenic vistas.

(4) It is the purpose of this chapter to establish a governmental mechanism by which property owners can embark on a program of lake or beach improvement and maintenance for their and the general public's benefit, health, and welfare.  Public property, including state property, shall be considered the same as private property in this chapter, except liens for special assessments and liens for rates and charges shall not extend to public property.  Lake bottom property and marine property below the line of the ordinary high water mark shall not be considered to be benefitted, shall not be subject to special assessments or rates and charges, and shall not receive voting rights under this chapter.

Sec. 2.  RCW 36.61.020 and 2008 c 301 s 3 are each amended to read as follows:

(1) Any county may create lake or beach management districts to finance:  (a) The improvement and maintenance of lakes or beaches located within or partially within the boundaries of the county; and (b) the acquisition of real property or property rights within or outside a lake or beach management district including, by way of example, conservation easements authorized under RCW 64.04.130, and to promote the conservation and stewardship of shorelines as well as the conservation and stewardship of upland properties adjoining lakes or beaches for conservation or for minimal development.  All or a portion of a lake or beach and the adjacent land areas may be included within one or more lake or beach management districts.  More than one lake or beach, or portions of lakes or beaches, and the adjacent land areas may be included in a single lake or beach management district.

(2) For the purposes of this chapter, the term "improvement" includes, among other things, the acquisition of real property and property rights within or outside a lake or beach management district for the purposes set forth in RCW 36.61.010 and this section.

(3) Special assessments or rates and charges may be imposed on the property included within a lake or beach management district to finance lake or beach improvement and maintenance activities, including:  (((1))) (a) Controlling or removing aquatic plants and vegetation; (((2))) (b) improving water quality; (((3))) (c) controlling water levels; (((4))) (d) treating and diverting storm water; (((5))) (e) controlling agricultural waste; (((6))) (f) studying lake or marine water quality problems and solutions; (((7))) (g) cleaning and maintaining ditches and streams entering the lake or marine waters or leaving the lake; (((8))) (h) monitoring air quality; (i) the acquisition of real property and property rights; and (((9))) (j) the related administrative, engineering, legal, and operational costs, including the costs of creating the lake or beach management district.

(4) Special assessments or rates and charges may be imposed annually on all the land in a lake or beach management district for the duration of the lake or beach management district without a related issuance of lake or beach management district bonds or revenue bonds.  Special assessments also may be imposed in the manner of special assessments in a local improvement district with each landowner being given the choice of paying the entire special assessment in one payment, or to paying installments, with lake or beach management district bonds being issued to obtain moneys not derived by the initial full payment of the special assessments, and the installments covering all of the costs related to issuing, selling, and redeeming the lake or beach management district bonds.

NEW SECTION.  Sec. 3.  A new section is added to chapter 36.61 RCW to read as follows:

                A proposal to acquire real property or property rights within or outside of a lake or beach management district in accordance with RCW 36.61.020 must, prior to the acquisition of the real property or property rights, have the written approval of a majority of the property owners of the district, as determined by the tax rolls of the county assessor.

Sec. 4.  RCW 36.61.070 and 2008 c 301 s 9 are each amended to read as follows:

(1) After the public hearing, the county legislative authority may adopt a resolution submitting the question of creating the lake or beach management district to the owners of land within the proposed lake or beach management district, including publicly owned land, if the county legislative authority finds that it is in the public interest to create the lake or beach management district and the financing of the lake or beach improvement and maintenance activities is feasible.  The resolution shall also include:  (((1))) (a) A plan describing the proposed lake or beach improvement and maintenance activities which avoid adverse impacts on fish and wildlife and provide for appropriate measures to protect and enhance fish and wildlife; (((2))) (b) the number of years the lake or beach management district will exist; (((3))) (c) the amount to be raised by special assessments or rates and charges; (((4))) (d) if special assessments are to be imposed, whether the special assessments shall be imposed annually for the duration of the lake or beach management district or only once with the possibility of installments being imposed and lake or beach management bonds being issued, or both, and, if both types of special assessments are proposed to be imposed, the lake or beach improvement or maintenance activities proposed to be financed by each type of special assessment; (((5))) (e) if rates and charges are to be imposed, a description of the proposed rates and charges and the possibility of revenue bonds being issued that are payable from the rates and charges; and (((6))) (f) the estimated special assessment or rate and charge proposed to be imposed on each parcel included in the proposed lake or beach management district.

(2) No lake or beach management district may be created by a county that includes territory located in another county without the approval of the legislative authority of the other county.

Sec. 5.  RCW 36.61.220 and 2008 c 301 s 21 are each amended to read as follows:

                Within ((fifteen)) thirty days after a county creates a lake or beach management district, the county shall cause to be filed with the county treasurer, a description of the lake or beach improvement and maintenance activities proposed that the lake or beach management district finances, the lake or beach management district number, and a copy of the diagram or print showing the boundaries of the lake or beach management district and preliminary special assessment roll or abstract of the same showing thereon the lots, tracts, parcels of land, and other property that will be specially benefitted thereby and the estimated cost and expense of such lake or beach improvement and maintenance activities to be borne by each lot, tract, parcel of land, or other property.  The treasurer shall immediately post the proposed special assessment roll upon his or her index of special assessments against the properties affected by the lake or beach improvement or maintenance activities.

Sec. 6.  RCW 36.61.250 and 1985 c 398 s 25 are each amended to read as follows:

Except when lake or beach management district bonds are outstanding or when an existing contract might otherwise be impaired, the county legislative authority may stop the imposition of annual special assessments if, in its opinion, the public interest will be served by such action.

Sec. 7.  RCW 36.61.260 and 2008 c 301 s 23 are each amended to read as follows:

                (1) Counties may issue lake or beach management district revenue bonds in accordance with this section.  Lake or beach management district bonds may be issued to obtain money sufficient to cover that portion of the special assessments that are not paid within the thirty- day period provided in RCW 36.61.190.

(2) Whenever lake or beach management district revenue bonds are proposed to be issued, the county legislative authority shall create a special fund or funds for the lake or beach management district from which all or a portion of the costs of the lake or beach improvement and maintenance activities shall be paid.  Lake or beach management district bonds shall not be issued in excess of the costs and expenses of the lake or beach improvement and maintenance activities and shall not be issued prior to twenty days after the thirty days allowed for the payment of special assessments without interest or penalties.

(3) Lake or beach management district revenue bonds shall be exclusively payable from the special fund or funds and from a guaranty fund that the county may have created out of a portion of proceeds from the sale of the lake or beach management district bonds.

                (((2))) (4)(a) Lake or beach management district revenue bonds shall not constitute a general indebtedness of the county issuing the bond nor an obligation, general or special, of the state.  The owner of any lake or beach management district revenue bond shall not have any claim for the payment thereof against the county that issues the bonds except for:  (i) With respect to revenue bonds payable from special assessments, payment from the special assessments made for the lake or beach improvement or maintenance activities for which the lake or beach management district bond was issued and from the special fund or funds, and a lake or beach management district guaranty fund, that may have been created; and (ii) with respect to revenue bonds payable from rates and charges, payment from rates and charges deposited in the special fund or funds that the county may have created for that purpose.  Revenue bonds may be payable from both special assessments and from rates and charges.  The county shall not be liable to the owner of any lake or beach management district bond for any loss to ((the)) a lake or beach management district guaranty fund occurring in the lawful operation of the fund.  The owner of a lake or beach management district bond shall not have any claim against the state arising from the lake or beach management district bond, rates and charges, special assessments, or guaranty fund.  Tax revenues shall not be used to secure or guarantee the payment of the principal of or interest on lake or beach management district bonds.  Notwithstanding the provisions of this subsection, nothing in this section may be interpreted as limiting a county's issuance of bonds pursuant to RCW 36.67.010 in order to assist in the financing of improvements to lakes or beaches located within or partially within the boundaries of the county, including without limitation lakes or beaches located within a lake or beach management district.

(b) The substance of the limitations included in this subsection (4) shall be plainly printed, written, engraved, or reproduced on:  (((a))) (i) Each lake or beach management district bond that is a physical instrument; (((b))) (ii) the official notice of sale; and (((c))) (iii) each official statement associated with the lake or beach management district bonds.

                (((3))) (5) If the county fails to make any principal or interest payments on any lake or beach management district bond or to promptly collect any special assessment securing ((the)) lake or beach management district revenue bonds when due, the owner of the lake or beach management district revenue bond may obtain a writ of mandamus from any court of competent jurisdiction requiring the county to collect the special assessments, foreclose on the related lien, and make payments out of the special fund or guaranty fund if one exists.  Any number of owners of lake or beach management districts may join as plaintiffs.

                (((4))) (6) A county may create a lake or beach management district bond guaranty fund for each issue of lake or beach management district bonds.  The guaranty fund shall only exist for the life of the lake or beach management district bonds with which it is associated.  A portion of the bond proceeds may be placed into a guaranty fund.  Unused moneys remaining in the guaranty fund during the last two years of the installments shall be used to proportionally reduce the required level of installments and shall be transferred into the special fund into which installment payments are placed.  A county may, in the discretion of the legislative authority of the county, deposit amounts into a lake or beach management district bond guaranty fund from any money legally available for that purpose.  Any amounts remaining in the guaranty fund after the repayment of all revenue bonds secured thereby and the payment of assessment installments, may be applied to lake or beach improvement and maintenance activities or to other district purposes.

                (((5))) (7) Lake or beach management district bonds shall be issued and sold in accordance with chapter 39.46 RCW.  The authority to create a special fund or funds shall include the authority to create accounts within a fund.

Sec. 8.  RCW 36.61.030 and 2008 c 301 s 5 are each amended to read as follows:

                A lake or beach management district may be initiated upon either the adoption of a resolution of intention by a county legislative authority or the filing of a petition signed by ten landowners or the owners of at least ((fifteen)) twenty percent of the acreage contained within the proposed lake or beach management district, whichever is greater.  A petition or resolution of intention shall set forth:  (1) The nature of the lake or beach improvement or maintenance activities proposed to be financed; (2) the amount of money proposed to be raised by special assessments or rates and charges; (3) if special assessments are to be imposed, whether the special assessments will be imposed annually for the duration of the lake or beach management district, or the full special assessments will be imposed at one time, with the possibility of installments being made to finance the issuance of lake or beach management district bonds, or both methods; (4) if rates and charges are to be imposed, the annual amount of revenue proposed to be collected and whether revenue bonds payable from the rates and charges are proposed to be issued; (5) the number of years proposed for the duration of the lake or beach management district; and (6) the proposed boundaries of the lake or beach management district.

                The county legislative authority may require the posting of a bond of up to five thousand dollars before the county considers the proposed creation of a lake or beach management district initiated by petition.  The bond may only be used by the county to finance its costs in studying, holding hearings, making notices, preparing special assessment rolls or rolls showing the rates and charges on each parcel, and conducting elections related to the lake or beach management district if the proposed lake or beach management district is not created.

                A resolution of intention shall also designate the number of the proposed lake or beach management district, and fix a date, time, and place for a public hearing on the formation of the proposed lake or beach management district.  The date for the public hearing shall be at least thirty days and no more than ninety days after the adoption of the resolution of intention unless an emergency exists.

                Petitions shall be filed with the county legislative authority.  The county legislative authority shall determine the sufficiency of the signatures, which shall be conclusive upon all persons.  No person may withdraw his or her name from a petition after it is filed.  If the county legislative authority determines a petition to be sufficient and the proposed lake or beach management district appears to be in the public interest and the financing of the lake or beach improvement or maintenance activities is feasible, it shall adopt a resolution of intention, setting forth all of the details required to be included when a resolution of intention is initiated by the county legislative authority.

NEW SECTION.  Sec. 9.  A new section is added to chapter 36.61 RCW to read as follows:

                (1) In connection with the acquisition of real property or property rights within or outside a lake or beach management district, a county may:  (a) Own real property and property rights, including without limitation conservation easements; (b) transfer real property and property rights to another state or local governmental entity; (c) contract with a public or private entity, including without limitation a financial institution with trust powers, a municipal corporation, or a nonprofit corporation, to hold real property or property rights such as conservation easements in trust for the purposes of the lake and beach management district, and, in connection with those services, to pay the reasonable costs of that financial institution or nonprofit corporation; (d) monitor and enforce the terms of a real property right such as a conservation easement, or for that purpose to contract with a public or private entity, including without limitation a financial institution with trust powers, a municipal corporation, or a nonprofit corporation; (e) impose terms, conditions, and encumbrances upon real property or property rights acquired in respect of a lake or beach management district, and amend the same; and (f) accept gifts, grants, and loans in connection with the acquisition of real property and property rights for lake or beach management district purposes.

                (2) If a county contracts with a financial institution, municipal corporation, or nonprofit corporation to hold that property or property rights in trust for purposes of the district, the terms of the contract must provide that the financial institution, municipal corporation, or nonprofit corporation may not sell, pledge, or hypothecate the property or property rights for any purpose, and must further provide for the return of the property or property rights back to the county in the event of a material breach of the terms of the contract.

                (3) Before a lake or beach management district in existence as of the effective date of this section exercises the powers set forth in this section, the legislative authority of the county must provide for an amended resolution of intention and modify the plan for the district, with a public hearing, all as provided in RCW 36.61.050.

Sec. 10.  RCW 36.61.170 and 2008 c 301 s 18 are each amended to read as follows:

(1) The total annual special assessments may not exceed the estimated cost of the lake or beach improvement or maintenance activities proposed to be financed by such special assessments, as specified in the resolution of intention.  The total of special assessments imposed in a lake or beach management district that are of the nature of special assessments imposed in a local improvement district shall not exceed one hundred fifty percent of the estimated total cost of the lake or beach improvement or maintenance activities that are proposed to be financed by the lake or beach management district as specified in the resolution of intention.

(2) After a lake or beach management district has been created, the resolution of intention may be amended to increase or otherwise modify the amount to be financed by the lake or beach management district by using the same procedure in which a lake or beach management district is created, including landowner approvals consistent with the procedures established in RCW 36.61.080 through 36.61.100.

NEW SECTION.  Sec. 11.  A new section is added to chapter 36.61 RCW to read as follows:

                (1) Except when lake or beach management district bonds are outstanding or when an existing contract might otherwise be impaired, a lake or beach management district may be dissolved either by:  The county legislative authority upon a finding that the purposes of the district have been accomplished; or a vote of the property owners within the district, if proposed by the legislative authority of the county or through the filing of a sufficient petition signed by the owners of at least twenty percent of the acreage within the district.

                (2) If the question of dissolution of a district is submitted to property owners, the balloting is subject to the following conditions, which must be included in the instructions mailed with each ballot, as provided in RCW 36.61.080:

                (a) A ballot must be mailed to each owner or reputed owner of any lot, tract, parcel of land, or other property within the district, with the ballot weighted so that a property owner has one vote for each dollar of special assessment or rates and charges imposed on his or her property;

                (b) A ballot must be signed by the owner or reputed owner of property according to the assessor's tax rolls;

                (c) Each ballot must be returned to the county legislative authority no later than 5:00 p.m. of a specified day, which must be at least twenty, but not more than thirty days after the ballots are mailed; and

                (d) Each property owner must mark his or her ballot for or against the dissolution of the district.

                (3) If, following the tabulation of the valid ballots, a simple majority of the votes cast are in favor of dissolving the district, the district must be dissolved on the date established in the ballot proposition.

                (4) A county, although not separately responsible for satisfying the financial obligations of a dissolved district, has full authority to continue imposing special assessments, rates, and charges for a dissolved district until all financial obligations of the district incurred prior to its dissolution have been extinguished or retired."

                Correct the title.

 

Signed by Representatives Takko, Chair; Gregerson, Vice Chair; Farrell; Fitzgibbon; Pike and Springer.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Overstreet, Ranking Minority Member; Kochmar, Assistant Ranking Minority Member and Taylor.

 

Referred to Committee on Finance.

 

February 25, 20140)

SB 6045             Prime Sponsor, Senator Brown: Promoting economic development through enhancing transparency and predictability of state agency permitting and review processes.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  On December 30, 2013, the Washington state auditor's office issued a performance audit report, finding that state agencies could shorten the time it takes to submit, review, and make decisions on business permit applications through simple improvements.  In response to the performance audit findings, the legislature intends to improve the predictability and efficiency of permit decisions by making information about permitting assistance and timelines more readily available to the public.  The legislature finds that providing citizens and businesses with better information about permit decisions will assist their planning and decision making, promoting economic development.  Making permit performance data readily accessible to citizens helps them hold government accountable to a high level of customer service and timeliness.  Finally, requiring agencies to track the time it takes to issue permits equips agency leaders with key information that can assist them in improving overall project schedules, better allocating resources, and identifying additional opportunities to better serve the public.

NEW SECTION.  Sec. 2.  The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

                (1) "Agency" means the following executive branch agencies and offices of statewide elected officials:

                (a) Department of agriculture;

                (b) Department of archaeology and historic preservation;

                (c) Department of ecology;

                (d) Department of fish and wildlife;

                (e) Gambling commission;

                (f) Department of health;

                (g) Department of labor and industries;

                (h) Department of licensing;

                (i) Liquor control board;

                (j) Department of natural resources;

                (k) Parks and recreation commission;

                (l) Department of revenue;

                (m) Department of transportation; and

                (n) Utilities and transportation commission.

                (2) "Office" means the office of regulatory assistance.

NEW SECTION.  Sec. 3.  (1) By June 30, 2014, each agency shall prepare and submit to the office an inventory of all the business permits indicated in the December 30, 2013, performance audit report by the state auditor.

                (2)(a) Each agency shall track and record the time it takes to make permitting decisions.

                (b) Agencies are encouraged to track all relevant information that can assist Washington businesses in determining how long a permit process will take so that the businesses may successfully plan their activities and make sound investment choices, reduce permitting costs to the taxpayers in the form of unnecessary or duplicate staff work, and avoid permitting decision delays that can result in higher costs and lost revenue.

                (c) At a minimum, each agency shall track and record the following information for each permit application it receives or decision it issues:

                (i) The application completion time, which is the time elapsed from the initial submission of an application by an entity seeking a permit to the time at which the agency has determined that the application is complete; and

                (ii) The permit decision time, which is the time elapsed from receipt of a complete application to the agency's issuance of a decision approving or denying the permit.

                (3) Each agency shall calculate, for each permit it has identified in its inventory, the following performance data:

                (a) The average application completion and permit decision times for each permit, as measured by the times tracked for ninety percent of applications or permit decisions, excluding the five percent that took the shortest and the five percent that took the longest;

                (b) The maximum application completion time, excluding applications that were withdrawn or never completed; and

                (c) The maximum permit decision time.

                (4) Each agency shall report to the office, as provided in this subsection (4).

                (a) By March 1, 2016, each agency shall report the times calculated under subsection (3) of this section for the period from January 1, 2015, to January 1, 2016.

                (b) By March 1, 2018, and March 1, 2020, each agency shall report based on the times tracked and calculated since the previous reporting period.

                (c) In each of the reports required under this section, each agency shall submit an updated inventory of permits.  Each agency shall identify any permits listed in its inventory for which the agency has not yet posted permit processing times and other information as required under section 4 of this act and an estimated date for such posting prior to June 30, 2015.

                (5) The office shall make available to the legislature, upon request, the individual agency reports submitted under subsection (4) of this section.

NEW SECTION.  Sec. 4.  (1) To provide meaningful customer service that informs project planning and decision making by the citizens and businesses served, each agency must make available to permit applicants the following information through a link from the agency's web site to the office's web site, as provided in subsection (4) of this section:

                (a) A list of the types of permit assistance available and how such assistance may be accessed;

                (b) An estimate of the time required by the agency to process a permit application and issue a decision;

                (c) Other tools to help applicants successfully complete a thorough application, such as:

                (i) Examples of model completed applications;

                (ii) Examples of approved applications, appropriately redacted to remove sensitive information; and

                (iii) Checklists for ensuring a complete application.

                (2) Each agency shall update at reasonable intervals the information it posts pursuant to this section.

                (3)(a) Agencies must post the information required under subsection (1) of this section for all permits as soon as practicable, and no later than the deadlines established in this section.

                (b) The agency shall post the permit inventory for that agency and the information required under subsection (1)(a) and (c) of this section no later than June 30, 2014.

                (c) The agency shall post the estimates of application completion and permit decision times required under subsection (1)(b) of this section based on actual data for calendar year 2015 by March 1, 2016, and update this information for the previous calendar year, by March 1st of each year thereafter.

                (d) Agencies must consider the customer experience in ensuring all permit assistance information is simple to use, easy to access, and designed in a customer-friendly manner.

                (4) To ensure agencies can post the required information online with minimal expenditure of agency resources, the office of the chief information officer shall, in consultation with the office of regulatory assistance, establish a central repository of this information, hosted on the office of regulatory assistance's web site.  Each agency shall include at least one link to the central repository from the agency's web site.  Agencies shall place the link or links in such locations as the agency deems will be most customer-friendly and maximize accessibility of the information to users of the web site.

                (5) The office shall ensure the searchability of the information posted on the central repository, applying industry best practices such as search engine optimization, to ensure that the permit performance and assistance information is readily findable and accessible by members of the public.

NEW SECTION.  Sec. 5.  (1) By September 30th of 2016 and each even-numbered year thereafter up to and including 2020, the office shall publish a comprehensive progress report to the economic development committees of the house of representatives and the senate and to the governor on the performance of agencies in tracking permit timelines and other efforts to improve clarity and predictability of regulatory permitting.  The report must include at a minimum for each agency a summary of the data reported by the agency to the office under section 3(4) of this act.

                (2) The office shall post the comprehensive progress report on its web site.  The report must be easily accessible and designed in a customer-friendly format.

                (3) Beginning with the 2016 report, the office must identify permits with processing and decision times that are most improved and processing and decision times that are most in need of improvement, as indicated by the performance data collected under section 3 of this act.  Each agency may include a statement describing any process improvements the agency has identified for implementation in order to improve processing and decision times.

Sec. 6.  RCW 43.17.385 and 2005 c 384 s 3 are each amended to read as follows:

                (1) Each state agency shall, within available funds, develop and implement a quality management, accountability, and performance system to improve the public services it provides.

                (2) Each agency shall ensure that managers and staff at all levels, including those who directly deliver services, are engaged in the system and shall provide managers and staff with the training necessary for successful implementation.

                (3) Each agency shall, within available funds, ensure that its quality management, accountability, and performance system:

                (a) Uses strategic business planning to establish goals, objectives, and activities consistent with the priorities of government, as provided in statute;

                (b) Engages stakeholders and customers in establishing service requirements and improving service delivery systems;

                (c) Includes clear, relevant, and easy-to-understand measures for each activity;

                (d) Gathers, monitors, and analyzes activity data;

                (e) Uses the data to evaluate the effectiveness of programs to manage process performance, improve efficiency, and reduce costs;

                (f) Establishes performance goals and expectations for employees that reflect the organization's objectives; and provides for regular assessments of employee performance;

                (g) Uses activity measures to report progress toward agency objectives to the agency director at least quarterly;

                (h) Where performance is not meeting intended objectives, holds regular problem-solving sessions to develop and implement a plan for addressing gaps; and

                (i) Allocates resources based on strategies to improve performance.

                (4) Each agency shall conduct a yearly assessment of its quality management, accountability, and performance system.

                (5) State agencies whose chief executives are appointed by the governor shall report to the governor on agency performance at least quarterly.  The reports shall be included on the agencies', the governor's, and the office of financial management's web sites.

                (6) The governor shall report annually to citizens on the performance of state agency programs.  The governor's report shall include:

                (a) Progress made toward the priorities of government as a result of agency activities; and

                (b) Improvements in agency quality management systems, fiscal efficiency, process efficiency, asset management, personnel management, statutory and regulatory compliance, and management of technology systems.

                (7) Each state agency shall integrate efforts made under this section with other management, accountability, and performance systems, including procedures implemented under chapter 43.--- RCW (the new chapter created in section 7 of this act), undertaken under executive order or other authority.

NEW SECTION.  Sec. 7.  Sections 1 through 5 of this act constitute a new chapter in Title 43 RCW.

NEW SECTION.  Sec. 8.  If specific funding for the purposes of this act, referencing this act by bill or chapter number, is not provided by June 30, 2014, in the omnibus appropriations act, this act is null and void."

                Correct the title.

 

Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member; Carlyle; Christian; Kretz; Manweller; Orwall; Robinson and Van De Wege.

 

Referred to Committee on Appropriations.

 

February 25, 20140)

SSB 6046           Prime Sponsor, Committee on Commerce & Labor: Implementing procedures concerning certain whistleblowers.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6054           Prime Sponsor, Committee on Transportation: Regarding aeronautic safety.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Freeman; Habib; Hawkins; Hayes; Johnson; Klippert; Kochmar; Moeller; Morris; Muri; Ortiz-Self; Pike; Riccelli; Rodne; Ryu; Sells; Takko; Tarleton; Walkinshaw and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Overstreet, Assistant Ranking Minority Member; Shea and Young.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6059             Prime Sponsor, Senator Brown: Concerning charges for scanning public records.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member; Carlyle; Christian; Kretz; Manweller; Orwall; Robinson and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6060           Prime Sponsor, Committee on Governmental Operations: Concerning certain public water systems.  Reported by Committee on Local Government

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 36.70A.035 and 1999 c 315 s 708 are each amended to read as follows:

                (1) The public participation requirements of this chapter shall include notice procedures that are reasonably calculated to provide notice to property owners and other affected and interested individuals, tribes, government agencies, businesses, school districts, group A public water systems that are publicly owned and are required to develop water system plans consistent with state board of health rules adopted under RCW 43.20.050, and organizations of proposed amendments to comprehensive plans and development regulation.  Examples of reasonable notice provisions include:

                (a) Posting the property for site-specific proposals;

                (b) Publishing notice in a newspaper of general circulation in the county, city, or general area where the proposal is located or that will be affected by the proposal;

                (c) Notifying public or private groups with known interest in a certain proposal or in the type of proposal being considered;

                (d) Placing notices in appropriate regional, neighborhood, ethnic, or trade journals; and

                (e) Publishing notice in agency newsletters or sending notice to agency mailing lists, including general lists or lists for specific proposals or subject areas.

                (2)(a) Except as otherwise provided in (b) of this subsection, if the legislative body for a county or city chooses to consider a change to an amendment to a comprehensive plan or development regulation, and the change is proposed after the opportunity for review and comment has passed under the county's or city's procedures, an opportunity for review and comment on the proposed change shall be provided before the local legislative body votes on the proposed change.

                (b) An additional opportunity for public review and comment is not required under (a) of this subsection if:

                (i) An environmental impact statement has been prepared under chapter 43.21C RCW for the pending resolution or ordinance and the proposed change is within the range of alternatives considered in the environmental impact statement;

                (ii) The proposed change is within the scope of the alternatives available for public comment;

                (iii) The proposed change only corrects typographical errors, corrects cross-references, makes address or name changes, or clarifies language of a proposed ordinance or resolution without changing its effect;

                (iv) The proposed change is to a resolution or ordinance making a capital budget decision as provided in RCW 36.70A.120; or

                (v) The proposed change is to a resolution or ordinance enacting a moratorium or interim control adopted under RCW 36.70A.390.

                (3) This section is prospective in effect and does not apply to a comprehensive plan, development regulation, or amendment adopted before July 27, 1997."

                Correct the title.

 

Signed by Representatives Takko, Chair; Gregerson, Vice Chair; Kochmar, Assistant Ranking Minority Member; Farrell; Fitzgibbon; Pike and Springer.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Overstreet, Ranking Minority Member and Taylor.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

2SSB 6062         Prime Sponsor, Committee on Ways & Means: Requiring internet access to public school data and expenditure information.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  It is the legislature's intent to improve the transparency of certain public school data and expenditure information that may currently be available as a public record but is not easily accessible to the general public.  For example, there is not a consistent policy for providing easy access to information about either public school employee collective bargaining agreements or associated student body program funds.

NEW SECTION.  Sec. 2.  A new section is added to chapter 28A.320 RCW to read as follows:

                Each school district, charter school, and state-tribal compact school must publish on its web site a copy of its public school employee collective bargaining agreements by September 1, 2014, and thereafter must update the web site within thirty days of approval, renewal, or amendment of any such agreement.

NEW SECTION.  Sec. 3.  A new section is added to chapter 28A.325 RCW to read as follows:

                (1) Each school district that has an associated student body program fund must publish the following information about the fund on its web site:

                (a) The fund balance at the beginning of the school year;

                (b) Summary data about expenditures and revenues occurring over the course of the school year; and

                (c) The fund balance at the end of the school year.

                (2) The information under this section must be published for each associated student body of the district and each account within the associated student body program fund.

                (3) If the school district web site contains separate web sites for schools in the district, the information under this section must be published on the web site of the applicable school of the associated student body.

                (4) No later than August 31, 2014, school districts must publish the information under this section on their web sites for the 2012-13 and 2013-14 school years.  School districts must add updated annual information to their web sites by each August 31st, except that school districts are only required to maintain the information on the web site from the previous five years."

                Correct the title.

 

Signed by Representatives Santos, Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Haigh; Hargrove; Hawkins; Hayes; Klippert; Lytton; Muri; Orwall; Parker; Seaquist and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Stonier, Vice Chair; Fey; Hunt, S. and Pollet.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6065             Prime Sponsor, Senator King: Protecting children under the age of eighteen from the harmful effects of exposure to ultraviolet radiation associated with tanning devices.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

                (1) "Tanning facility" means any location, place, area, structure, or business that provides persons access to any ultraviolet tanning device for a fee.

                (2) "Ultraviolet tanning device" means equipment that emits electromagnetic radiation with wavelengths in the air between two hundred and four hundred nanometers used for tanning of the skin including, but not limited to, a sunlamp, tanning booth, or tanning bed.  An ultraviolet tanning device does not mean a phototherapy device which may be used by or under the direct supervision of a licensed physician who is trained in the use of phototherapy devices.

NEW SECTION.  Sec. 2.  (1) Persons under eighteen years of age are prohibited from using an ultraviolet tanning device without a written prescription for ultraviolet radiation treatment from a physician licensed under chapter 18.57 or 18.71 RCW.

                (2) Proof of age must be satisfied with a driver's license or other government-issued identification containing the date of birth and a photograph of the individual.

NEW SECTION.  Sec. 3.  The owner of a tanning facility that violates this chapter is liable for a civil penalty not to exceed two hundred fifty dollars per violation in addition to any other penalty established by law.

NEW SECTION.  Sec. 4.  Sections 1 through 3 of this act constitute a new chapter in Title 18 RCW."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Clibborn; Green; Jinkins; Moeller; Morrell; Rodne; Tharinger and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; DeBolt; Hunt, G.; Manweller; Ross and Short.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6074           Prime Sponsor, Committee on Early Learning & K-12 Education: Enacting provisions to improve educational outcomes for homeless students.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Lytton; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6093             Prime Sponsor, Senator Rolfes: Allowing valid portable background check clearance cards issued by the department of early learning to be used by certain educational employees and their contractors for purposes of their background check requirements.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Lytton; Muri; Orwall; Pollet; Seaquist and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Klippert and Parker.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6095           Prime Sponsor, Committee on Human Services & Corrections: Addressing background checks for persons who will have access to children or vulnerable adults.  Reported by Committee on Early Learning & Human Services

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 43.43.842 and 2007 c 387 s 4 are each amended to read as follows:

                (1)(a) The secretary of social and health services and the secretary of health shall adopt additional requirements for the licensure or relicensure of agencies, facilities, and licensed individuals who provide care and treatment to vulnerable adults, including nursing pools registered under chapter 18.52C RCW.  These additional requirements shall ensure that any person associated with a licensed agency or facility having unsupervised access with a vulnerable adult shall not be the respondent in an active protective order under RCW 74.34.130, nor have been:  (i) Convicted of a crime against persons as defined in RCW 43.43.830, except as provided in this section; (ii) convicted of crimes relating to financial exploitation as defined in RCW 43.43.830, except as provided in this section; or (iii) found in any disciplinary board final decision to have abused a vulnerable adult under RCW 43.43.830.

                (b) A person associated with a licensed agency or facility who has unsupervised access with a vulnerable adult shall make the disclosures specified in RCW 43.43.834(2).  The person shall make the disclosures in writing, sign, and swear to the contents under penalty of perjury.  The person shall, in the disclosures, specify all crimes against children or other persons, all crimes relating to financial exploitation, and all crimes relating to drugs as defined in RCW 43.43.830, committed by the person.

                (2) The rules adopted under this section shall permit the licensee to consider the criminal history of an applicant for employment in a licensed facility when the applicant has one or more convictions for a past offense and:

                (a) The offense was simple assault, assault in the fourth degree, or the same offense as it may be renamed, and three or more years have passed between the most recent conviction and the date of application for employment;

                (b) The offense was prostitution, or the same offense as it may be renamed, and three or more years have passed between the most recent conviction and the date of application for employment;

                (c) The offense was theft in the third degree, or the same offense as it may be renamed, and three or more years have passed between the most recent conviction and the date of application for employment;

                (d) The offense was theft in the second degree, or the same offense as it may be renamed, and five or more years have passed between the most recent conviction and the date of application for employment;

                (e) The offense was forgery, or the same offense as it may be renamed, and five or more years have passed between the most recent conviction and the date of application for employment;
                (f) The department of social and health services reviewed the employee's otherwise disqualifying criminal history through the department of social and health services' background assessment review team process conducted in 2002, and determined that such employee could remain in a position covered by this section; or
                (g) The otherwise disqualifying conviction or disposition has been the subject of a pardon, annulment, or other equivalent procedure.

                The offenses set forth in (a) through (((e))) (g) of this subsection do not automatically disqualify an applicant from employment by a licensee.  Nothing in this section may be construed to require the employment of any person against a licensee's judgment.

                (3) In consultation with law enforcement personnel, the secretary of social and health services and the secretary of health shall investigate, or cause to be investigated, the conviction record and the protection proceeding record information under this chapter of the staff of each agency or facility under their respective jurisdictions seeking licensure or relicensure.  An individual responding to a criminal background inquiry request from his or her employer or potential employer shall disclose the information about his or her criminal history under penalty of perjury.  The secretaries shall use the information solely for the purpose of determining eligibility for licensure or relicensure.  Criminal justice agencies shall provide the secretaries such information as they may have and that the secretaries may require for such purpose.

Sec. 2.  RCW 43.20A.710 and 2012 c 164 s 505 are each amended to read as follows:

                (1) The secretary shall investigate the conviction records, pending charges and disciplinary board final decisions of:

                (a) Any current employee or applicant seeking or being considered for any position with the department who will or may have unsupervised access to children, vulnerable adults, or individuals with mental illness or developmental disabilities.  This includes, but is not limited to, positions conducting comprehensive assessments, financial eligibility determinations, licensing and certification activities, investigations, surveys, or case management; or for state positions otherwise required by federal law to meet employment standards;

                (b) Individual providers who are paid by the state and providers who are paid by home care agencies to provide in-home services involving unsupervised access to persons with physical, mental, or developmental disabilities or mental illness, or to vulnerable adults as defined in chapter 74.34 RCW, including but not limited to services provided under chapter 74.39 or 74.39A RCW; and

                (c) Individuals or businesses or organizations for the care, supervision, case management, or treatment of children, persons with developmental disabilities, or vulnerable adults, including but not limited to services contracted for under chapter 18.20, 70.127, 70.128, 72.36, or 74.39A RCW or Title 71A RCW.

                (2) The secretary shall require a fingerprint-based background check through both the Washington state patrol and the federal bureau of investigation as provided in RCW 43.43.837.  Unless otherwise authorized by law, the secretary shall use the information solely for the purpose of determining the character, suitability, and competence of the applicant.

                (3) Except as provided in subsection (4) of this section, an individual provider or home care agency provider who has resided in the state less than three years before applying for employment involving unsupervised access to a vulnerable adult as defined in chapter 74.34 RCW must be fingerprinted for the purpose of investigating conviction records through both the Washington state patrol and the federal bureau of investigation.  This subsection applies only with respect to the provision of in-home services funded by medicaid personal care under RCW 74.09.520, community options program entry system waiver services under RCW 74.39A.030, or chore services under RCW 74.39A.110.  However, this subsection does not supersede RCW 74.15.030(2)(b).

                (4) Long-term care workers, as defined in RCW 74.39A.009, who are hired after January 7, 2012, are subject to background checks under RCW 74.39A.056, except that the department may require a background check at any time under RCW 43.43.837.  For the purposes of this subsection, "background check" includes, but is not limited to, a fingerprint check submitted for the purpose of investigating conviction records through both the Washington state patrol and the federal bureau of investigation.

                (5) An individual provider or home care agency provider hired to provide in-home care for and having unsupervised access to a vulnerable adult as defined in chapter 74.34 RCW must have no conviction for a disqualifying crime under RCW 43.43.830 and 43.43.842.  An individual or home care agency provider must also have no conviction for a crime relating to drugs as defined in RCW 43.43.830.  This subsection applies only with respect to the provision of in-home services funded by medicaid personal care under RCW 74.09.520, community options program entry system waiver services under RCW 74.39A.030, or chore services under RCW 74.39A.110.

                (6) The secretary shall provide the results of the state background check on long-term care workers, including individual providers, to the persons hiring them or to their legal guardians, if any, for their determination of the character, suitability, and competence of the applicants.  If the person elects to hire or retain an individual provider after receiving notice from the department that the applicant has a conviction for an offense that would disqualify the applicant from having unsupervised access to persons with physical, mental, or developmental disabilities or mental illness, or to vulnerable adults as defined in chapter 74.34 RCW, then the secretary shall deny payment for any subsequent services rendered by the disqualified individual provider.

                (7) Criminal justice agencies shall provide the secretary such information as they may have and that the secretary may require for such purpose.

(8) Any person whose criminal history would otherwise disqualify the person under this section from a position which will or may have unsupervised access to children, vulnerable adults, or persons with mental illness or developmental disabilities shall not be disqualified if the department of social and health services reviewed the person's otherwise disqualifying criminal history through the department of social and health services' background assessment review team process conducted in 2002 and determined that such person could remain in a position covered by this section, or if the otherwise disqualifying conviction or disposition has been the subject of a pardon, annulment, or other equivalent procedure.

NEW SECTION.  Sec. 3.  A new section is added to chapter 74.15 RCW to read as follows:

                If an agency operating under contract with the children's administration chooses to hire an individual that would be precluded from employment with the department based on a disqualifying crime or negative action, the department and its officers and employees have no liability arising from any injury or harm to a child or other department client that is attributable to such individual.

Sec. 4.  RCW 74.13.700 and 2013 c 162 s 2 are each amended to read as follows:

                (1) In determining the character, suitability, and competence of an individual, the department may not:

                (a) Deny or delay a license or approval of unsupervised access to children to an individual solely because of a crime or civil infraction involving the individual or entity revealed in the background check process that ((is not on the secretary's list of crimes and negative actions and is not related)) does not fall within the categories of disqualifying crimes described in the adoption and safe families act of 1997 or does not relate directly to child safety, permanence, or well- being; or

                (b) Delay the issuance of a license or approval of unsupervised access to children by requiring the individual to obtain records relating to a crime or civil infraction revealed in the background check process that ((is not on the secretary's list of crimes and negative actions and is not related)) does not fall within the categories of disqualifying crimes described in the adoption and safe families act of 1997 or does not relate directly to child safety, permanence, or well-being ((and is not a permanent disqualifier pursuant to department rule)).

                (2) If the department determines that an individual does not possess the character, suitability, or competence to provide care or have unsupervised access to a child, it must provide the reasons for its decision in writing with copies of the records or documents related to its decision to the individual within ten days of making the decision.

                (3) For purposes of this section, "individual" means a relative as defined in RCW 74.15.020(2)(a), an "other suitable person" under chapter 13.34 RCW, a person pursuing licensing as a foster parent, or a person employed or seeking employment by a business or organization licensed by the department or with whom the department has a contract to provide care, supervision, case management, or treatment of children in the care of the department.  "Individual" does not include long-term care workers defined in RCW 74.39A.009(17)(a) whose background checks are conducted as provided in RCW 74.39A.056.

                (4) The department or its officers, agents, or employees may not be held civilly liable based upon its decision to grant or deny unsupervised access to children if the background information it relied upon at the time the decision was made did not indicate that child safety, permanence, or well-being would be a concern."

                Correct the title.

 

Signed by Representatives Kagi, Chair; Freeman, Vice Chair; Walsh, Ranking Minority Member; Scott, Assistant Ranking Minority Member; Fagan; Goodman; Ortiz-Self; Roberts; Sawyer; Senn; Young and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6105           Prime Sponsor, Committee on Early Learning & K-12 Education: Concerning school library information and technology programs.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Lytton.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

SB 6114             Prime Sponsor, Senator Benton: Revising local government treasury practices and procedures.  Reported by Committee on Local Government

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 36.29.190 and 2003 c 23 s 8 are each amended to read as follows:

                ((County treasurers are authorized to accept credit cards, charge cards, debit cards, smart cards, stored value cards, federal wire, and automatic clearinghouse system transactions, or other electronic communication, for any payment of any kind including, but not limited to, taxes, fines, interest, penalties, special assessments, fees, rates, charges, or moneys due counties.  A payer desiring to pay by a credit card, charge card, debit card, smart card, stored value card, federal wire, automatic clearinghouse system, or other electronic communication shall bear the cost of processing the transaction in an amount determined by the treasurer, unless the county legislative authority or the legislative authority of a district where the county treasurer serves as ex officio treasurer finds that it is in the best interests of the county or district to not charge transaction processing costs for all payment transactions made for a specific category of nontax payments received by the county treasurer, including, but not limited to, fines, interest not associated with taxes, penalties not associated with taxes, special assessments, fees, rates, and charges.  The treasurer's cost determination shall be based upon costs incurred by the treasurer and may not, in any event, exceed the additional direct costs incurred by the county to accept the specific form of payment utilized by the payer.))

(1) County treasurers are authorized to accept electronic payments for payment of any kind including, but not limited to, payment for taxes, fines, interest, penalties, special assessments, fees, rates, charges, or moneys due counties.
                (a) The county treasurer must determine the amount of the transaction processing cost for electronic payments.  The county treasurer's determination must be based upon costs incurred by the treasurer and may not, in any event, exceed the additional direct costs incurred by the county to accept the specific form of payment utilized by the payer.
                (b) A payer using electronic payment must pay the transaction processing cost, except as otherwise provided in this section.
                (2) For payments for taxes, interest associated with taxes, and penalties associated with taxes that are made by automatic clearinghouse system, federal wire, or other electronic communication, any fee associated with the transaction may be absorbed within the county treasurer's banking services budget.
                (3) A county treasurer may elect to not charge transaction processing costs for all payments made for a specific category of nontax payments if the county legislative authority, or the legislative authority of a district where the county treasurer serves as ex officio treasurer, finds that not charging such transaction processing costs is in the best interests of the county or district.  Interest and penalties associated with such transaction processing costs may be absorbed by the county department or taxing district assessing the payment transactions.
                (4) For purposes of this section, the following definitions apply:
                (a) "Electronic payment" means a payment made using the following:  Credit cards, charge cards, debit cards, smart cards, stored value cards, federal wire, automatic clearinghouse system transactions, or other electronic communication;
                (b) "Nontax payments" means payments received by the county treasurer that include payments for fines, interest not associated with taxes, penalties not associated with taxes, special assessments, fees, rates, charges, or moneys due counties; and
                (c) "Transaction processing cost" means the cost of processing an electronic payment as determined by the county treasurer.  This cost is based on costs incurred by the county treasurer and may not exceed the additional direct costs incurred by the county to accept a specific form of electronic payment utilized by the payer.

Sec. 2.  RCW 39.72.010 and 1975-'76 2nd ex.s. c 77 s 1 are each amended to read as follows:

(1) In case of the loss or destruction of a warrant for the payment of money, or any bond or other instrument or evidence of indebtedness, issued by any county, city or town, district or other political subdivision or municipal corporation of the state of Washington, hereinafter referred to as a municipal corporation, or by any department or agency of such municipal corporation, such municipal corporation may cause a duplicate to be issued in lieu thereof, subject to the same requirements and conditions, and according to the same procedure, as prescribed for the issuance of duplicate state instruments in RCW 43.08.064 and 43.08.066 as now or hereafter amended:  PROVIDED, That the requirements of RCW 43.08.066(2) shall not be applicable to instruments received by employees of the above issuers for the payment of salary or wages or as other compensation for work performed nor shall those requirements be applicable to instruments received by former employees or their beneficiaries for the payment of pension benefits.

(2)(a) In case of the loss or destruction of a warrant for the payment of money, or any bond or other instrument or evidence of indebtedness, issued by any local government officer or agency, the officer or the agency through its appropriate officer may issue or cause to be issued a duplicate in lieu thereof, bearing the same designation and for the same amount as the original.  The duplicate instrument is subject in all other respects to the same provisions of law as the original instrument.
                (b) Before a duplicate instrument is issued, the issuing officer shall require the person making application for its issue to file in his or her office a written affidavit specifically alleging on oath that he or she is the proper owner, payee, or legal representative of such owner or payee of the original instrument, giving the date of issue, the number, amount, and for what services or claim or purpose the original instrument or series of instruments of which it is a part was issued, and that the same has been lost or destroyed, and has not been paid, or has not been received by him or her:  PROVIDED, That in the event that an original and its duplicate instrument are both presented for payment as a result of forgery or fraud, the issuing officer shall be the office responsible for endeavoring to recover any losses suffered by the local government."

                Correct the title.

 

Signed by Representatives Takko, Chair; Gregerson, Vice Chair; Overstreet, Ranking Minority Member; Kochmar, Assistant Ranking Minority Member; Farrell; Fitzgibbon; Pike; Springer and Taylor.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6122             Prime Sponsor, Senator O'Ban: Concerning long-term planning for developmental disabilities services.  Reported by Committee on Early Learning & Human Services

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Kagi, Chair; Freeman, Vice Chair; Walsh, Ranking Minority Member; Scott, Assistant Ranking Minority Member; Fagan; Goodman; Ortiz-Self; Roberts; Sawyer; Senn; Young and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6124           Prime Sponsor, Committee on Health Care: Developing a state Alzheimer's plan.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Clibborn; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6128             Prime Sponsor, Senator Litzow: Concerning the delivery of medication and services by unlicensed school employees.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  Students in public schools are bringing more health conditions to school at the same time school districts are reducing nursing services.  As a result, school districts are becoming more dependent upon unlicensed, minimally trained, and many times unwilling classified employees to provide these services.

                Over the years, unlicensed employees have sought and received legislative approval for protections from employer reprisal if they refuse to deliver nursing services and liability protections if they provide nursing services that harm a student.  It is clear that unlicensed employees will be expected to deliver new medications and nursing services not currently recognized in state law to students in the future.

NEW SECTION.  Sec. 2.  A new section is added to chapter 28A.210 RCW to read as follows:

                (1) Beginning July 1, 2014, a school district employee not licensed under chapter 18.79 RCW who is asked to administer medications or perform nursing services not previously recognized in law shall at the time he or she is asked to administer the medication or perform the nursing service file, without coercion by the employer, a voluntary written, current, and unexpired letter of intent stating the employee's willingness to administer the new medication or nursing service.  It is understood that the letter of intent will expire if the conditions of acceptance are substantially changed.  If a school employee who is not licensed under chapter 18.79 RCW chooses not to file a letter under this section, the employee is not subject to any employer reprisal or disciplinary action for refusing to file a letter.

                (2) In the event a school employee provides the medication or service to a student in substantial compliance with (a) rules adopted by the state nursing care quality assurance commission and the instructions of a registered nurse or advanced registered nurse practitioner issued under such rules, and (b) written policies of the school district, then the employee, the employee's school district or school of employment, and the members of the governing board and chief administrator thereof are not liable in any criminal action or for civil damages in his or her individual, marital, governmental, corporate, or other capacity as a result of providing the medication or service.

                (3) The board of directors shall designate a professional person licensed under chapter 18.71, 18.57, or 18.79 RCW as it applies to registered nurses and advanced registered nurse practitioners to consult and coordinate with the student's parents and health care provider, and train and supervise the appropriate school district personnel in proper procedures to ensure a safe, therapeutic learning environment.  School employees must receive the training provided under this subsection before they are authorized to deliver the service or medication.  Such training must be provided, where necessary, on an ongoing basis to ensure that the proper procedures are not forgotten because the services or medication are delivered infrequently.

Sec. 3.  RCW 4.24.300 and 2004 c 87 s 1 are each amended to read as follows:

                (1) Any person, including but not limited to a volunteer provider of emergency or medical services, who without compensation or the expectation of compensation renders emergency care at the scene of an emergency or who participates in transporting, not for compensation, therefrom an injured person or persons for emergency medical treatment shall not be liable for civil damages resulting from any act or omission in the rendering of such emergency care or in transporting such persons, other than acts or omissions constituting gross negligence or willful or wanton misconduct.  Any person rendering emergency care during the course of regular employment and receiving compensation or expecting to receive compensation for rendering such care is excluded from the protection of this subsection.

                (2) Any licensed health care provider regulated by a disciplining authority under RCW 18.130.040 in the state of Washington who, without compensation or the expectation of compensation, provides health care services at a community health care setting is not liable for civil damages resulting from any act or omission in the rendering of such care, other than acts or omissions constituting gross negligence or willful or wanton misconduct.

                (3) For purposes of subsection (2) of this section, "community health care setting" means an entity that provides health care services and:

                (a) Is a clinic operated by a public entity or private tax exempt corporation, except a clinic that is owned, operated, or controlled by a hospital licensed under chapter 70.41 RCW unless the hospital-based clinic either:

                (i) Maintains and holds itself out to the public as having established hours on a regular basis for providing free health care services to members of the public to the extent that care is provided without compensation or expectation of compensation during those established hours; or

                (ii) Is participating, through a written agreement, in a community-based program to provide access to health care services for uninsured persons, to the extent that:

                (A) Care is provided without compensation or expectation of compensation to individuals who have been referred for care through that community-based program; and

                (B) The health care provider's participation in the community-based program is conditioned upon his or her agreement to provide health services without expectation of compensation;

                (b) Is a for-profit corporation that maintains and holds itself out to the public as having established hours on a regular basis for providing free health care services to members of the public to the extent that care is provided without compensation or expectation of compensation during those established hours; or

                (c) Is a for-profit corporation that is participating, through a written agreement, in a community-based program to provide access to health care services for uninsured persons, to the extent that:

                (i) Care is provided without compensation or expectation of compensation to individuals who have been referred for care through that community-based program; and

                (ii) The health care provider's participation in the community-based program is conditioned upon his or her agreement to provide health services without expectation of compensation.

(4) Any school district employee not licensed under chapter 18.79 RCW who renders emergency care at the scene of an emergency during an officially designated school activity or who participates in transporting therefrom an injured person or persons for emergency medical treatment shall not be liable for civil damages resulting from any act or omission in the rendering of such emergency care or in transporting such persons, other than acts or omissions constituting gross negligence or willful or wanton misconduct."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 4.  Students in public schools are bringing more health conditions to school at the same time school districts are reducing nursing services.  As a result, school districts are becoming more dependent upon unlicensed, minimally trained, and many times unwilling classified employees to provide these services.

                Over the years, unlicensed employees have sought and received legislative approval for protections from employer reprisal if they refuse to deliver nursing services and liability protections if they provide nursing services that harm a student.  It is clear that unlicensed employees will be expected to deliver new medications and nursing services not currently recognized in state law to students in the future.

NEW SECTION.  Sec. 5.  A new section is added to chapter 28A.210 RCW to read as follows:

                (1) Beginning July 1, 2014, a school district employee not licensed under chapter 18.79 RCW who is asked to administer medications or perform nursing services not previously recognized in law shall at the time he or she is asked to administer the medication or perform the nursing service file, without coercion by the employer, a voluntary written, current, and unexpired letter of intent stating the employee's willingness to administer the new medication or nursing service.  It is understood that the letter of intent will expire if the conditions of acceptance are substantially changed.  If a school employee who is not licensed under chapter 18.79 RCW chooses not to file a letter under this section, the employee is not subject to any employer reprisal or disciplinary action for refusing to file a letter.

                (2) In the event a school employee provides the medication or service to a student in substantial compliance with (a) rules adopted by the state nursing care quality assurance commission and the instructions of a registered nurse or advanced registered nurse practitioner issued under such rules, and (b) written policies of the school district or private school, then the employee, the employee's school district or school of employment, and the members of the governing board and chief administrator thereof are not liable in any criminal action or for civil damages in his or her individual, marital, governmental, corporate, or other capacity as a result of providing the medication or service.

                (3) The board of directors shall designate a professional person licensed under chapter 18.71, 18.57, or 18.79 RCW as it applies to registered nurses and advanced registered nurse practitioners to consult and coordinate with the student's parents and health care provider, and train and supervise the appropriate school district personnel in proper procedures to ensure a safe, therapeutic learning environment.  School employees must receive the training provided under this subsection before they are authorized to deliver the service or medication.  Such training must be provided, where necessary, on an ongoing basis to ensure that the proper procedures are not forgotten because the services or medication are delivered infrequently.

Sec. 6.  RCW 4.24.300 and 2004 c 87 s 1 are each amended to read as follows:

                (1) Any person, including but not limited to a volunteer provider of emergency or medical services, who without compensation or the expectation of compensation renders emergency care at the scene of an emergency or who participates in transporting, not for compensation, therefrom an injured person or persons for emergency medical treatment shall not be liable for civil damages resulting from any act or omission in the rendering of such emergency care or in transporting such persons, other than acts or omissions constituting gross negligence or willful or wanton misconduct.  Any person rendering emergency care during the course of regular employment and receiving compensation or expecting to receive compensation for rendering such care is excluded from the protection of this subsection.

                (2) Any licensed health care provider regulated by a disciplining authority under RCW 18.130.040 in the state of Washington who, without compensation or the expectation of compensation, provides health care services at a community health care setting is not liable for civil damages resulting from any act or omission in the rendering of such care, other than acts or omissions constituting gross negligence or willful or wanton misconduct.

                (3) For purposes of subsection (2) of this section, "community health care setting" means an entity that provides health care services and:

                (a) Is a clinic operated by a public entity or private tax exempt corporation, except a clinic that is owned, operated, or controlled by a hospital licensed under chapter 70.41 RCW unless the hospital-based clinic either:

                (i) Maintains and holds itself out to the public as having established hours on a regular basis for providing free health care services to members of the public to the extent that care is provided without compensation or expectation of compensation during those established hours; or

                (ii) Is participating, through a written agreement, in a community- based program to provide access to health care services for uninsured persons, to the extent that:

                (A) Care is provided without compensation or expectation of compensation to individuals who have been referred for care through that community-based program; and

                (B) The health care provider's participation in the community-based program is conditioned upon his or her agreement to provide health services without expectation of compensation;

                (b) Is a for-profit corporation that maintains and holds itself out to the public as having established hours on a regular basis for providing free health care services to members of the public to the extent that care is provided without compensation or expectation of compensation during those established hours; or

                (c) Is a for-profit corporation that is participating, through a written agreement, in a community-based program to provide access to health care services for uninsured persons, to the extent that:

                (i) Care is provided without compensation or expectation of compensation to individuals who have been referred for care through that community-based program; and

                (ii) The health care provider's participation in the community- based program is conditioned upon his or her agreement to provide health services without expectation of compensation.

(4) Any school district employee not licensed under chapter 18.79 RCW who renders emergency care at the scene of an emergency during an officially designated school activity or who participates in transporting therefrom an injured person or persons for emergency medical treatment shall not be liable for civil damages resulting from any act or omission in the rendering of such emergency care or in transporting such persons, other than acts or omissions constituting gross negligence or willful or wanton misconduct."

                Correct the title.

 

Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Lytton; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6129           Prime Sponsor, Committee on Early Learning & K-12 Education: Concerning paraeducator development.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature acknowledges that paraeducators have become a significant resource to students who need additional education assistance.  The legislature further recognizes that there is significant variability in paraeducator standards, training, and opportunity for professional development.  A carefully constructed paraeducator development program would place the highest qualified paraeducators working with the highest need students.  Such a program when combined with a career ladder could offer paraeducators real opportunities for upward mobility.  Since paraeducators more closely reflect the cultural diversity of the student population, a development program and career ladder would be likely to encourage more paraeducators to become teachers.  Training teachers how to work with a paraeducator in their classrooms could increase paraeducators' ability to teach students who need additional assistance.

NEW SECTION.  Sec. 2.  (1) The superintendent of public instruction shall convene a work group to examine the use of paraeducators across school districts, including their roles and types of assignments in the classroom and the variation in paraeducator deployment in support of teachers.  The work group must include paraeducators, teachers, school and school district administrators, school directors, and representatives of their respective associations.  The superintendent of public instruction shall submit the findings of the work group to the professional educator standards board by August 31, 2014, to inform the work of the board and the work group established under subsection (2) of this section.

                (2)(a) The professional educator standards board shall simultaneously convene a work group to design program specific minimum employment standards for paraeducators, professional development and education opportunities that support the standards, a paraeducator career ladder, an articulated pathway for teacher preparation and certification, and teacher professional development on how to maximize the use of paraeducators in the classroom.

                (b) The work group convened by the professional educator standards board must include representatives of:

                (i) The professional educator standards board; the Green River Community College center of excellence for careers in education; educational service districts; community and technical college paraeducator apprenticeship and certificate programs; colleges of education; teacher, paraeducator, principal, school director, and administrator associations; career and technical education; special education parents and advocacy organizations; community-based organizations representing immigrant and refugee communities and communities of color; the educational opportunity gap oversight and accountability committee; and the office of the superintendent of public instruction; and

                (ii) A maximum of two paraeducators from each program for which specific minimum employment standards will be designed.

                (3) By January 10, 2015, the work group convened by the professional educator standards board shall submit a report to the education committees of the legislature that recommends:

                (a) Multiple options for assuring minimum employment standards and professional development opportunities for paraeducators who work in:

                (i) English language learner programs, transitional bilingual instruction programs, and federal limited English proficiency programs; and

                (ii) The learning assistance program and federal disadvantaged program;

                (b) A career ladder that encourages paraeducators to pursue advanced education and professional development as well as increased instructional ability and responsibility;

                (c) An articulated pathway for teacher preparation that includes:

                (i) Paraeducator certificate and apprenticeship programs that offer course credits that apply to transferrable associate degrees and are aligned with the standards and competencies for teachers adopted by the professional educator standards board;

                (ii) Associate degree programs that build on and do not duplicate the courses and competencies of paraeducator certificate programs, incorporate field experiences, are aligned with the standards and competencies for teachers adopted by the professional educator standards board, and are transferrable to bachelor's degree in education programs and teacher certification programs;

                (iii) Bachelor's degree programs that lead to teacher certification that build on and do not duplicate the courses and competencies of transferrable associate degrees;

                (iv) Incorporation of the standards for cultural competence developed by the professional educator standards board under RCW 28A.410.270 throughout the courses and curriculum of the pathway, particularly focusing on multicultural education and principles of language acquisition; and

                (v) A comparison of the current status of pathways for teacher certification to the elements of the articulated pathway, highlighting gaps and recommending strategies to address the gaps;

                (d) Professional development for certificated employees that focuses on maximizing the success of paraeducators in the classroom.

                (4) The work group convened by the professional educator standards board must submit a final report of its recommendations to the education committees of the legislature by January 10, 2016, concerning:

                (a) Multiple options for assuring minimum employment standards and professional development opportunities for basic education and special education paraeducators;

                (b) Whether there should be alignment of training requirements of paraeducators providing special education services for students during the school year with existing training for home care aides who provide similar services to students when they are not in school, and if so, how the alignment should be accomplished; and

                (c) Appropriate professional development and training to help paraeducators meet the employment standards.

                (5) This section expires June 30, 2016.

NEW SECTION.  Sec. 3.  A new section is added to chapter 28A.410 RCW to read as follows:

                The professional educator standards board and the state board for community and technical colleges may exercise their respective authorities regarding program approval to implement the articulated pathway for teacher preparation and certification recommended pursuant to section 2, chapter . . ., Laws of 2014 (section 2 of this act) in approved teacher certification programs and certificate and degree programs offered by community and technical colleges.

NEW SECTION.  Sec. 4.  A new section is added to chapter 28B.50 RCW to read as follows:

                Beginning with the 2016-17 academic year, any community or technical college that offers an apprenticeship program or certificate program for paraeducators must provide candidates the opportunity to earn transferrable course credits within the program.  The programs must also incorporate the standards for cultural competence, including multicultural education and principles of language acquisition, developed by the professional educator standards board under RCW 28A.410.270.

NEW SECTION.  Sec. 5.  If specific funding for the purposes of this act, referencing this act by bill or chapter number, is not provided by June 30, 2014, in the omnibus appropriations act, this act is null and void."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 6.  The legislature acknowledges that paraeducators have become a significant resource to students who need additional education assistance.  School districts have come to rely upon paraeducators who, for instance, provided more than half of the hours of instruction in the 2012-13 school year to students in the learning assistance program, the transitional bilingual instruction program, the federal disadvantaged program, head start, and the federal limited English proficiency program.  Paraeducators are often the primary caretakers in the classroom for students with special needs and provided more than half of the hours of instruction in the 2012-13 school year to students in special education.

                The legislature further recognizes that there is significant variability in paraeducator standards.  In some situations, paraeducators are expected to provide services for which they are not trained or qualified.  In other situations, their knowledge, skills, and commitment to education are underused.  A clear definition of the differentiated knowledge, skills, and abilities associated with different jobs will ensure that students receive the education services they need and deserve.

                Paraeducator training and professional development varies significantly dependent upon school district and program.  With few exceptions, paraeducator training has been significantly reduced over the last several years due to state and school district budget cuts.

                A carefully constructed paraeducator development program is intended to place the highest qualified paraeducators working with the highest need students.  Such a program when combined with a career ladder will offer paraeducators real opportunities for upward mobility.  Since paraeducators more closely reflect the cultural diversity of the student population, a development program and career ladder is likely to encourage more paraeducators to become teachers.  Training teachers how to work with a paraeducator in their classrooms will increase paraeducators' ability to teach students who need additional assistance.

NEW SECTION.  Sec. 7.  (1) The superintendent of public instruction shall convene a work group to examine the use of paraeducators across school districts, including their roles and types of assignments in the classroom and the variation in paraeducator deployment in support of teachers.  The work group must include paraeducators, teachers, school and school district administrators, school directors, and representatives of their respective associations.  The superintendent of public instruction shall submit the findings of the work group to the professional educator standards board by August 31, 2014, to inform the work of the board and the work group established under subsection (2) of this section.

                (2)(a) The professional educator standards board shall simultaneously convene a work group to design program specific minimum employment standards for paraeducators, professional development and education opportunities that support the standards, a paraeducator career ladder, an articulated pathway for teacher preparation and certification, and teacher professional development on how to maximize the use of paraeducators in the classroom.

                (b) The work group convened by the professional educator standards board must include representatives of:

                (i) The professional educator standards board; the Green River Community College center of excellence for careers in education; educational service districts; community and technical college paraeducator apprenticeship and certificate programs; colleges of education; teacher, paraeducator, principal, school director, and administrator associations; career and technical education; special education parents and advocacy organizations; community-based organizations representing immigrant and refugee communities and communities of color; the educational opportunity gap oversight and accountability committee; and the office of the superintendent of public instruction; and

                (ii) A maximum of two paraeducators from each program for which specific minimum employment standards will be designed.

                (3) By January 10, 2015, the work group convened by the professional educator standards board shall submit a report to the education committees of the legislature that recommends:

                (a) Multiple options for assuring minimum employment standards and professional development opportunities for paraeducators who work in:

                (i) English language learner programs, transitional bilingual instruction programs, and federal limited English proficiency programs; and

                (ii) The learning assistance program and federal disadvantaged program;

                (b) A career ladder that encourages paraeducators to pursue advanced education and professional development as well as increased instructional ability and responsibility;

                (c) An articulated pathway for teacher preparation that includes:

                (i) Paraeducator certificate and apprenticeship programs that offer course credits that apply to transferrable associate degrees and are aligned with the standards and competencies for teachers adopted by the professional educator standards board;

                (ii) Associate degree programs that build on and do not duplicate the courses and competencies of paraeducator certificate programs, incorporate field experiences, are aligned with the standards and competencies for teachers adopted by the professional educator standards board, and are transferrable to bachelor's degree in education programs and teacher certification programs;

                (iii) Bachelor's degree programs that lead to teacher certification that build on and do not duplicate the courses and competencies of transferrable associate degrees;

                (iv) Incorporation of the standards for cultural competence developed by the professional educator standards board under RCW 28A.410.270 throughout the courses and curriculum of the pathway, particularly focusing on multicultural education and principles of language acquisition; and

                (v) A comparison of the current status of pathways for teacher certification to the elements of the articulated pathway, highlighting gaps and recommending strategies to address the gaps;

                (d) Professional development for certificated employees that focuses on maximizing the success of paraeducators in the classroom.

                (4) The work group convened by the professional educator standards board must submit a final report of its recommendations to the education committees of the legislature by January 10, 2016, concerning:

                (a) Multiple options for assuring minimum employment standards and professional development opportunities for basic education and special education paraeducators;

                (b) Whether there should be alignment of training requirements of paraeducators providing special education services for students during the school year with existing training for home care aides who provide similar services to students when they are not in school, and if so, how the alignment should be accomplished; and

                (c) Appropriate professional development and training to help paraeducators meet the employment standards.

                (5) This section expires June 30, 2016.

NEW SECTION.  Sec. 8.  A new section is added to chapter 28A.410 RCW to read as follows:

                The professional educator standards board and the state board for community and technical colleges may exercise their respective authorities regarding program approval to implement the articulated pathway for teacher preparation and certification recommended pursuant to section 2, chapter . . ., Laws of 2014 (section 2 of this act) in approved teacher certification programs and certificate and degree programs offered by community and technical colleges.

NEW SECTION.  Sec. 9.  A new section is added to chapter 28B.50 RCW to read as follows:

                Beginning with the 2016-17 academic year, any community or technical college that offers an apprenticeship program or certificate program for paraeducators must provide candidates the opportunity to earn transferrable course credits within the program.  The programs must also incorporate the standards for cultural competence, including multicultural education and principles of language acquisition, developed by the professional educator standards board under RCW 28A.410.270.

NEW SECTION.  Sec. 10.  If specific funding for the purposes of this act, referencing this act by bill or chapter number, is not provided by June 30, 2014, in the omnibus appropriations act, this act is null and void."

                Correct the title.

 

Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Lytton; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

Referred to Committee on Appropriations Subcommittee on Education.

 

February 26, 20140)

ESSB 6137         Prime Sponsor, Committee on Health Care: Regulating pharmacy benefit managers and pharmacy audits.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

                (1) "Claim" means a request from a pharmacy or pharmacist to be reimbursed for the cost of filling or refilling a prescription for a drug or for providing a medical supply or service.

                (2) "Insurer" has the same meaning as in RCW 48.01.050.

                (3) "Pharmacist" has the same meaning as in RCW 18.64.011.

                (4) "Pharmacy" has the same meaning as in RCW 18.64.011.

                (5)(a) "Pharmacy benefit manager" means a person that contracts with pharmacies on behalf of an insurer, a third-party payor, or the prescription drug purchasing consortium established under RCW 70.14.060 to:

                (i) Process claims for prescription drugs or medical supplies or provide retail network management for pharmacies or pharmacists;

                (ii) Pay pharmacies or pharmacists for prescription drugs or medical supplies; or

                (iii) Negotiate rebates with manufacturers for drugs paid for or procured as described in this subsection.

                (b) "Pharmacy benefit manager" does not include a health care service contractor as defined in RCW 48.44.010.

                (6) "Third-party payor" means a person licensed under RCW 48.39.005.

NEW SECTION.  Sec. 2.  (1) To conduct business in this state, a pharmacy benefit manager must register with the department of revenue's business licensing service and annually renew the registration.

                (2) To register under this section, a pharmacy benefit manager must:

                (a) Submit an application requiring the following information:

                (i) The identity of the pharmacy benefit manager;

                (ii) The name, business address, phone number, and contact person for the pharmacy benefit manager; and

                (iii) Where applicable, the federal tax employer identification number for the entity; and

                (b) Pay a registration fee of two hundred dollars.

                (3) To renew a registration under this section, a pharmacy benefit manager must pay a renewal fee of two hundred dollars.

                (4) All receipts from registrations and renewals collected by the department must be deposited into the business license account created in RCW 19.02.210.

NEW SECTION.  Sec. 3.  As used in sections 3 through 9 of this act:

                (1) "Audit" means an on-site or remote review of the records of a pharmacy by or on behalf of an entity.

                (2) "Clerical error" means a minor error:

                (a) In the keeping, recording, or transcribing of records or documents or in the handling of electronic or hard copies of correspondence;

                (b) That does not result in financial harm to an entity; and

                (c) That does not involve dispensing an incorrect dose, amount or type of medication, or dispensing a prescription drug to the wrong person.

                (3) "Entity" includes:

                (a) A pharmacy benefit manager;

                (b) An insurer;

                (c) A third-party payor;

                (d) A state agency; or

                (e) A person that represents or is employed by one of the entities described in this subsection.

                (4) "Fraud" means knowingly and willfully executing or attempting to execute a scheme, in connection with the delivery of or payment for health care benefits, items, or services, that uses false or misleading pretenses, representations, or promises to obtain any money or property owned by or under the custody or control of any person.

NEW SECTION.  Sec. 4.  An entity that audits claims or an independent third party that contracts with an entity to audit claims:

                (1) Must establish, in writing, a procedure for a pharmacy to appeal the entity's findings with respect to a claim and must provide a pharmacy with a notice regarding the procedure, in writing or electronically, prior to conducting an audit of the pharmacy's claims;

                (2) May not conduct an audit of a claim more than twenty-four months after the date the claim was adjudicated by the entity;

                (3) Must give at least fifteen days' advance written notice of an on-site audit to the pharmacy or corporate headquarters of the pharmacy;

                (4) May not conduct an on-site audit during the first five days of any month without the pharmacy's consent;

                (5) Must conduct the audit in consultation with a pharmacist who is licensed by this or another state if the audit involves clinical or professional judgment;

                (6) May not conduct an on-site audit of more than two hundred fifty unique prescriptions of a pharmacy in any twelve-month period except in cases of alleged fraud;

                (7) May not conduct more than one on-site audit of a pharmacy in any twelve-month period;

                (8) Must audit each pharmacy under the same standards and parameters that the entity uses to audit other similarly situated pharmacies;

                (9) Must pay any outstanding claims of a pharmacy no more than forty-five days after the earlier of the date all appeals are concluded or the date a final report is issued under section 8(3) of this act;

                (10) May not include dispensing fees or interest in the amount of any overpayment assessed on a claim unless the overpaid claim was for a prescription that was not filled correctly;

                (11) May not recoup costs associated with:

                (a) Clerical errors; or

                (b) Other errors that do not result in financial harm to the entity or a consumer; and

                (12) May not charge a pharmacy for a denied or disputed claim until the audit and the appeals procedure established under subsection (1) of this section are final.

NEW SECTION.  Sec. 5.  An entity's finding that a claim was incorrectly presented or paid must be based on identified transactions and not based on probability sampling, extrapolation, or other means that project an error using the number of patients served who have a similar diagnosis or the number of similar prescriptions or refills for similar drugs.

NEW SECTION.  Sec. 6.  An entity that contracts with an independent third party to conduct audits may not:

                (1) Agree to compensate the independent third party based on a percentage of the amount of overpayments recovered; or

                (2) Disclose information obtained during an audit except to the contracting entity, the pharmacy subject to the audit, or the holder of the policy or certificate of insurance that paid the claim.

NEW SECTION.  Sec. 7.  For purposes of sections 3 through 9 of this act, an entity, or an independent third party that contracts with an entity to conduct audits, must allow as evidence of validation of a claim:

                (1) An electronic or physical copy of a valid prescription if the prescribed drug was, within fourteen days of the dispensing date:

                (a) Picked up by the patient or the patient's designee;

                (b) Delivered by the pharmacy to the patient; or

                (c) Sent by the pharmacy to the patient using the United States postal service or other common carrier;

                (2) Point of sale electronic register data showing purchase of the prescribed drug, medical supply, or service by the patient or the patient's designee; or

                (3) Electronic records, including electronic beneficiary signature logs, electronically scanned and stored patient records maintained at or accessible to the audited pharmacy's central operations, and any other reasonably clear and accurate electronic documentation that corresponds to a claim.

NEW SECTION.  Sec. 8.  (1)(a) After conducting an audit, an entity must provide the pharmacy that is the subject of the audit with a preliminary report of the audit.  The preliminary report must be received by the pharmacy no later than forty-five days after the date on which the audit was completed and must be sent:

                (i) By mail or common carrier with a return receipt requested; or

                (ii) Electronically with electronic receipt confirmation.

                (b) An entity shall provide a pharmacy receiving a preliminary report under this subsection no fewer than forty-five days after receiving the report to contest the report or any findings in the report in accordance with the appeals procedure established under section 4(1) of this act and to provide additional documentation in support of the claim.  The entity shall consider a reasonable request for an extension of time to submit documentation to contest the report or any findings in the report.

                (2) If an audit results in the dispute or denial of a claim, the entity conducting the audit shall allow the pharmacy to resubmit the claim using any commercially reasonable method, including facsimile, mail, or electronic mail.

                (3) An entity must provide a pharmacy that is the subject of an audit with a final report of the audit no later than sixty days after the later of the date the preliminary report was received or the date the pharmacy contested the report using the appeals procedure established under section 4(1) of this act.  The final report must include a final accounting of all moneys to be recovered by the entity.

                (4) Recoupment of disputed funds from a pharmacy by an entity or repayment of funds to an entity by a pharmacy, unless otherwise agreed to by the entity and the pharmacy, shall occur after the audit and the appeals procedure established under section 4(1) of this act are final.  If the identified discrepancy for an individual audit exceeds forty thousand dollars, any future payments to the pharmacy may be withheld by the entity until the audit and the appeals procedure established under section 4(1) of this act are final.

NEW SECTION.  Sec. 9.  Sections 3 through 9 of this act do not:

                (1) Preclude an entity from instituting an action for fraud against a pharmacy;

                (2) Apply to an audit of pharmacy records when fraud or other intentional and willful misrepresentation is indicated by physical review, review of claims data or statements, or other investigative methods; or

                (3) Apply to a state agency that is conducting audits or a person that has contracted with a state agency to conduct audits of pharmacy records for prescription drugs paid for by the state medical assistance program.

NEW SECTION.  Sec. 10.  (1) As used in this section:

                (a) "List" means the list of drugs for which maximum allowable costs have been established.

                (b) "Maximum allowable cost" means the maximum amount that a pharmacy benefit manager will reimburse a pharmacy for the cost of a drug.

                (c) "Multiple source drug" means a therapeutically equivalent drug that is available from at least two manufacturers.

                (d) "Network pharmacy" means a retail drug outlet licensed as a pharmacy under RCW 18.64.043 that contracts with a pharmacy benefit manager.

                (e) "Therapeutically equivalent" has the same meaning as in RCW 69.41.110.

                (2) A pharmacy benefit manager:

                (a) May not place a drug on a list unless are is at least two therapeutically equivalent multiple source drugs, or at least one generic drug available from only one manufacturer, generally available for purchase by network pharmacies from national or regional wholesalers;

                (b) Shall ensure that all drugs on a list are generally available for purchase by pharmacies in this state from national or regional wholesalers;

                (c) Shall ensure that all drugs on a list are not obsolete;

                (d) Shall make available to each network pharmacy at the beginning of the term of a contract, and upon renewal of a contract, the sources utilized to determine the maximum allowable cost pricing of the pharmacy benefit manager;

                (e) Shall make a list available to a network pharmacy upon request in a format that is readily accessible to and usable by the network pharmacy;

                (f) Shall update each list maintained by the pharmacy benefit manager every seven business days and make the updated lists, including all changes in the price of drugs, available to network pharmacies in a readily accessible and usable format;

                (g) Shall ensure that dispensing fees are not included in the calculation of maximum allowable cost.

                (3) A pharmacy benefit manager must establish a process by which a network pharmacy may appeal its reimbursement for a drug subject to maximum allowable cost pricing.  A network pharmacy may appeal a maximum allowable cost if the reimbursement for the drug is less than the net amount that the network pharmacy paid to the supplier of the drug.  An appeal requested under this section must be completed within thirty calendar days of the pharmacy making the claim for which an appeal has been requested.

                (4) A pharmacy benefit manager must provide as part of the appeals process established under subsection (3) of this section:

                (a) A telephone number at which a network pharmacy may contact the pharmacy benefit manager and speak with an individual who is responsible for processing appeals;

                (b) A final response to an appeal of a maximum allowable cost within seven business days; and

                (c) If the appeal is denied, the reason for the denial and the national drug code of a drug that may be purchased by similarly situated pharmacies at a price that is equal to or less than the maximum allowable cost.

                (5)(a) If an appeal is upheld under this section, the pharmacy benefit manager shall make an adjustment on a date no later than one day after the date of determination.  The pharmacy benefit manager shall make the adjustment effective for all similarly situated pharmacies in this state that are within the network.

                (b) If the request for an adjustment has come from a critical access pharmacy, as defined by the state health care authority by rule for purposes related to the prescription drug purchasing consortium established under RCW 70.14.060, the adjustment approved under (a) of this subsection shall apply only to critical access pharmacies.

                (6) This section does not apply to the state medical assistance program.

NEW SECTION.  Sec. 11.  Sections 1 through 10 of this act constitute a new chapter in Title 19 RCW."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Clibborn; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6138             Prime Sponsor, Senator Bailey: Allowing the Washington state dental quality assurance commission to adopt rules regarding credential renewal requirements for dental professionals.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6141             Prime Sponsor, Senator Roach: Concerning the confidentiality of certain records filed with the utilities and transportation commission or the attorney general.  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  A new section is added to chapter 81.77 RCW to read as follows:

                Records, subject to chapter 42.56 RCW, filed with the commission or the attorney general from any person that contain valuable commercial information, including trade secrets or confidential marketing, cost, or financial information, or customer-specific usage information, are not subject to inspection or copying under chapter 42.56 RCW:  (1) Until notice to the person or persons directly affected has been given; and (2) if, within ten days of the notice, the person has obtained a superior court order protecting the records as confidential.  The court must determine that the records are confidential and not subject to inspection and copying if disclosure is likely to result in private loss, including an unfair competitive disadvantage, and is not necessary for further public review and comment on the appropriate allocation of costs and revenues.  When providing information to the commission or the attorney general, a person shall designate which records or portions of records contain valuable commercial information.  Nothing in this section prevents the use of protective orders by the commission governing disclosure of proprietary or confidential information in contested proceedings.

Sec. 2.  RCW 42.56.330 and 2012 c 68 s 4 are each amended to read as follows:

                The following information relating to public utilities and transportation is exempt from disclosure under this chapter:

                (1) Records filed with the utilities and transportation commission or attorney general under RCW 80.04.095 or section 1 of this act that a court has determined are confidential under RCW 80.04.095 or section 1 of this act;

                (2) The residential addresses and residential telephone numbers of the customers of a public utility contained in the records or lists held by the public utility of which they are customers, except that this information may be released to the division of child support or the agency or firm providing child support enforcement for another state under Title IV-D of the federal social security act, for the establishment, enforcement, or modification of a support order;

                (3) The names, residential addresses, residential telephone numbers, and other individually identifiable records held by an agency in relation to a vanpool, carpool, or other ride-sharing program or service; however, these records may be disclosed to other persons who apply for ride-matching services and who need that information in order to identify potential riders or drivers with whom to share rides;

                (4) The personally identifying information of current or former participants or applicants in a paratransit or other transit service operated for the benefit of persons with disabilities or elderly persons;

                (5) The personally identifying information of persons who acquire and use transit passes or other fare payment media including, but not limited to, stored value smart cards and magnetic strip cards, except that an agency may disclose personally identifying information to a person, employer, educational institution, or other entity that is responsible, in whole or in part, for payment of the cost of acquiring or using a transit pass or other fare payment media for the purpose of preventing fraud, or to the news media when reporting on public transportation or public safety.  As used in this subsection, "personally identifying information" includes acquisition or use information pertaining to a specific, individual transit pass or fare payment media.

                (a) Information regarding the acquisition or use of transit passes or fare payment media may be disclosed in aggregate form if the data does not contain any personally identifying information.

                (b) Personally identifying information may be released to law enforcement agencies if the request is accompanied by a court order;

                (6) Any information obtained by governmental agencies that is collected by the use of a motor carrier intelligent transportation system or any comparable information equipment attached to a truck, tractor, or trailer; however, the information may be given to other governmental agencies or the owners of the truck, tractor, or trailer from which the information is obtained.  As used in this subsection, "motor carrier" has the same definition as provided in RCW 81.80.010;

                (7) The personally identifying information of persons who acquire and use transponders or other technology to facilitate payment of tolls.  This information may be disclosed in aggregate form as long as the data does not contain any personally identifying information.  For these purposes aggregate data may include the census tract of the account holder as long as any individual personally identifying information is not released.  Personally identifying information may be released to law enforcement agencies only for toll enforcement purposes.  Personally identifying information may be released to law enforcement agencies for other purposes only if the request is accompanied by a court order; and

                (8) The personally identifying information of persons who acquire and use a driver's license or identicard that includes a radio frequency identification chip or similar technology to facilitate border crossing.  This information may be disclosed in aggregate form as long as the data does not contain any personally identifying information.  Personally identifying information may be released to law enforcement agencies only for United States customs and border protection enforcement purposes.  Personally identifying information may be released to law enforcement agencies for other purposes only if the request is accompanied by a court order."

                Correct the title.

 

Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Taylor, Ranking Minority Member; Young, Assistant Ranking Minority Member; Carlyle; Christian; Kretz; Manweller; Orwall; Robinson and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6150           Prime Sponsor, Committee on Transportation: Concerning Medal of Honor special license plates.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Overstreet, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Freeman; Habib; Hawkins; Hayes; Johnson; Klippert; Kochmar; Moeller; Morris; Muri; Ortiz-Self; Pike; Riccelli; Rodne; Ryu; Sells; Shea; Takko; Tarleton; Walkinshaw; Young and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

2SSB 6163         Prime Sponsor, Committee on Ways & Means: Concerning expanded learning opportunities.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass as amended.

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  (1) The legislature finds that studies have documented that many students experience learning losses when they do not engage in educational activities during the summer.  The legislature further finds that research shows that summer learning loss contributes to educational opportunity gaps between students, and that falling behind in academics can be a predictor of whether a student will drop out of school.  The legislature recognizes that such academic regression has a disproportionate impact on low-income students.

                (2) The legislature further finds that expanded learning opportunities, including those offered by partnerships between schools and community-based organizations, create enriching experiences for youth, with activities that complement and support classroom-based instruction.  The legislature acknowledges that access to quality expanded learning opportunities during the school year and summer helps mitigate summer learning loss and improves academic performance, attendance, on-time grade advancement, and classroom behaviors.

                (3) Therefore the legislature intends to build capacity, identify best practices, leverage local resources, and promote a sustainable expanded learning opportunities system by providing an infrastructure that helps coordinate expanded learning opportunities throughout the state.  To the extent funds are provided for this purpose, the legislature also intends to authorize a pilot program specifically to combat summer learning loss through expanded learning opportunities, which will provide the opportunity to evaluate the effectiveness of an extended school year in improving student achievement, closing the educational opportunity gap, and providing successful models for other districts to follow.

NEW SECTION.  Sec. 2.  DEFINITION OF EXPANDED LEARNING OPPORTUNITIES.  As used in this section and sections 3 through 7 of this act, "expanded learning opportunities" means:

                (1) Culturally responsive enrichment and learning activities, which may focus on academic and nonacademic areas; the arts; civic engagement; service-learning; science, technology, engineering, and mathematics; and competencies for college and career readiness;

                (2) School-based programs that provide extended learning and enrichment for students beyond the traditional school day, week, or calendar; and

                (3) Structured, intentional, and creative learning environments outside the traditional school day that are provided by community-based organizations in partnership with schools and align in-school and out- of-school learning through activities that complement classroom-based instruction.

NEW SECTION.  Sec. 3.  CREATION OF COUNCIL.  (1) The expanded learning opportunities council is established to advise the governor, the legislature, and the superintendent of public instruction regarding a comprehensive expanded learning opportunities system, with particular attention paid to solutions to summer learning loss.

                (2) The council shall provide a vision, guidance, assistance, and advice related to potential improvement and expansion of summer learning opportunities, school year calendar modifications that will help reduce summer learning loss, increasing partnerships between schools and community-based organizations to deliver expanded learning opportunities, and other current or proposed programs and initiatives across the spectrum of early elementary through secondary education that could contribute to a statewide system of expanded learning opportunities.

                (3) The council shall identify fiscal, resource, and partnership opportunities; coordinate policy development; set quality standards; promote evidence-based strategies; and develop a comprehensive action plan designed to implement expanded learning opportunities, address summer learning loss, provide academic supports, build strong partnerships between schools and community-based organizations, and track performance of expanded learning opportunities in closing the opportunity gap.

                (4) When making recommendations regarding evidence-based strategies, the council shall consider the best practices on the state menus developed in accordance with RCW 28A.165.035 and 28A.655.235.

                (5) The superintendent of public instruction shall convene the expanded learning opportunities council.  The members of the council must have experience with expanded learning opportunities and include groups and agencies representing diverse student interests and geographical locations across the state.  Up to fifteen participants, agencies, organizations, or individuals may be invited to participate in the council, and the membership shall include the following:

                (a) Three representatives from nonprofit community-based organizations;

                (b) One representative from regional work force development councils;

                (c) One representative from each of the following organizations or agencies:

                (i) The Washington state school directors' association;

                (ii) The state-level association of school administrators;

                (iii) The state-level association of school principals;

                (iv) The state board of education;

                (v) The statewide association representing certificated classroom teachers and educational staff associates;

                (vi) The office of the superintendent of public instruction;

                (vii) The state-level parent–teacher association;

                (viii) Higher education; and

                (ix) A nonprofit organization with statewide experience in expanded learning opportunities frameworks.

                (6) Staff support for the expanded learning opportunity council shall be provided by the office of the superintendent of public instruction and other state agencies as necessary.  Appointees of the council shall be selected by May 30, 2014.  The council shall hold its first meeting before August 1, 2014.  At the first meeting, the council shall determine regularly scheduled meeting times and locations.

NEW SECTION.  Sec. 4.  REPORTS FROM COUNCIL.  (1) The expanded learning opportunities council shall provide a report to the governor and the legislature by December 1, 2014, and each December 1st thereafter until December 1, 2018, that summarizes accomplishments, measures progress, and contains recommendations regarding continued development of an expanded learning opportunities system and reducing summer learning loss.

                (2) If funds are appropriated for a summer knowledge improvement pilot program as provided under sections 5 through 7 of this act or other initiatives to reduce summer learning loss or increase expanded learning opportunities, the expanded learning opportunities council shall monitor the progress of the program or initiative and serve as a resource for participating schools and community-based organizations.  The council shall also oversee an evaluation of the effectiveness of the program or initiative in reducing summer learning loss and improving student academic progress.

                (3) If new funds are not appropriated for a summer knowledge improvement pilot program or other initiatives to reduce summer learning loss, the first report from the council, and any subsequent reports as necessary, shall include recommendations for a framework and action plan for a program to reduce summer learning loss through the provision of state funds for additional student learning days in elementary schools with significant populations of low-income students.  The council may also recommend additional strategies to reduce summer learning loss, including through expanded learning opportunities offered in partnership between schools and community-based organizations.

NEW SECTION.  Sec. 5.  SUMMER KNOWLEDGE IMPROVEMENT PILOT PROGRAM. (1) Subject to funds being appropriated for this specific purpose, the summer knowledge improvement pilot program is created to provide state funding for an additional twenty student learning days for three consecutive school years in selected schools for students to receive academic instruction outside of the school year established for other schools in the school district.

                (2) If appropriated, state funding for each school in the pilot program shall be equal to twenty days of the average daily per student amount of all basic education and nonbasic education funding provided by the state to the school for the regular one hundred eighty-day school year, including for pupil transportation.  Nonstate-provided funds may also be used to support the pilot program.

                (3) The purpose of the pilot program is to implement an extended school year to combat summer learning loss and provide an opportunity to evaluate the effectiveness of an extended school year in improving student achievement, closing the educational opportunity gap, and providing successful models for other districts to follow.

NEW SECTION.  Sec. 6.  PLAN PROCESS AND COMPONENTS.  (1) Any school district with an eligible school may submit a plan to the office of the superintendent of public instruction to participate in the summer knowledge improvement pilot program.  A plan may address one or more eligible schools.  The office shall establish timelines for submitting and reviewing applications.

                (2) For the purposes of this section, "eligible school" means any school that provides instruction to students in at least grades kindergarten through five where at least seventy-five percent of the enrolled students qualify for free and reduced-price meals.

                (3) The school district board of directors must solicit input on the design of the plan from staff at the school, parents, and the community, including at an open public meeting.  The final plan must be adopted by the school district board of directors at a subsequent open public meeting before the plan is submitted to the office of the superintendent of public instruction.

                (4) A plan must include, but is not limited to, the following components:

                (a) Proposed best practices and evidence-based strategies, curriculum, and materials for improving student achievement and closing the educational opportunity gap to be implemented over the extra twenty days for all students enrolled in the school.  The best practices and evidence-based strategies, curriculum, and materials must be comparable to or higher in academic rigor than those used during the regular school year;

                (b) A description of when the additional twenty days will be provided;

                (c) Identification of the measures that the school district will use in assessing student achievement;

                (d) Evidence that the principal of the school and at least seventy percent of the certificated and classified staff who work in the school at least two days per week agree to the plan;

                (e) Whether the school will collaborate with community-based organizations to provide support for students during the additional twenty days and for the rest of the summer, and if so, the details of this collaboration; and

                (f) An agreement to provide information necessary for a program evaluation.

NEW SECTION.  Sec. 7.  SELECTION OF SCHOOLS AND DISTRICTS.  (1) The office of the superintendent of public instruction must review the plans submitted in accordance with section 6 of this act and select up to ten schools for participation in the pilot program, or as many schools as can be supported through the appropriated funds.  To the extent practicable, the selected school districts shall be from diverse geographic regions of the state and include different sizes of school districts and schools.

                (2) The selection criteria must include, but are not limited to, the following determinations:

                (a) All of the required plan components are completed;

                (b) The likelihood that the proposed best practices and evidence- based strategies, curriculum, and materials will improve student achievement and close the educational opportunity gap; and

                (c) Any additional criteria that the office of the superintendent of public instruction deems necessary to ensure a high quality pilot program.

NEW SECTION.  Sec. 8.  Sections 2 through 7 of this act are each added to chapter 28A.630 RCW.

NEW SECTION.  Sec. 9.  This act expires August 31, 2019."

                Correct the title.

 

Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hawkins; Hayes; Hunt, S.; Lytton; Muri; Orwall; Pollet; Seaquist and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Hargrove; Klippert and Parker.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

ESB 6194           Prime Sponsor, Senator Dansel: Providing a process for county legislative authorities to withdraw from voluntary planning under the growth management act.  Reported by Committee on Local Government

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 36.70A.040 and 2000 c 36 s 1 are each amended to read as follows:

                (1) Each county that has both a population of fifty thousand or more and, until May 16, 1995, has had its population increase by more than ten percent in the previous ten years or, on or after May 16, 1995, has had its population increase by more than seventeen percent in the previous ten years, and the cities located within such county, and any other county regardless of its population that has had its population increase by more than twenty percent in the previous ten years, and the cities located within such county, shall conform with all of the requirements of this chapter.  However, the county legislative authority of such a county with a population of less than fifty thousand population may adopt a resolution removing the county, and the cities located within the county, from the requirements of adopting comprehensive land use plans and development regulations under this chapter if this resolution is adopted and filed with the department by December 31, 1990, for counties initially meeting this set of criteria, or within sixty days of the date the office of financial management certifies that a county meets this set of criteria under subsection (5) of this section.  For the purposes of this subsection, a county not currently planning under this chapter is not required to include in its population count those persons confined in a correctional facility under the jurisdiction of the department of corrections that is located in the county.

                Once a county meets either of these sets of criteria, the requirement to conform with all of the requirements of this chapter remains in effect, even if the county no longer meets one of these sets of criteria.

                (2)(a) The county legislative authority of any county that does not meet either of the sets of criteria established under subsection (1) of this section may adopt a resolution indicating its intention to have subsection (1) of this section apply to the county.  Each city, located in a county that chooses to plan under this subsection, shall conform with all of the requirements of this chapter.  Once such a resolution has been adopted, the county and the cities located within the county remain subject to all of the requirements of this chapter, unless the county subsequently adopts a withdrawal resolution for partial planning pursuant to (b)(i) of this subsection.
                (b)(i) Until December 31, 2015, the legislative authority of a county may adopt a resolution removing the county and the cities located within the county from the requirements to plan under this section if:
                (A) The county has a population, as estimated by the office of financial management, of twenty thousand or fewer inhabitants at any time between April 1, 2010, and April 1, 2015;
                (B) The county has previously adopted a resolution indicating its intention to have subsection (1) of this section apply to the county;
                (C) At least sixty days prior to adopting a resolution for partial planning, the county provides written notification to the legislative body of each city within the county of its intent to consider adopting the resolution; and
                (D) The legislative bodies of at least sixty percent of those cities having an aggregate population of at least seventy-five percent of the incorporated county population have not:  Adopted resolutions opposing the action by the county; and provided written notification of the resolutions to the county.
                (ii) Upon adoption of a resolution for partial planning under (b)(i) of this subsection:
                (A) The county and the cities within the county are no longer obligated to plan under this section; and
                (B) The county may not, for a minimum of ten years from the date of adoption of the resolution, adopt another resolution indicating its intention to have subsection (1) of this section apply to the county.

(c) The adoption of a resolution for partial planning under (b)(i) of this subsection does not nullify or otherwise modify the requirements for counties and cities established in RCW 36.70A.060, 36.70A.170, and 36.70A.172.

                (3) Any county or city that is initially required to conform with all of the requirements of this chapter under subsection (1) of this section shall take actions under this chapter as follows:  (a) The county legislative authority shall adopt a countywide planning policy under RCW 36.70A.210; (b) the county and each city located within the county shall designate critical areas, agricultural lands, forest lands, and mineral resource lands, and adopt development regulations conserving these designated agricultural lands, forest lands, and mineral resource lands and protecting these designated critical areas, under RCW 36.70A.170 and 36.70A.060; (c) the county shall designate and take other actions related to urban growth areas under RCW 36.70A.110; (d) if the county has a population of fifty thousand or more, the county and each city located within the county shall adopt a comprehensive plan under this chapter and development regulations that are consistent with and implement the comprehensive plan on or before July 1, 1994, and if the county has a population of less than fifty thousand, the county and each city located within the county shall adopt a comprehensive plan under this chapter and development regulations that are consistent with and implement the comprehensive plan by January 1, 1995, but if the governor makes written findings that a county with a population of less than fifty thousand or a city located within such a county is not making reasonable progress toward adopting a comprehensive plan and development regulations the governor may reduce this deadline for such actions to be taken by no more than one hundred eighty days.  Any county or city subject to this subsection may obtain an additional six months before it is required to have adopted its development regulations by submitting a letter notifying the department ((of community, trade, and economic development)) of its need prior to the deadline for adopting both a comprehensive plan and development regulations.

                (4) Any county or city that is required to conform with all the requirements of this chapter, as a result of the county legislative authority adopting its resolution of intention under subsection (2) of this section, shall take actions under this chapter as follows:  (a) The county legislative authority shall adopt a county-wide planning policy under RCW 36.70A.210; (b) the county and each city that is located within the county shall adopt development regulations conserving agricultural lands, forest lands, and mineral resource lands it designated under RCW 36.70A.060 within one year of the date the county legislative authority adopts its resolution of intention; (c) the county shall designate and take other actions related to urban growth areas under RCW 36.70A.110; and (d) the county and each city that is located within the county shall adopt a comprehensive plan and development regulations that are consistent with and implement the comprehensive plan not later than four years from the date the county legislative authority adopts its resolution of intention, but a county or city may obtain an additional six months before it is required to have adopted its development regulations by submitting a letter notifying the department ((of community, trade, and economic development)) of its need prior to the deadline for adopting both a comprehensive plan and development regulations.

                (5) If the office of financial management certifies that the population of a county that previously had not been required to plan under subsection (1) or (2) of this section has changed sufficiently to meet either of the sets of criteria specified under subsection (1) of this section, and where applicable, the county legislative authority has not adopted a resolution removing the county from these requirements as provided in subsection (1) of this section, the county and each city within such county shall take actions under this chapter as follows:  (a) The county legislative authority shall adopt a countywide planning policy under RCW 36.70A.210; (b) the county and each city located within the county shall adopt development regulations under RCW 36.70A.060 conserving agricultural lands, forest lands, and mineral resource lands it designated within one year of the certification by the office of financial management; (c) the county shall designate and take other actions related to urban growth areas under RCW 36.70A.110; and (d) the county and each city located within the county shall adopt a comprehensive land use plan and development regulations that are consistent with and implement the comprehensive plan within four years of the certification by the office of financial management, but a county or city may obtain an additional six months before it is required to have adopted its development regulations by submitting a letter notifying the department ((of community, trade, and economic development)) of its need prior to the deadline for adopting both a comprehensive plan and development regulations.

                (6) A copy of each document that is required under this section shall be submitted to the department at the time of its adoption.

                (7) Cities and counties planning under this chapter must amend the transportation element of the comprehensive plan to be in compliance with this chapter and chapter 47.80 RCW no later than December 31, 2000.

Sec. 2.  RCW 36.70A.060 and 2005 c 423 s 3 are each amended to read as follows:

                (1)(a) ((Except as provided in RCW 36.70A.1701,)) Each county that is required or chooses to plan under RCW 36.70A.040, and each city within such county, shall adopt development regulations on or before September 1, 1991, to assure the conservation of agricultural, forest, and mineral resource lands designated under RCW 36.70A.170.  Regulations adopted under this subsection may not prohibit uses legally existing on any parcel prior to their adoption and shall remain in effect until the county or city adopts development regulations pursuant to RCW 36.70A.040.  Such regulations shall assure that the use of lands adjacent to agricultural, forest, or mineral resource lands shall not interfere with the continued use, in the accustomed manner and in accordance with best management practices, of these designated lands for the production of food, agricultural products, or timber, or for the extraction of minerals.

                (b) Counties and cities shall require that all plats, short plats, development permits, and building permits issued for development activities on, or within five hundred feet of, lands designated as agricultural lands, forest lands, or mineral resource lands, contain a notice that the subject property is within or near designated agricultural lands, forest lands, or mineral resource lands on which a variety of commercial activities may occur that are not compatible with residential development for certain periods of limited duration.  The notice for mineral resource lands shall also inform that an application might be made for mining-related activities, including mining, extraction, washing, crushing, stockpiling, blasting, transporting, and recycling of minerals.

(c) Each county that adopts a resolution of partial planning under RCW 36.70A.040(2)(b), and each city within such county, shall adopt development regulations within one year after the adoption of the resolution of partial planning to assure the conservation of agricultural, forest, and mineral resource lands designated under RCW 36.70A.170.  Regulations adopted under this subsection (1)(c) must comply with the requirements governing regulations adopted under (a) of this subsection.
                (d)(i) A county that adopts a resolution of partial planning under RCW 36.70A.040(2)(b) and that is not in compliance with the planning requirements of this section, RCW 36.70A.040(4), 36.70A.070(5), 36.70A.170, and 36.70A.172 at the time the resolution is adopted must, by January 30, 2017, apply for a determination of compliance from the department finding that the county's development regulations, including development regulations adopted to protect critical areas, and comprehensive plans are in compliance with the requirements of this section, RCW 36.70A.040(4), 36.70A.070(5), 36.70A.170, and 36.70A.172.  The department must approve or deny the application for a determination of compliance within one hundred twenty days of its receipt or by June 30, 2017, whichever date is earlier.
                (ii) If the department denies an application under (d)(i) of this subsection, the county and each city within is obligated to comply with all requirements of this chapter and the resolution for partial planning adopted under RCW 36.70A.040(2)(b) is no longer in effect.
                (iii) A petition for review of a determination of compliance under (d)(i) of this subsection may only be appealed to the growth management hearings board within sixty days of the issuance of the decision by the department.
                (iv) In the event of a filing of a petition in accordance with (d)(iii) of this subsection, the county and the department must equally share the costs incurred by the department for defending an approval of determination of compliance that is before the growth management hearings board.
                (v) The department may implement this subsection (d) by adopting rules related to determinations of compliance.  The rules may address, but are not limited to:  The requirements for applications for a determination of compliance; charging of costs under (d)(iv) of this subsection; procedures for processing applications; criteria for the evaluation of applications; issuance and notice of department decisions; and applicable timelines.

                (2) Each county and city shall adopt development regulations that protect critical areas that are required to be designated under RCW 36.70A.170.  For counties and cities that are required or choose to plan under RCW 36.70A.040, such development regulations shall be adopted on or before September 1, 1991.  For the remainder of the counties and cities, such development regulations shall be adopted on or before March 1, 1992.

                (3) Such counties and cities shall review these designations and development regulations when adopting their comprehensive plans under RCW 36.70A.040 and implementing development regulations under RCW 36.70A.120 and may alter such designations and development regulations to insure consistency.

                (4) Forest land and agricultural land located within urban growth areas shall not be designated by a county or city as forest land or agricultural land of long-term commercial significance under RCW 36.70A.170 unless the city or county has enacted a program authorizing transfer or purchase of development rights.

Sec. 3.  RCW 36.70A.280 and 2011 c 360 s 17 are each amended to read as follows:

                (1) The growth management hearings board shall hear and determine only those petitions alleging either:

                (a) That, except as provided otherwise by this subsection, a state agency, county, or city planning under this chapter is not in compliance with the requirements of this chapter, chapter 90.58 RCW as it relates to the adoption of shoreline master programs or amendments thereto, or chapter 43.21C RCW as it relates to plans, development regulations, or amendments, adopted under RCW 36.70A.040 or chapter 90.58 RCW.  Nothing in this subsection authorizes the board to hear petitions alleging noncompliance with RCW 36.70A.5801;

                (b) That the twenty-year growth management planning population projections adopted by the office of financial management pursuant to RCW 43.62.035 should be adjusted;

                (c) That the approval of a work plan adopted under RCW 36.70A.735(1)(a) is not in compliance with the requirements of the program established under RCW 36.70A.710;

                (d) That regulations adopted under RCW 36.70A.735(1)(b) are not regionally applicable and cannot be adopted, wholly or partially, by another jurisdiction; ((or))

                (e) That a department certification under RCW 36.70A.735(1)(c) is erroneous; or
                (f) That a department determination under RCW 36.70A.060(1)(d) is erroneous.

                (2) A petition may be filed only by:  (a) The state, or a county or city that plans under this chapter; (b) a person who has participated orally or in writing before the county or city regarding the matter on which a review is being requested; (c) a person who is certified by the governor within sixty days of filing the request with the board; or (d) a person qualified pursuant to RCW 34.05.530.

                (3) For purposes of this section "person" means any individual, partnership, corporation, association, state agency, governmental subdivision or unit thereof, or public or private organization or entity of any character.

                (4) To establish participation standing under subsection (2)(b) of this section, a person must show that his or her participation before the county or city was reasonably related to the person's issue as presented to the board.

                (5) When considering a possible adjustment to a growth management planning population projection prepared by the office of financial management, the board shall consider the implications of any such adjustment to the population forecast for the entire state.

                The rationale for any adjustment that is adopted by the board must be documented and filed with the office of financial management within ten working days after adoption.

                If adjusted by the board, a county growth management planning population projection shall only be used for the planning purposes set forth in this chapter and shall be known as the "board adjusted population projection."  None of these changes shall affect the official state and county population forecasts prepared by the office of financial management, which shall continue to be used for state budget and planning purposes.

NEW SECTION.  Sec. 4.  Section 3 of this act expires December 31, 2020."

                Correct the title.

 

Signed by Representatives Takko, Chair; Gregerson, Vice Chair; Overstreet, Ranking Minority Member; Kochmar, Assistant Ranking Minority Member; Farrell; Fitzgibbon; Pike; Springer and Taylor.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 25, 20140)

SB 6206             Prime Sponsor, Senator Honeyford: Concerning telecommunications installations.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Passed to Committee on Rules for second reading.

 

February 25, 20140)

SSB 6216           Prime Sponsor, Committee on Transportation: Allowing certain counties to assume the administrative duties of a county ferry district.  Reported by Committee on Transportation

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Clibborn, Chair; Farrell, Vice Chair; Fey, Vice Chair; Moscoso, Vice Chair; Orcutt, Ranking Minority Member; Hargrove, Assistant Ranking Minority Member; Overstreet, Assistant Ranking Minority Member; Bergquist; Fitzgibbon; Freeman; Habib; Hawkins; Hayes; Johnson; Klippert; Kochmar; Moeller; Morris; Muri; Ortiz-Self; Pike; Riccelli; Rodne; Ryu; Sells; Shea; Takko; Tarleton; Walkinshaw; Young and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6228         Prime Sponsor, Committee on Health Care: Concerning transparency tools for consumer information on health care cost and quality.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  Consumers face a challenge finding reliable, consumer friendly information on health care pricing and quality.  Greater transparency of health care prices and quality leads to engaged, activated consumers.  Research indicates that engaged and educated consumers help control costs and improve quality with lower costs per patient, lower hospital readmission rates, and the use of higher quality providers.  Washington is a leader in efforts to develop and publish provider quality information.

                Although data is available today, research indicates the existing information is not user friendly, consumers do not know which measures are most relevant, and quality ratings are inconsistent or nonstandardized.  It is the intent of the legislature to ensure consumer tools are available to educate and engage patients in managing their care and understanding the costs and quality.

NEW SECTION.  Sec. 2.  A new section is added to chapter 41.05 RCW to read as follows:

                (1) There is created a performance measures committee, the purpose of which is to identify and recommend standard statewide measures of health performance to inform public and private health care purchasers and set benchmarks to track costs and improvements in health outcomes.

                (2) Members of the committee must include representation from state agencies, small and large employers, health plans, patient groups, consumers, academic experts on health care measurement, hospitals, physicians, and other providers.  The governor shall appoint the members of the committee, except that a statewide association representing hospitals may appoint a member representing hospitals and a statewide association representing physicians may appoint a member representing physicians.  The governor shall ensure that members represent diverse geographic locations and both rural and urban communities.  The committee must be chaired by the director of the authority.

                (3) The committee shall develop a transparent process for selecting performance measures, and the process must include opportunities for public comment.

                (4) By January 1, 2015, the committee shall submit the performance measures to the authority.  The measures must include dimensions of:

                (a) Prevention and screening;

                (b) Effective management of chronic conditions;

                (c) Key health outcomes;

                (d) Care coordination and patient safety; and

                (e) Use of the lowest cost, highest quality care for acute conditions.

                (5) The committee shall develop a measure set that:

                (a) Is of manageable size;

                (b) Gives preference to nationally reported measures and, where nationally reported measures may not be appropriate, measures used by the health benefit exchange and state agencies that purchase health care;

                (c) Focuses on the overall performance of the system, including outcomes and total cost;

                (d) Is aligned with the governor's performance management system measures and common measure requirements specific to medicaid delivery systems under RCW 70.320.020 and 43.20A.895;

                (e) Considers the needs of different stakeholders and the populations served; and

                (f) Is usable by multiple payers, providers, hospitals, purchasers, public health, and communities as part of health improvement, care improvement, provider payment systems, benefit design, and administrative simplification for providers and hospitals.

                (6) State agencies shall use the measure set developed under this section to inform purchasing decisions and set benchmarks.

                (7) The committee shall establish a public process to periodically evaluate the measure set and make additions or changes to the measure set as needed.

NEW SECTION.  Sec. 3.  A new section is added to chapter 48.43 RCW to read as follows:

                (1) Each carrier offering or renewing a health benefit plan on or after January 1, 2016, must offer member transparency tools with certain price and quality information to enable the member to make treatment decisions based on cost, quality, and patient experience.  The transparency tools must aim for best practices and, at a minimum:

                (a) Must display cost data for common treatments within the following categories:

                (i) In-patient treatments;

                (ii) Outpatient treatments;

                (iii) Diagnostic tests; and

                (iv) Office visits;

                (b) Recognizing integrated health care delivery systems focus on total cost of care, carrier's operating integrated care delivery systems may meet the requirement of (a) of this subsection by providing meaningful consumer data based on the total cost of care.  This subsection applies only to the portion of enrollment a carrier offers pursuant to chapter 48.46 RCW and as part of an integrated delivery system, and does not exempt from (a) of this subsection coverage offered pursuant to chapter 48.21, 48.44, or 48.46 RCW if not part of an integrated delivery system;

                (c) Are encouraged to display the cost for prescription medications on their member web site or through a link to a third party that manages the prescription benefits;

                (d) Must include a patient review option or method for members to provide a rating or feedback on their experience with the medical provider that allows other members to see the patient review, the feedback must be monitored for appropriateness and validity, and the site may include independently compiled quality of care ratings of providers and facilities;

                (e) Must allow members to access the estimated cost of the treatment, or the total cost of care, as set forth in (a) and (b) of this subsection on a portable electronic device;

                (f) Must display options based on the selected search criteria for members to compare;

                (g) Must display the estimated cost of the treatment, or total cost of the care episode, and the estimated out-of-pocket costs of the treatment for the member and display the application of personalized benefits such as deductibles and cost-sharing;

                (h) Must display quality information on providers when available; and

                (i) Are encouraged to display alternatives that are more cost-effective when there are alternatives available, such as the use of an ambulatory surgical center when one is available or medical versus surgical alternatives as appropriate.

                (2) In addition to the required features on cost and quality information, the member transparency tools must include information to allow a provider and hospital search of in-network providers and hospitals with provider information including specialists, distance from patient, the provider's contact information, the provider's education, board certification and other credentials, where to find information on malpractice history and disciplinary actions, affiliated hospitals and other providers in a clinic, and directions to provider offices and hospitals. 

                (3) Each carrier offering or renewing a health benefit plan on or after January 1, 2016, must provide information regarding cost and quality performance.  The information must:

                (a) Be prominently displayed on the carrier's web site alongside other consumer tools; and

                (b) Include performance information from the following cost and quality performance measurement programs or indicate that the carrier does not participate in the program:

                (i) The national business coalition on health performance measures, with scores and comparisons with national and regional benchmarks;

                (ii) The national committee for quality assurance quality compass, with Washington state rankings for the prior three years;

                (iii) National committee for quality assurance accreditation, with the report card on plan type, overall accreditation status, and star rating; and

                (iv) The carrier's medicare five-star rating if the carrier participates in medicare advantage.

                (4) The insurance commissioner must prepare a brief, standardized statement for each cost and quality program described in subsection (3) of this section to explain how consumers may use the information to make cost and quality comparisons.  The statement must be displayed with the information required by subsection (3) of this section.

                (5) Each carrier offering or renewing a health benefit plan on or after January 1, 2016, must, within thirty days from the offer or renewal date, attest to the office of the insurance commissioner that the member transparency tools meet the requirements in this section and access to the tools is available on the home page within the health plan's secured member web site."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

ESSB 6242         Prime Sponsor, Committee on Early Learning & K-12 Education: Concerning waivers from the one hundred eighty-day school year requirement.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 28A.305.141 and 2009 c 543 s 2 are each amended to read as follows:

                (1) In addition to waivers authorized under RCW 28A.305.140 and 28A.655.180, the state board of education may grant waivers from the requirement for a one hundred eighty-day school year under RCW 28A.150.220 ((and 28A.150.250)) to school districts that propose to operate one or more schools on a flexible calendar for purposes of economy and efficiency as provided in this section.  The requirement under RCW 28A.150.220 that school districts offer ((an annual average instructional hour offering of at least one thousand)) minimum instructional hours shall not be waived.

                (2) A school district seeking a waiver under this section must submit an application that includes:

                (a) A proposed calendar for the school day and school year that demonstrates how the instructional hour requirement will be maintained;

                (b) An explanation and estimate of the economies and efficiencies to be gained from compressing the instructional hours into fewer than one hundred eighty days;

                (c) An explanation of how monetary savings from the proposal will be redirected to support student learning;

                (d) A summary of comments received at one or more public hearings on the proposal and how concerns will be addressed;

                (e) An explanation of the impact on students who rely upon free and reduced-price school child nutrition services and the impact on the ability of the child nutrition program to operate an economically independent program;

                (f) An explanation of the impact on employees in education support positions and the ability to recruit and retain employees in education support positions;

                (g) An explanation of the impact on students whose parents work during the missed school day; and

                (h) Other information that the state board of education may request to assure that the proposed flexible calendar will not adversely affect student learning.

                (3) The state board of education shall adopt criteria to evaluate waiver requests.  No more than five districts may be granted waivers.  Waivers may be granted for up to three years.  After each school year, the state board of education shall analyze empirical evidence to determine whether the reduction is affecting student learning.  If the state board of education determines that student learning is adversely affected, the school district shall discontinue the flexible calendar as soon as possible but not later than the beginning of the next school year after the determination has been made.  All waivers expire August 31, ((2014)) 2017.

                (a) Two of the five waivers granted under this subsection shall be granted to school districts with student populations of less than one hundred fifty students.

                (b) Three of the five waivers granted under this subsection shall be granted to school districts with student populations of between one hundred fifty-one and five hundred students.

                (4) ((The state board of education shall examine the waivers granted under this section and make a recommendation to the education committees of the legislature by December 15, 2013, regarding whether the waiver program should be continued, modified, or allowed to terminate.  This recommendation should focus on whether the program resulted in improved student learning as demonstrated by empirical evidence.  Such evidence includes, but is not limited to:  Improved scores on the Washington assessment of student learning, results of the dynamic indicators of basic early literacy skills, student grades, and attendance.
                (5))) This section expires August 31, ((2014)) 2017."

                Correct the title.

 

Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Klippert; Lytton; Muri; Orwall; Parker; Seaquist and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Hunt, S. and Pollet.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESB 6248           Prime Sponsor, Senator Pearson: Making the unlawful possession of instruments of financial fraud a crime.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 26, 20140)

ESSB 6265         Prime Sponsor, Committee on Health Care: Concerning state and local agencies that obtain patient health care information.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Clibborn; Green; Hunt, G.; Jinkins; Manweller; Moeller; Morrell; Rodne; Ross; Tharinger and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Short.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6283           Prime Sponsor, Committee on Health Care: Clarifying the practice of a phlebotomist.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 18.360.050 and 2013 c 128 s 3 are each amended to read as follows:

                (1) A medical assistant-certified may perform the following duties delegated by, and under the supervision of, a health care practitioner:

                (a) Fundamental procedures:

                (i) Wrapping items for autoclaving;

                (ii) Procedures for sterilizing equipment and instruments;

                (iii) Disposing of biohazardous materials; and

                (iv) Practicing standard precautions.

                (b) Clinical procedures:

                (i) Performing aseptic procedures in a setting other than a hospital licensed under chapter 70.41 RCW;

                (ii) Preparing of and assisting in sterile procedures in a setting other than a hospital under chapter 70.41 RCW;

                (iii) Taking vital signs;

                (iv) Preparing patients for examination;

                (v) Capillary blood withdrawal, venipuncture, and intradermal, subcutaneous, and intramuscular injections; and

                (vi) Observing and reporting patients' signs or symptoms.

                (c) Specimen collection:

                (i) Capillary puncture and venipuncture;

                (ii) Obtaining specimens for microbiological testing; and

                (iii) Instructing patients in proper technique to collect urine and fecal specimens.

                (d) Diagnostic testing:

                (i) Electrocardiography;

                (ii) Respiratory testing; and

                (iii)(A) Tests waived under the federal clinical laboratory improvement amendments program on July 1, 2013.  The department shall periodically update the tests authorized under this subsection (1)(d) based on changes made by the federal clinical laboratory improvement amendments program; and

                (B) Moderate complexity tests if the medical assistant-certified meets standards for personnel qualifications and responsibilities in compliance with federal regulation for nonwaived testing.

                (e) Patient care:

                (i) Telephone and in-person screening limited to intake and gathering of information without requiring the exercise of judgment based on clinical knowledge;

                (ii) Obtaining vital signs;

                (iii) Obtaining and recording patient history;

                (iv) Preparing and maintaining examination and treatment areas;

                (v) Preparing patients for, and assisting with, routine and specialty examinations, procedures, treatments, and minor office surgeries;

                (vi) Maintaining medication and immunization records; and

                (vii) Screening and following up on test results as directed by a health care practitioner.

                (f)(i) Administering medications.  A medical assistant-certified may only administer medications if the drugs are:

                (A) Administered only by unit or single dosage, or by a dosage calculated and verified by a health care practitioner.  For purposes of this section, a combination or multidose vaccine shall be considered a unit dose;

                (B) Limited to legend drugs, vaccines, and Schedule III-V controlled substances as authorized by a health care practitioner under the scope of his or her license and consistent with rules adopted by the secretary under (f)(ii) of this subsection; and

                (C) Administered pursuant to a written order from a health care practitioner.

                (ii) A medical assistant-certified may not administer experimental drugs or chemotherapy agents.  The secretary may, by rule, further limit the drugs that may be administered under this subsection (1)(f).  The rules adopted under this subsection must limit the drugs based on risk, class, or route.

                (g) Intravenous injections.  A medical assistant-certified may administer intravenous injections for diagnostic or therapeutic agents under the direct visual supervision of a health care practitioner if the medical assistant-certified meets minimum standards established by the secretary in rule.  The minimum standards must be substantially similar to the qualifications for category D and F health care assistants as they exist on July 1, 2013.

                (h) Urethral catheterization when appropriately trained.

                (2) A medical assistant-hemodialysis technician may perform hemodialysis when delegated and supervised by a health care practitioner.  A medical assistant-hemodialysis technician may also administer drugs and oxygen to a patient when delegated and supervised by a health care practitioner and pursuant to rules adopted by the secretary.

                (3) A medical assistant-phlebotomist may perform:
                (a) Capillary, venous, or arterial invasive procedures for blood withdrawal when delegated and supervised by a health care practitioner and pursuant to rules adopted by the secretary;
                (b) Tests waived under the federal clinical laboratory improvement amendments program on July 1, 2013.  The department shall periodically update the tests authorized under this section based on changes made by the federal clinical laboratory improvement amendments program;
                (c) Moderate and high complexity tests if the medical assistant- phlebotomist meets standards for personnel qualifications and responsibilities in compliance with federal regulation for nonwaived testing and the facility in which the medical assistant-phlebotomist works meets state requirements for medical test sites in chapter 70.42 RCW and in applicable rules of the department; and
                (d) Electrocardiograms.

                (4) A medical assistant-registered may perform the following duties delegated by, and under the supervision of, a health care practitioner:

                (a) Fundamental procedures:

                (i) Wrapping items for autoclaving;

                (ii) Procedures for sterilizing equipment and instruments;

                (iii) Disposing of biohazardous materials; and

                (iv) Practicing standard precautions.

                (b) Clinical procedures:

                (i) Preparing for sterile procedures;

                (ii) Taking vital signs;

                (iii) Preparing patients for examination; and

                (iv) Observing and reporting patients' signs or symptoms.

                (c) Specimen collection:

                (i) Obtaining specimens for microbiological testing; and

                (ii) Instructing patients in proper technique to collect urine and fecal specimens.

                (d) Patient care:

                (i) Telephone and in-person screening limited to intake and gathering of information without requiring the exercise of judgment based on clinical knowledge;

                (ii) Obtaining vital signs;

                (iii) Obtaining and recording patient history;

                (iv) Preparing and maintaining examination and treatment areas;

                (v) Preparing patients for, and assisting with, routine and specialty examinations, procedures, treatments, and minor office surgeries utilizing no more than local anesthetic.  The department may, by rule, prohibit duties authorized under this subsection (4)(d)(v) if performance of those duties by a medical assistant-registered would pose an unreasonable risk to patient safety;

                (vi) Maintaining medication and immunization records; and

                (vii) Screening and following up on test results as directed by a health care practitioner.

                (e)(i) Tests waived under the federal clinical laboratory improvement amendments program on July 1, 2013.  The department shall periodically update the tests authorized under subsection (1)(d) of this section based on changes made by the federal clinical laboratory improvement amendments program.

                (ii) Moderate complexity tests if the medical assistant-registered meets standards for personnel qualifications and responsibilities in compliance with federal regulation for nonwaived testing.

                (f) Administering eye drops, topical ointments, and vaccines, including combination or multidose vaccines.

                (g) Urethral catheterization when appropriately trained."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6297         Prime Sponsor, Committee on Health Care: Requiring the department of health to develop and make available resources for pregnant women regarding childhood immunizations.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  A new section is added to chapter 43.70 RCW to read as follows:

                The department shall develop and make available resources for expecting parents regarding recommended childhood immunizations.  The resources are intended to be provided to expecting parents by their health care providers to encourage discussion on childhood immunizations and postnatal care."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Harris, Assistant Ranking Minority Member; Clibborn; Green; Jinkins; Manweller; Moeller; Morrell; Rodne; Ross; Tharinger and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Schmick, Ranking Minority Member; Hunt, G. and Short.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6387           Prime Sponsor, Committee on Ways & Means: Concerning individuals with developmental disabilities who have requested a service from a program that is already at capacity.  Reported by Committee on Early Learning & Human Services

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  (1) In conjunction with recent findings from the Washington state auditor's office, the legislature finds that there are thousands of state citizens who have been determined eligible for services through the department of social and health services' developmental disability administration.  For those who have asked for help but are waiting for services, families may experience financial or emotional hardships.  The legislature intends to clarify and make transparent the process for accessing publicly funded services for individuals with developmental disabilities and their families.  The legislature intends to significantly reduce the number of eligible individuals who are waiting for services by funding additional slots and by implementing new programs that better utilize federal funding partnerships.

                (2) In addition to the need to serve more individuals with developmental disabilities, the legislature finds that there is an increasing need for long-term care services.  By 2030, nearly twenty percent or one out of five people in our state will be age sixty-five or older and our state is not prepared for the growing demand for long-term services and supports.  Washington must plan for the future long-term services and support needs of its residents by utilizing alternative long-term care financing options.

Sec. 2.  RCW 71A.10.020 and 2011 1st sp.s. c 30 s 3 are each amended to read as follows:

                As used in this title, the following terms have the meanings indicated unless the context clearly requires otherwise.

                (1) "Assessment" means an evaluation is provided by the department to determine:
                (a) If the individual meets functional and financial criteria for medicaid services; and
                (b) The individual's support needs for service determination.
                (2) "Community residential support services," or "community support services," and "in-home services" means one or more of the services listed in RCW 71A.12.040.

                (((2))) (3) "Crisis stabilization services" means services provided to persons with developmental disabilities who are experiencing behaviors that jeopardize the safety and stability of their current living situation.  Crisis stabilization services include:

                (a) Temporary intensive services and supports, typically not to exceed sixty days, to prevent psychiatric hospitalization, institutional placement, or other out-of-home placement; and

                (b) Services designed to stabilize the person and strengthen their current living situation so the person may continue to safely reside in the community during and beyond the crisis period.

                (((3))) (4) "Department" means the department of social and health services.

                (((4))) (5) "Developmental disability" means a disability attributable to intellectual disability, cerebral palsy, epilepsy, autism, or another neurological or other condition of an individual found by the secretary to be closely related to an intellectual disability or to require treatment similar to that required for individuals with intellectual disabilities, which disability originates before the individual attains age eighteen, which has continued or can be expected to continue indefinitely, and which constitutes a substantial limitation to the individual.  By January 1, 1989, the department shall promulgate rules which define neurological or other conditions in a way that is not limited to intelligence quotient scores as the sole determinant of these conditions, and notify the legislature of this action.

                (((5))) (6) "Eligible person" means a person who has been found by the secretary under RCW 71A.16.040 to be eligible for services.

                (((6))) (7) "Habilitative services" means those services provided by program personnel to assist persons in acquiring and maintaining life skills and to raise their levels of physical, mental, social, and vocational functioning.  Habilitative services include education, training for employment, and therapy.

                (((7))) (8) "Legal representative" means a parent of a person who is under eighteen years of age, a person's legal guardian, a person's limited guardian when the subject matter is within the scope of the limited guardianship, a person's attorney‑at‑law, a person's attorney‑in‑fact, or any other person who is authorized by law to act for another person.

                (((8))) (9) "Notice" or "notification" of an action of the secretary means notice in compliance with RCW 71A.10.060.

                (((9))) (10) "Residential habilitation center" means a state-operated facility for persons with developmental disabilities governed by chapter 71A.20 RCW.

                (((10))) (11) "Respite services" means relief for families and other caregivers of people with disabilities, typically not to exceed ninety days, to include both in-home and out-of-home respite care on an hourly and daily basis, including twenty-four hour care for several consecutive days.  Respite care workers provide supervision, companionship, and personal care services temporarily replacing those provided by the primary caregiver of the person with disabilities.  Respite care may include other services needed by the client, including medical care which must be provided by a licensed health care practitioner.

                (((11))) (12) "Secretary" means the secretary of social and health services or the secretary's designee.

                (((12))) (13) "Service" or "services" means services provided by state or local government to carry out this title.

                (((13))) (14) "State-operated living alternative" means programs for community residential services which may include assistance with activities of daily living, behavioral, habilitative, interpersonal, protective, medical, nursing, and mobility supports to individuals who have been assessed by the department as meeting state and federal requirements for eligibility in home and community-based waiver programs for individuals with developmental disabilities.  State-operated living alternatives are operated and staffed with state employees.

                (((14))) (15) "Supported living" means community residential services and housing which may include assistance with activities of daily living, behavioral, habilitative, interpersonal, protective, medical, nursing, and mobility supports provided to individuals with disabilities who have been assessed by the department as meeting state and federal requirements for eligibility in home and community-based waiver programs for individuals with developmental disabilities.  Supported living services are provided under contracts with private agencies or with individuals who are not state employees.

                (((15))) (16) "Vacancy" means an opening at a residential habilitation center, which when filled, would not require the center to exceed its biennially budgeted capacity.

(17) "Service request list" means a list of eligible persons who have received an assessment for service determination and their assessment shows that they meet the eligibility requirements for the requested service but were denied access due to funding limits.

Sec. 3.  RCW 71A.16.050 and 1988 c 176 s 405 are each amended to read as follows:

                The determination made under this chapter is only as to whether a person is eligible for services.  After the secretary has determined under this chapter that a person is eligible for services, the individual may request an assessment for eligibility for medicaid programs and specific services administered by the developmental disabilities administration.  The secretary shall make a determination as to what services are appropriate for the person. The secretary shall prioritize services to medicaid eligible clients.  Services may be made available to nonmedicaid eligible clients based on available funding.  Services available through the state medicaid plan must be provided to those individuals who meet the eligibility criteria.  The department shall establish and maintain a service request list database for individuals who are found to be eligible and have an assessed and unmet need for programs and services offered under a home and community-based services waiver, but the provision of a specific service would exceed the biennially budgeted capacity.

NEW SECTION.  Sec. 4.  The department of social and health services shall develop and implement a medicaid program to replace the individual and family services program for medicaid-eligible clients during the 2015-2017 biennium, as soon as May 1, 2015, and no later than May 30, 2016.  The new medicaid program must offer services that closely resemble the services offered in fiscal year 2014 through the individual and family services program.  The department shall expand the client caseload as soon as the new medicaid program is implemented.  By June 30, 2017, the department shall increase the number of clients served in the new medicaid program by at least four thousand additional individuals from the numbers served in the 2014 individual and family support program.  The department is authorized in fiscal year 2015 to use general fund--state dollars previously provided for the individual and family services program to cover the costs of increasing the number of clients served in the new medicaid program.  To the extent possible, the department shall use general fund--state savings from section 6 of this act to offset costs for the increased client caseloads in fiscal years 2016, 2017, 2018, and 2019.

NEW SECTION.  Sec. 5.  The department of social and health services shall expand the home and community-based services basic plus waiver client caseload beginning June 30, 2015.  By June 30, 2017, the department of social and health services shall increase the number served on the home and community-based services basic plus waiver program by at least one thousand additional individuals from the numbers served in fiscal year 2014.  The department is authorized in fiscal year 2015 to use general fund--state dollars previously provided for the individual and family services program to cover the costs of increasing the number of clients served in the basic plus waiver program.  To the extent possible, the department shall use general fund--state savings from section 6 of this act to offset costs for the increased client caseloads in fiscal years 2016, 2017, 2018, and 2019.

NEW SECTION.  Sec. 6.  (1) The department of social and health services shall refinance medicaid personal care services under the community first choice option.  Beginning July 1, 2014, the department shall seek stakeholder input on program and system design prior to the submission of a proposal to the center for medicaid and medicare services.  The community first choice option shall be designed in such a way to meet the federal minimum maintenance of effort requirements and all service requirements as specified in federal rule.

                (2) In the first full year of implementation, the per capita cost of all services offered in the community first choice benefit design, including required and optional services, shall not exceed a three percent increase over the per capita cost of the services provided to this population prior to the community first choice option refinance.  The three percent limit on new expenditures shall not apply to cost increases that are not the result of implementing the community first choice option, including but not limited to caseload growth, case mix changes, inflation, vendor rate changes, expenditures necessary to meet state and federal law requirements, and adjustments made pursuant to collective bargaining, and adjustments made in the biennial budget.

                (3) The community first choice option must be fully implemented during the 2015-2017 biennium, as soon as July 1, 2015, and no later than June 30, 2016.  In fiscal year 2015, the department shall use general fund--state savings from section 4 of this act to cover the fiscal year 2015 general fund--state costs of this section.  For the 2015-2017 biennium and the 2017-2019 biennium, the department shall use general fund--state savings from the refinance in this section to offset costs related to sections 4 and 5 of this act.  Any remaining general fund--state savings from section 4 of this act shall be reserved for potential investments in home and community-based services for individuals with developmental disabilities.  Any remaining savings from the refinance of medicaid personal care services under the community first choice option shall be reserved for potential investments in home and community-based services for individuals with developmental disabilities or individuals with long-term care needs, including investments recommended by the joint legislative executive committee on aging and disability and other work groups, councils, or committees convened by the department."

                Correct the title.

 

Signed by Representatives Kagi, Chair; Freeman, Vice Chair; Walsh, Ranking Minority Member; Fagan; Goodman; Ortiz-Self; Roberts; Sawyer; Senn; Young and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Scott, Assistant Ranking Minority Member.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

SB 6413             Prime Sponsor, Senator Fain: Clarifying prior offenses for driving under the influence or physical control of a vehicle under the influence.  Reported by Committee on Public Safety

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 46.61.5055 and 2013 2nd sp.s. c 35 s 13 are each amended to read as follows:

                (1) No prior offenses in seven years.  Except as provided in RCW 46.61.502(6) or 46.61.504(6), a person who is convicted of a violation of RCW 46.61.502 or 46.61.504 and who has no prior offense within seven years shall be punished as follows:

                (a) Penalty for alcohol concentration less than 0.15.  In the case of a person whose alcohol concentration was less than 0.15, or for whom for reasons other than the person's refusal to take a test offered pursuant to RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) By imprisonment for not less than one day nor more than three hundred sixty-four days.  Twenty-four consecutive hours of the imprisonment may not be suspended unless the court finds that the imposition of this mandatory minimum sentence would impose a substantial risk to the offender's physical or mental well-being.  Whenever the mandatory minimum sentence is suspended, the court shall state in writing the reason for granting the suspension and the facts upon which the suspension is based.  In lieu of the mandatory minimum term of imprisonment required under this subsection (1)(a)(i), the court may order not less than fifteen days of electronic home monitoring.  The offender shall pay the cost of electronic home monitoring.  The county or municipality in which the penalty is being imposed shall determine the cost.  The court may also require the offender's electronic home monitoring device or other separate alcohol monitoring device to include an alcohol detection breathalyzer, and the court may restrict the amount of alcohol the offender may consume during the time the offender is on electronic home monitoring; and

                (ii) By a fine of not less than three hundred fifty dollars nor more than five thousand dollars.  Three hundred fifty dollars of the fine may not be suspended unless the court finds the offender to be indigent; or

                (b) Penalty for alcohol concentration at least 0.15.  In the case of a person whose alcohol concentration was at least 0.15, or for whom by reason of the person's refusal to take a test offered pursuant to RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) By imprisonment for not less than two days nor more than three hundred sixty-four days.  Forty-eight consecutive hours of the imprisonment may not be suspended unless the court finds that the imposition of this mandatory minimum sentence would impose a substantial risk to the offender's physical or mental well-being.  Whenever the mandatory minimum sentence is suspended, the court shall state in writing the reason for granting the suspension and the facts upon which the suspension is based.  In lieu of the mandatory minimum term of imprisonment required under this subsection (1)(b)(i), the court may order not less than thirty days of electronic home monitoring.  The offender shall pay the cost of electronic home monitoring.  The county or municipality in which the penalty is being imposed shall determine the cost.  The court may also require the offender's electronic home monitoring device to include an alcohol detection breathalyzer or other separate alcohol monitoring device, and the court may restrict the amount of alcohol the offender may consume during the time the offender is on electronic home monitoring; and

                (ii) By a fine of not less than five hundred dollars nor more than five thousand dollars.  Five hundred dollars of the fine may not be suspended unless the court finds the offender to be indigent.

                (2) One prior offense in seven years.  Except as provided in RCW 46.61.502(6) or 46.61.504(6), a person who is convicted of a violation of RCW 46.61.502 or 46.61.504 and who has one prior offense within seven years shall be punished as follows:

                (a) Penalty for alcohol concentration less than 0.15.  In the case of a person whose alcohol concentration was less than 0.15, or for whom for reasons other than the person's refusal to take a test offered pursuant to RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) By imprisonment for not less than thirty days nor more than three hundred sixty-four days and sixty days of electronic home monitoring.  In lieu of the mandatory minimum term of sixty days electronic home monitoring, the court may order at least an additional four days in jail or, if available in that county or city, a six-month period of 24/7 sobriety program monitoring pursuant to RCW 36.28A.300 through 36.28A.390, and the court shall order an expanded alcohol assessment and treatment, if deemed appropriate by the assessment.  The offender shall pay for the cost of the electronic monitoring.  The county or municipality where the penalty is being imposed shall determine the cost.  The court may also require the offender's electronic home monitoring device include an alcohol detection breathalyzer or other separate alcohol monitoring device, and may restrict the amount of alcohol the offender may consume during the time the offender is on electronic home monitoring.  Thirty days of imprisonment and sixty days of electronic home monitoring may not be suspended unless the court finds that the imposition of this mandatory minimum sentence would impose a substantial risk to the offender's physical or mental well-being.  Whenever the mandatory minimum sentence is suspended, the court shall state in writing the reason for granting the suspension and the facts upon which the suspension is based; and

                (ii) By a fine of not less than five hundred dollars nor more than five thousand dollars.  Five hundred dollars of the fine may not be suspended unless the court finds the offender to be indigent; or

                (b) Penalty for alcohol concentration at least 0.15.  In the case of a person whose alcohol concentration was at least 0.15, or for whom by reason of the person's refusal to take a test offered pursuant to RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) By imprisonment for not less than forty-five days nor more than three hundred sixty-four days and ninety days of electronic home monitoring.  In lieu of the mandatory minimum term of ninety days electronic home monitoring, the court may order at least an additional six days in jail or, if available in that county or city, a six-month period of 24/7 sobriety program monitoring pursuant to RCW 36.28A.300 through 36.28A.390, and the court shall order an expanded alcohol assessment and treatment, if deemed appropriate by the assessment.  The offender shall pay for the cost of the electronic monitoring.  The county or municipality where the penalty is being imposed shall determine the cost.  The court may also require the offender's electronic home monitoring device include an alcohol detection breathalyzer or other separate alcohol monitoring device, and may restrict the amount of alcohol the offender may consume during the time the offender is on electronic home monitoring.  Forty-five days of imprisonment and ninety days of electronic home monitoring may not be suspended unless the court finds that the imposition of this mandatory minimum sentence would impose a substantial risk to the offender's physical or mental well-being.  Whenever the mandatory minimum sentence is suspended, the court shall state in writing the reason for granting the suspension and the facts upon which the suspension is based; and

                (ii) By a fine of not less than seven hundred fifty dollars nor more than five thousand dollars.  Seven hundred fifty dollars of the fine may not be suspended unless the court finds the offender to be indigent.

                (3) Two or three prior offenses in seven years.  Except as provided in RCW 46.61.502(6) or 46.61.504(6), a person who is convicted of a violation of RCW 46.61.502 or 46.61.504 and who has two or three prior offenses within seven years shall be punished as follows:

                (a) Penalty for alcohol concentration less than 0.15.  In the case of a person whose alcohol concentration was less than 0.15, or for whom for reasons other than the person's refusal to take a test offered pursuant to RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) By imprisonment for not less than ninety days nor more than three hundred sixty-four days, if available in that county or city, a six-month period of 24/7 sobriety program monitoring pursuant to RCW 36.28A.300 through 36.28A.390, and one hundred twenty days of electronic home monitoring.  In lieu of the mandatory minimum term of one hundred twenty days of electronic home monitoring, the court may order at least an additional eight days in jail.  The court shall order an expanded alcohol assessment and treatment, if deemed appropriate by the assessment.  The offender shall pay for the cost of the electronic monitoring.  The county or municipality where the penalty is being imposed shall determine the cost.  The court may also require the offender's electronic home monitoring device include an alcohol detection breathalyzer or other separate alcohol monitoring device, and may restrict the amount of alcohol the offender may consume during the time the offender is on electronic home monitoring.  Ninety days of imprisonment and one hundred twenty days of electronic home monitoring may not be suspended unless the court finds that the imposition of this mandatory minimum sentence would impose a substantial risk to the offender's physical or mental well-being.  Whenever the mandatory minimum sentence is suspended, the court shall state in writing the reason for granting the suspension and the facts upon which the suspension is based; and

                (ii) By a fine of not less than one thousand dollars nor more than five thousand dollars.  One thousand dollars of the fine may not be suspended unless the court finds the offender to be indigent; or

                (b) Penalty for alcohol concentration at least 0.15.  In the case of a person whose alcohol concentration was at least 0.15, or for whom by reason of the person's refusal to take a test offered pursuant to RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) By imprisonment for not less than one hundred twenty days nor more than three hundred sixty-four days, if available in that county or city, a six-month period of 24/7 sobriety program monitoring pursuant to RCW 36.28A.300 through 36.28A.390, and one hundred fifty days of electronic home monitoring.  In lieu of the mandatory minimum term of one hundred fifty days of electronic home monitoring, the court may order at least an additional ten days in jail.  The offender shall pay for the cost of the electronic monitoring.  The court shall order an expanded alcohol assessment and treatment, if deemed appropriate by the assessment.  The county or municipality where the penalty is being imposed shall determine the cost.  The court may also require the offender's electronic home monitoring device include an alcohol detection breathalyzer or other separate alcohol monitoring device, and may restrict the amount of alcohol the offender may consume during the time the offender is on electronic home monitoring.  One hundred twenty days of imprisonment and one hundred fifty days of electronic home monitoring may not be suspended unless the court finds that the imposition of this mandatory minimum sentence would impose a substantial risk to the offender's physical or mental well-being.  Whenever the mandatory minimum sentence is suspended, the court shall state in writing the reason for granting the suspension and the facts upon which the suspension is based; and

                (ii) By a fine of not less than one thousand five hundred dollars nor more than five thousand dollars.  One thousand five hundred dollars of the fine may not be suspended unless the court finds the offender to be indigent.

                (4) Four or more prior offenses in ten years.  A person who is convicted of a violation of RCW 46.61.502 or 46.61.504 shall be punished under chapter 9.94A RCW if:

                (a) The person has four or more prior offenses within ten years; or

                (b) The person has ever previously been convicted of:

                (i) A violation of RCW 46.61.520 committed while under the influence of intoxicating liquor or any drug;

                (ii) A violation of RCW 46.61.522 committed while under the influence of intoxicating liquor or any drug;

                (iii) An out-of-state offense comparable to the offense specified in (b)(i) or (ii) of this subsection; or

                (iv) A violation of RCW 46.61.502(6) or 46.61.504(6).

                (5) Monitoring.

                (a) Ignition interlock device.  The court shall require any person convicted of a violation of RCW 46.61.502 or 46.61.504 or an equivalent local ordinance, if the offense involved intoxicating liquor, to comply with the rules and requirements of the department regarding the installation and use of a functioning ignition interlock device installed on all motor vehicles operated by the person.

                (b) Monitoring devices.  If the court orders that a person refrain from consuming any alcohol, the court may order the person to submit to alcohol monitoring through an alcohol detection breathalyzer device, transdermal sensor device, or other technology designed to detect alcohol in a person's system.  The person shall pay for the cost of the monitoring, unless the court specifies that the cost of monitoring will be paid with funds that are available from an alternative source identified by the court.  The county or municipality where the penalty is being imposed shall determine the cost.

(c) Ignition interlock device substituted for 24/7 sobriety program monitoring.  In any county or city where a 24/7 sobriety program is available and verified by the Washington association of sheriffs and police chiefs, the court shall:
                (i) Order the person, if the offense involved intoxicating liquor, to install and use a functioning ignition interlock or other device in lieu of such period of 24/7 sobriety program monitoring;
                (ii) Order the person to a period of 24/7 sobriety program monitoring pursuant to subsections (1) through (3) of this section; or
                (iii) Order the person, if the offense involved intoxicating liquor, to install and use a functioning ignition interlock or other device in addition to a period of 24/7 sobriety program monitoring pursuant to subsections (1) through (3) of this section.

                (6) Penalty for having a minor passenger in vehicle.  If a person who is convicted of a violation of RCW 46.61.502 or 46.61.504 committed the offense while a passenger under the age of sixteen was in the vehicle, the court shall:

                (a) Order the use of an ignition interlock or other device for an additional six months if the offense involved intoxicating liquor;

                (b) In any case in which the person has no prior offenses within seven years, and except as provided in RCW 46.61.502(6) or 46.61.504(6), order an additional twenty-four hours of imprisonment and a fine of not less than one thousand dollars and not more than five thousand dollars.  One thousand dollars of the fine may not be suspended unless the court finds the offender to be indigent;

                (c) In any case in which the person has one prior offense within seven years, and except as provided in RCW 46.61.502(6) or 46.61.504(6), order an additional five days of imprisonment and a fine of not less than two thousand dollars and not more than five thousand dollars.  One thousand dollars of the fine may not be suspended unless the court finds the offender to be indigent;

                (d) In any case in which the person has two or three prior offenses within seven years, and except as provided in RCW 46.61.502(6) or 46.61.504(6), order an additional ten days of imprisonment and a fine of not less than three thousand dollars and not more than ten thousand dollars.  One thousand dollars of the fine may not be suspended unless the court finds the offender to be indigent.

                (7) Other items courts must consider while setting penalties.  In exercising its discretion in setting penalties within the limits allowed by this section, the court shall particularly consider the following:

                (a) Whether the person's driving at the time of the offense was responsible for injury or damage to another or another's property;

                (b) Whether at the time of the offense the person was driving or in physical control of a vehicle with one or more passengers;

                (c) Whether the driver was driving in the opposite direction of the normal flow of traffic on a multiple lane highway, as defined by RCW 46.04.350, with a posted speed limit of forty-five miles per hour or greater; and

                (d) Whether a child passenger under the age of sixteen was an occupant in the driver's vehicle.

                (8) Treatment and information school.  An offender punishable under this section is subject to the alcohol assessment and treatment provisions of RCW 46.61.5056.

                (9) Driver's license privileges of the defendant.  The license, permit, or nonresident privilege of a person convicted of driving or being in physical control of a motor vehicle while under the influence of intoxicating liquor or drugs must:

                (a) Penalty for alcohol concentration less than 0.15.  If the person's alcohol concentration was less than 0.15, or if for reasons other than the person's refusal to take a test offered under RCW 46.20.308 there is no test result indicating the person's alcohol concentration:

                (i) Where there has been no prior offense within seven years, be suspended or denied by the department for ninety days;

                (ii) Where there has been one prior offense within seven years, be revoked or denied by the department for two years; or

                (iii) Where there have been two or more prior offenses within seven years, be revoked or denied by the department for three years;

                (b) Penalty for alcohol concentration at least 0.15.  If the person's alcohol concentration was at least 0.15:

                (i) Where there has been no prior offense within seven years, be revoked or denied by the department for one year;

                (ii) Where there has been one prior offense within seven years, be revoked or denied by the department for nine hundred days; or

                (iii) Where there have been two or more prior offenses within seven years, be revoked or denied by the department for four years; or

                (c) Penalty for refusing to take test.  If by reason of the person's refusal to take a test offered under RCW 46.20.308, there is no test result indicating the person's alcohol concentration:

                (i) Where there have been no prior offenses within seven years, be revoked or denied by the department for two years;

                (ii) Where there has been one prior offense within seven years, be revoked or denied by the department for three years; or

                (iii) Where there have been two or more previous offenses within seven years, be revoked or denied by the department for four years.

                The department shall grant credit on a day-for-day basis for any portion of a suspension, revocation, or denial already served under this subsection for a suspension, revocation, or denial imposed under RCW 46.20.3101 arising out of the same incident.

                Upon its own motion or upon motion by a person, a court may find, on the record, that notice to the department under RCW 46.20.270 has been delayed for three years or more as a result of a clerical or court error.  If so, the court may order that the person's license, permit, or nonresident privilege shall not be revoked, suspended, or denied for that offense.  The court shall send notice of the finding and order to the department and to the person.  Upon receipt of the notice from the court, the department shall not revoke, suspend, or deny the license, permit, or nonresident privilege of the person for that offense.

                For purposes of this subsection (9), the department shall refer to the driver's record maintained under RCW 46.52.120 when determining the existence of prior offenses.

                (10) Probation of driving privilege.  After expiration of any period of suspension, revocation, or denial of the offender's license, permit, or privilege to drive required by this section, the department shall place the offender's driving privilege in probationary status pursuant to RCW 46.20.355.

                (11) Conditions of probation.  (a) In addition to any nonsuspendable and nondeferrable jail sentence required by this section, whenever the court imposes up to three hundred sixty-four days in jail, the court shall also suspend but shall not defer a period of confinement for a period not exceeding five years.  The court shall impose conditions of probation that include:  (i) Not driving a motor vehicle within this state without a valid license to drive and proof of liability insurance or other financial responsibility for the future pursuant to RCW 46.30.020; (ii) not driving or being in physical control of a motor vehicle within this state while having an alcohol concentration of 0.08 or more or a THC concentration of 5.00 nanograms per milliliter of whole blood or higher, within two hours after driving; and (iii) not refusing to submit to a test of his or her breath or blood to determine alcohol or drug concentration upon request of a law enforcement officer who has reasonable grounds to believe the person was driving or was in actual physical control of a motor vehicle within this state while under the influence of intoxicating liquor or drug.  The court may impose conditions of probation that include nonrepetition, installation of an ignition interlock device on the probationer's motor vehicle (if the offense involved intoxicating liquor), alcohol or drug treatment, supervised probation, or other conditions that may be appropriate.  The sentence may be imposed in whole or in part upon violation of a condition of probation during the suspension period.

                (b) For each violation of mandatory conditions of probation under (a)(i), (ii), or (iii) of this subsection, the court shall order the convicted person to be confined for thirty days, which shall not be suspended or deferred.

                (c) For each incident involving a violation of a mandatory condition of probation imposed under this subsection, the license, permit, or privilege to drive of the person shall be suspended by the court for thirty days or, if such license, permit, or privilege to drive already is suspended, revoked, or denied at the time the finding of probation violation is made, the suspension, revocation, or denial then in effect shall be extended by thirty days.  The court shall notify the department of any suspension, revocation, or denial or any extension of a suspension, revocation, or denial imposed under this subsection.

                (12) Waiver of electronic home monitoring.  A court may waive the electronic home monitoring requirements of this chapter when:

                (a) The offender does not have a dwelling, telephone service, or any other necessity to operate an electronic home monitoring system.  However, if a court determines that an alcohol monitoring device utilizing wireless reporting technology is reasonably available, the court may require the person to obtain such a device during the period of required electronic home monitoring;

                (b) The offender does not reside in the state of Washington; or

                (c) The court determines that there is reason to believe that the offender would violate the conditions of the electronic home monitoring penalty.

                Whenever the mandatory minimum term of electronic home monitoring is waived, the court shall state in writing the reason for granting the waiver and the facts upon which the waiver is based, and shall impose an alternative sentence with similar punitive consequences.  The alternative sentence may include, but is not limited to, use of an ignition interlock device (if the offense involved intoxicating liquor), the 24/7 sobriety program monitoring, additional jail time, work crew, or work camp.

                Whenever the combination of jail time and electronic home monitoring or alternative sentence would exceed three hundred sixty-four days, the offender shall serve the jail portion of the sentence first, and the electronic home monitoring or alternative portion of the sentence shall be reduced so that the combination does not exceed three hundred sixty-four days.

                (13) Extraordinary medical placement.  An offender serving a sentence under this section, whether or not a mandatory minimum term has expired, may be granted an extraordinary medical placement by the jail administrator subject to the standards and limitations set forth in RCW 9.94A.728(3).

                (14) Definitions.  For purposes of this section and RCW 46.61.502 and 46.61.504:

                (a) A "prior offense" means any of the following:

                (i) A conviction for a violation of RCW 46.61.502 or an equivalent local ordinance;

                (ii) A conviction for a violation of RCW 46.61.504 or an equivalent local ordinance;

                (iii) A conviction for a violation of RCW 46.25.110 or an equivalent local ordinance;
                (iv) A conviction for a violation of RCW 79A.60.040 or an equivalent local ordinance;
                (v) A conviction for a violation of RCW 47.68.220 or an equivalent local ordinance;
                (vi) A conviction for a violation of RCW 46.09.470(2) or an equivalent local ordinance;
                (vii) A conviction for a violation of RCW 46.10.490(2) or an equivalent local ordinance;
                (viii) A conviction for a violation of RCW 46.61.520 committed while under the influence of intoxicating liquor or any drug, or a conviction for a violation of RCW 46.61.520 committed in a reckless manner or with the disregard for the safety of others if the conviction is the result of a charge that was originally filed as a violation of RCW 46.61.520 committed while under the influence of intoxicating liquor or any drug;

                (((iv))) (ix) A conviction for a violation of RCW 46.61.522 committed while under the influence of intoxicating liquor or any drug, or a conviction for a violation of RCW 46.61.522 committed in a reckless manner or with the disregard for the safety of others if the conviction is the result of a charge that was originally filed as a violation of RCW 46.61.522 committed while under the influence of intoxicating liquor or any drug;

                (((v))) (x) A conviction for a violation of RCW 46.61.5249, 46.61.500, or 9A.36.050 or an equivalent local ordinance, if the conviction is the result of a charge that was originally filed as a violation of RCW 46.61.502 or 46.61.504, or an equivalent local ordinance, or of RCW 46.61.520 or 46.61.522;

                (((vi))) (xi) An out-of-state conviction for a violation that would have been a violation of (a)(i), (ii), (((iii))) (viii), (((iv))) (ix), or (((v))) (x) of this subsection if committed in this state;

                (((vii))) (xii) A deferred prosecution under chapter 10.05 RCW granted in a prosecution for a violation of RCW 46.61.502, 46.61.504, or an equivalent local ordinance;

                (((viii))) (xiii) A deferred prosecution under chapter 10.05 RCW granted in a prosecution for a violation of RCW 46.61.5249, or an equivalent local ordinance, if the charge under which the deferred prosecution was granted was originally filed as a violation of RCW 46.61.502 or 46.61.504, or an equivalent local ordinance, or of RCW 46.61.520 or 46.61.522;

                (((ix))) (xiv) A deferred prosecution granted in another state for a violation of driving or having physical control of a vehicle while under the influence of intoxicating liquor or any drug if the out-of-state deferred prosecution is equivalent to the deferred prosecution under chapter 10.05 RCW, including a requirement that the defendant participate in a chemical dependency treatment program; or

                (((x))) (xv) A deferred sentence imposed in a prosecution for a violation of RCW 46.61.5249, 46.61.500, or 9A.36.050, or an equivalent local ordinance, if the charge under which the deferred sentence was imposed was originally filed as a violation of RCW 46.61.502 or 46.61.504, or an equivalent local ordinance, or a violation of RCW 46.61.520 or 46.61.522;

                If a deferred prosecution is revoked based on a subsequent conviction for an offense listed in this subsection (14)(a), the subsequent conviction shall not be treated as a prior offense of the revoked deferred prosecution for the purposes of sentencing;

                (b) "Treatment" means alcohol or drug treatment approved by the department of social and health services;

                (c) "Within seven years" means that the arrest for a prior offense occurred within seven years before or after the arrest for the current offense; and

                (d) "Within ten years" means that the arrest for a prior offense occurred within ten years before or after the arrest for the current offense.

Sec. 2.  RCW 10.31.100 and 2013 2nd sp.s. c 35 s 22 are each amended to read as follows:

                A police officer having probable cause to believe that a person has committed or is committing a felony shall have the authority to arrest the person without a warrant.  A police officer may arrest a person without a warrant for committing a misdemeanor or gross misdemeanor only when the offense is committed in the presence of the officer, except as provided in subsections (1) through (11) of this section.

                (1) Any police officer having probable cause to believe that a person has committed or is committing a misdemeanor or gross misdemeanor, involving physical harm or threats of harm to any person or property or the unlawful taking of property or involving the use or possession of cannabis, or involving the acquisition, possession, or consumption of alcohol by a person under the age of twenty-one years under RCW 66.44.270, or involving criminal trespass under RCW 9A.52.070 or 9A.52.080, shall have the authority to arrest the person.

                (2) A police officer shall arrest and take into custody, pending release on bail, personal recognizance, or court order, a person without a warrant when the officer has probable cause to believe that:

                (a) An order has been issued of which the person has knowledge under RCW 26.44.063, or chapter 7.92, 7.90, 9A.46, 10.99, 26.09, 26.10, 26.26, 26.50, or 74.34 RCW restraining the person and the person has violated the terms of the order restraining the person from acts or threats of violence, or restraining the person from going onto the grounds of or entering a residence, workplace, school, or day care, or prohibiting the person from knowingly coming within, or knowingly remaining within, a specified distance of a location or, in the case of an order issued under RCW 26.44.063, imposing any other restrictions or conditions upon the person; or

                (b) A foreign protection order, as defined in RCW 26.52.010, has been issued of which the person under restraint has knowledge and the person under restraint has violated a provision of the foreign protection order prohibiting the person under restraint from contacting or communicating with another person, or excluding the person under restraint from a residence, workplace, school, or day care, or prohibiting the person from knowingly coming within, or knowingly remaining within, a specified distance of a location, or a violation of any provision for which the foreign protection order specifically indicates that a violation will be a crime; or

                (c) The person is sixteen years or older and within the preceding four hours has assaulted a family or household member as defined in RCW 10.99.020 and the officer believes:  (i) A felonious assault has occurred; (ii) an assault has occurred which has resulted in bodily injury to the victim, whether the injury is observable by the responding officer or not; or (iii) that any physical action has occurred which was intended to cause another person reasonably to fear imminent serious bodily injury or death.  Bodily injury means physical pain, illness, or an impairment of physical condition.  When the officer has probable cause to believe that family or household members have assaulted each other, the officer is not required to arrest both persons.  The officer shall arrest the person whom the officer believes to be the primary physical aggressor.  In making this determination, the officer shall make every reasonable effort to consider:  (i) The intent to protect victims of domestic violence under RCW 10.99.010; (ii) the comparative extent of injuries inflicted or serious threats creating fear of physical injury; and (iii) the history of domestic violence of each person involved, including whether the conduct was part of an ongoing pattern of abuse((; or
                (d) The person has violated RCW 46.61.502 or 46.61.504 or an equivalent local ordinance and the police officer has knowledge that the person has a prior offense as defined in RCW 46.61.5055 within ten years)).

                (3) Any police officer having probable cause to believe that a person has committed or is committing a violation of any of the following traffic laws shall have the authority to arrest the person:

                (a) RCW 46.52.010, relating to duty on striking an unattended car or other property;

                (b) RCW 46.52.020, relating to duty in case of injury to or death of a person or damage to an attended vehicle;

                (c) RCW 46.61.500 or 46.61.530, relating to reckless driving or racing of vehicles;

                (d) RCW 46.61.502 or 46.61.504, relating to persons under the influence of intoxicating liquor or drugs;

                (e) RCW 46.61.503 or 46.25.110, relating to persons having alcohol or THC in their system;

                (f) RCW 46.20.342, relating to driving a motor vehicle while operator's license is suspended or revoked;

                (g) RCW 46.61.5249, relating to operating a motor vehicle in a negligent manner.

                (4) A law enforcement officer investigating at the scene of a motor vehicle accident may arrest the driver of a motor vehicle involved in the accident if the officer has probable cause to believe that the driver has committed in connection with the accident a violation of any traffic law or regulation.

                (5)(a) A law enforcement officer investigating at the scene of a motor vessel accident may arrest the operator of a motor vessel involved in the accident if the officer has probable cause to believe that the operator has committed, in connection with the accident, a criminal violation of chapter 79A.60 RCW.

                (b) A law enforcement officer investigating at the scene of a motor vessel accident may issue a citation for an infraction to the operator of a motor vessel involved in the accident if the officer has probable cause to believe that the operator has committed, in connection with the accident, a violation of any boating safety law of chapter 79A.60 RCW.

                (6) Any police officer having probable cause to believe that a person has committed or is committing a violation of RCW 79A.60.040 shall have the authority to arrest the person.

                (7) An officer may act upon the request of a law enforcement officer in whose presence a traffic infraction was committed, to stop, detain, arrest, or issue a notice of traffic infraction to the driver who is believed to have committed the infraction.  The request by the witnessing officer shall give an officer the authority to take appropriate action under the laws of the state of Washington.

                (8) Any police officer having probable cause to believe that a person has committed or is committing any act of indecent exposure, as defined in RCW 9A.88.010, may arrest the person.

                (9) A police officer may arrest and take into custody, pending release on bail, personal recognizance, or court order, a person without a warrant when the officer has probable cause to believe that an order has been issued of which the person has knowledge under chapter 10.14 RCW and the person has violated the terms of that order.

                (10) Any police officer having probable cause to believe that a person has, within twenty-four hours of the alleged violation, committed a violation of RCW 9A.50.020 may arrest such person.

                (11) A police officer having probable cause to believe that a person illegally possesses or illegally has possessed a firearm or other dangerous weapon on private or public elementary or secondary school premises shall have the authority to arrest the person.

                For purposes of this subsection, the term "firearm" has the meaning defined in RCW 9.41.010 and the term "dangerous weapon" has the meaning defined in RCW 9.41.250 and 9.41.280(1) (c) through (e).

                (12) Except as specifically provided in subsections (2), (3), (4), and (7) of this section, nothing in this section extends or otherwise affects the powers of arrest prescribed in Title 46 RCW.

                (13) No police officer may be held criminally or civilly liable for making an arrest pursuant to subsection (2) or (9) of this section if the police officer acts in good faith and without malice.

(14) A police officer shall arrest and keep in custody, until release by a judicial officer on bail, personal recognizance, or court order, a person without a warrant when the officer has probable cause to believe that the person has violated RCW 46.61.502 or 46.61.504 or an equivalent local ordinance and the police officer has knowledge that the person has a prior offense as defined in RCW 46.61.5055 within ten years.

Sec. 3.  RCW 46.61.500 and 2012 c 183 s 11 are each amended to read as follows:

                (1) Any person who drives any vehicle in willful or wanton disregard for the safety of persons or property is guilty of reckless driving.  Violation of the provisions of this section is a gross misdemeanor punishable by imprisonment for up to three hundred sixty-four days and by a fine of not more than five thousand dollars.

                (2)(a) Subject to (b) of this subsection, the license or permit to drive or any nonresident privilege of any person convicted of reckless driving shall be suspended by the department for not less than thirty days.

                (b) When a reckless driving conviction is a result of a charge that was originally filed as a violation of RCW 46.61.502 or 46.61.504, or an equivalent local ordinance, the department shall grant credit on a day-for-day basis for any portion of a suspension, revocation, or denial already served under an administrative action arising out of the same incident.  During any period of suspension, revocation, or denial due to a conviction for reckless driving as the result of a charge originally filed as a violation of RCW 46.61.502 or 46.61.504, any person who has obtained an ignition interlock driver's license under RCW 46.20.385 may continue to drive a motor vehicle pursuant to the provision of the ignition interlock driver's license without obtaining a separate temporary restricted driver's license under RCW 46.20.391.

                (3)(a) Except as provided under (b) of this subsection, a person convicted of reckless driving who has one or more prior offenses as defined in RCW 46.61.5055(14) within seven years shall be required, under RCW 46.20.720, to install an ignition interlock device on all vehicles operated by the person if the conviction is the result of a charge that was originally filed as a violation of RCW 46.61.502, 46.61.504, or an equivalent local ordinance, where the offense involved intoxicating liquor.

                (b) If the offense involved intoxicating liquor, a person convicted of reckless driving shall be required, under RCW 46.20.720, to install an ignition interlock device on all vehicles operated by the person if the conviction is the result of a charge that was originally filed as a violation of RCW 46.61.520 committed while under the influence of intoxicating liquor or any drug or RCW 46.61.522 committed while under the influence of intoxicating liquor or any drug.

Sec. 4.  RCW 46.61.5249 and 2013 2nd sp.s. c 35 s 16 are each amended to read as follows:

                (1)(a) A person is guilty of negligent driving in the first degree if he or she operates a motor vehicle in a manner that is both negligent and endangers or is likely to endanger any person or property, and exhibits the effects of having consumed liquor or marijuana or any drug or exhibits the effects of having inhaled or ingested any chemical, whether or not a legal substance, for its intoxicating or hallucinatory effects.

                (b) It is an affirmative defense to negligent driving in the first degree by means of exhibiting the effects of having consumed any drug that must be proved by the defendant by a preponderance of the evidence, that the driver has a valid prescription for the drug consumed, and has been consuming it according to the prescription directions and warnings.

                (c) Negligent driving in the first degree is a misdemeanor.

                (2) For the purposes of this section:

                (a) "Negligent" means the failure to exercise ordinary care, and is the doing of some act that a reasonably careful person would not do under the same or similar circumstances or the failure to do something that a reasonably careful person would do under the same or similar circumstances.

                (b) "Exhibiting the effects of having consumed liquor, marijuana, or any drug" means that a person has the odor of liquor, marijuana, or any drug on his or her breath, or that by speech, manner, appearance, behavior, lack of coordination, or otherwise exhibits that he or she has consumed liquor, marijuana, or any drug, and either:

                (i) Is in possession of or in close proximity to a container that has or recently had liquor, marijuana, or any drug in it; or

                (ii) Is shown by other evidence to have recently consumed liquor, marijuana, or any drug.

                (c) "Exhibiting the effects of having inhaled or ingested any chemical, whether or not a legal substance, for its intoxicating or hallucinatory effects" means that a person by speech, manner, appearance, behavior, or lack of coordination or otherwise exhibits that he or she has inhaled or ingested a chemical and either:

                (i) Is in possession of the canister or container from which the chemical came; or

                (ii) Is shown by other evidence to have recently inhaled or ingested a chemical for its intoxicating or hallucinatory effects.

                (3) Any act prohibited by this section that also constitutes a crime under any other law of this state may be the basis of prosecution under such other law notwithstanding that it may also be the basis for prosecution under this section.

                (4) A person convicted of negligent driving in the first degree who has one or more prior offenses as defined in RCW 46.61.5055(14) within seven years shall be required, under RCW 46.20.720, to install an ignition interlock device on all vehicles operated by the person, if the offense involved intoxicating liquor."

                Correct the title.

 

Signed by Representatives Goodman, Chair; Roberts, Vice Chair; Klippert, Ranking Minority Member; Hayes, Assistant Ranking Minority Member; Appleton; Holy; Hope; Moscoso; Pettigrew; Ross and Takko.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

E2SSB 6423       Prime Sponsor, Committee on Ways & Means: Changing provisions relating to the opportunity scholarship.  Reported by Committee on Higher Education

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 28B.145.010 and 2013 c 39 s 13 are each amended to read as follows:

                The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

                (1) "Board" means the ((higher education coordinating board or its successor)) opportunity scholarship board.

                (2) "Council" means the student achievement council.
                (3) "Eligible education programs" means high employer demand and other programs of study as determined by the ((opportunity scholarship)) board.

                (((3))) (4) "Eligible expenses" means reasonable expenses associated with the costs of acquiring an education such as tuition, books, equipment, fees, room and board, and other expenses as determined by the program administrator in consultation with the ((board)) council and the state board for community and technical colleges.

                (((4))) (5) "Eligible student" means a resident student who received his or her high school diploma or high school equivalency certificate as provided in RCW 28B.50.536 in Washington and who:

                (a)(i) Has been accepted at a four-year institution of higher education into an eligible education program leading to a baccalaureate degree; or

                (ii) Will attend a two-year institution of higher education and intends to transfer to an eligible education program at a four-year institution of higher education;

                (b) Declares an intention to obtain a baccalaureate degree; and

                (c) Has a family income at or below one hundred twenty-five percent of the state median family income at the time the student applies for an opportunity scholarship.

                (((5))) (6) "High employer demand program of study" has the same meaning as provided in RCW 28B.50.030.

                (((6))) (7) "Participant" means an eligible student who has received a scholarship under the opportunity scholarship program.

                (((7))) (8) "Program administrator" means a college scholarship organization that is a private nonprofit corporation registered under Title 24 RCW and qualified as a tax-exempt entity under section 501(c)(3) of the federal internal revenue code, with expertise in managing scholarships and college advising.

                (((8))) (9) "Resident student" has the same meaning as provided in RCW 28B.15.012.

Sec. 2.  RCW 28B.145.020 and 2011 1st sp.s. c 13 s 3 are each amended to read as follows:

                (1) The opportunity scholarship board is created.  The ((opportunity scholarship)) board consists of ((seven)) eleven members:

                (a) ((Three)) Six members appointed by the governor, subject to confirmation by the senate.  For ((two)) three of the ((three)) six appointments, the governor shall consider names from a list provided by the president of the senate and the speaker of the house of representatives; and

                (b) ((Four)) Five foundation or business and industry representatives appointed by the governor, subject to confirmation by the senate, from among the state's most productive industries such as aerospace, manufacturing, health ((sciences)) care, information technology, engineering, agriculture, and others, as well as philanthropy.  The foundation or business and industry representatives shall be selected from among nominations provided by the private sector donors to the opportunity scholarship and opportunity expansion programs.  However, the governor may request, and the private sector donors shall provide, an additional list or lists from which the governor shall select these representatives.

                (2) Board members shall hold their offices for a term of four years from the first day of September and until their successors are appointed.  No more than the terms of two members may expire simultaneously on the last day of August in any one year.

                (3) The members of the ((opportunity scholarship)) board shall elect one of the business and industry representatives to serve as chair.

                (4) ((Five)) Seven members of the board constitute a quorum for the transaction of business.  In case of a vacancy, or when an appointment is made after the date of expiration of the term, the governor or the president of the senate or the speaker of the house of representatives, depending upon which made the initial appointment to that position, shall fill the vacancy for the remainder of the term of the board member whose office has become vacant or expired.

                (5) The ((opportunity scholarship)) board shall be staffed by the program administrator.

                (6) The purpose of the ((opportunity scholarship)) board is to provide oversight and guidance for the opportunity expansion and the opportunity scholarship programs in light of established legislative priorities and to fulfill the duties and responsibilities under this chapter, including but not limited to determining eligible education programs for purposes of the opportunity scholarship program.  Duties, exercised jointly with the program administrator, include soliciting funds and setting annual fund-raising goals.

                (7) The ((opportunity scholarship)) board may report to the governor and the appropriate committees of the legislature with recommendations as to:

                (a) Whether some or all of the scholarships should be changed to conditional scholarships that must be repaid in the event the participant does not complete the eligible education program; and

                (b) A source or sources of funds for the opportunity expansion program in addition to the voluntary contributions of the high technology research and development tax credit under RCW 82.32.800.

Sec. 3.  RCW 28B.145.030 and 2011 1st sp.s. c 13 s 4 are each amended to read as follows:

                (1) The program administrator, under contract with the ((board)) council, shall staff the ((opportunity scholarship)) board and shall have the duties and responsibilities provided in this chapter, including but not limited to publicizing the program, selecting participants for the opportunity scholarship award, distributing opportunity scholarship awards, and achieving the maximum possible rate of return on investment of the accounts in subsection (2) of this section, while ensuring transparency in the investment decisions and processes.  Duties, exercised jointly with the ((opportunity scholarship)) board, include soliciting funds and setting annual fund-raising goals.  The program administrator shall be paid an administrative fee as determined by the ((opportunity scholarship)) board.

                (2) With respect to the opportunity scholarship program, the program administrator shall:

                (a) Establish and manage two separate accounts into which to receive grants and contributions from private sources as well as state matching funds, and from which to disburse scholarship funds to participants;

                (b) Solicit and accept grants and contributions from private sources, via direct payment, pledge agreement, or escrow account, of private sources for deposit into one or both of the two accounts created in this subsection (2)(b) in accordance with this subsection (2)(b):

                (i) The "scholarship account," whose principal may be invaded, and from which scholarships must be disbursed beginning no later than December 1, 2011, if, by that date, state matching funds in the amount of five million dollars or more have been received.  Thereafter, scholarships shall be disbursed on an annual basis beginning no later than May 1, 2012, and every ((May)) October 1st thereafter;

                (ii) The "endowment account," from which scholarship moneys may be disbursed from earnings only in years when:

                (A) The state match has been made into both the scholarship and the endowment account;

                (B) The state appropriations for the state need grant under RCW 28B.92.010 meet or exceed state appropriations for the state need grant made in the 2011-2013 biennium, adjusted for inflation, and eligibility for state need grant recipients is at least seventy percent of state median family income; and

                (C) The state has demonstrated progress toward the goal of total per-student funding levels, from state appropriations plus tuition and fees, of at least the sixtieth percentile of total per-student funding at similar public institutions of higher education in the global challenge states, as defined, measured, and reported in RCW 28B.15.068.  In any year in which the office of financial management reports that the state has not made progress toward this goal, no new scholarships may be awarded.  In any year in which the office of financial management reports that the percentile of total per-student funding is less than the sixtieth percentile and at least five percent less than the prior year, pledges of future grants and contributions may, at the request of the donor, be released and grants and contributions already received refunded to the extent that opportunity scholarship awards already made can be fulfilled from the funds remaining in the endowment account.  In fulfilling the requirements of this subsection, the office of financial management shall use resources that facilitate measurement and comparisons of the most recently completed academic year.  These resources may include, but are not limited to, the data provided in a uniform dashboard format under RCW 28B.77.090 as the statewide public four-year dashboard and academic year reports prepared by the state board for community and technical colleges; ((and))

                (iii) An amount equal to at least fifty percent of all grants and contributions must be deposited into the scholarship account until such time as twenty million dollars have been deposited into the account, after which time the private donors may designate whether their contributions must be deposited to the scholarship or the endowment account.  The ((opportunity scholarship)) board and the program administrator must work to maximize private sector contributions to both the scholarship account and the endowment account, to maintain a robust scholarship program while simultaneously building the endowment, and to determine the division between the two accounts in the case of undesignated grants and contributions, taking into account the need for a long‑term funding mechanism and the short‑term needs of families and students in Washington.  The first five million dollars in state match, as provided in RCW 28B.145.040, shall be deposited into the scholarship account and thereafter the state match shall be deposited into the two accounts in equal proportion to the private funds deposited in each account; and
                (iv) Once moneys in the opportunity scholarship match transfer account are subject to an agreement under RCW 28B.145.050(5) and are deposited in the scholarship account or endowment account under this section, the state acts in a fiduciary rather than ownership capacity with regard to those assets.  Assets in the scholarship account and endowment account are not considered state money, common cash, or revenue to the state;

                (c) Provide proof of receipt of grants and contributions from private sources to the ((board)) council, identifying the amounts received by name of private source and date, and whether the amounts received were deposited into the scholarship or the endowment account;

                (d) In consultation with the ((higher education coordinating board)) council and the state board for community and technical colleges, make an assessment of the reasonable annual eligible expenses associated with eligible education programs identified by the ((opportunity scholarship)) board;

                (e) Determine the dollar difference between tuition fees charged by institutions of higher education in the 2008-09 academic year and the academic year for which an opportunity scholarship is being distributed;

                (f) Develop and implement an application, selection, and notification process for awarding opportunity scholarships;

                (g) Determine the annual amount of the opportunity scholarship for each selected participant.  The annual amount shall be at least one thousand dollars or the amount determined under (e) of this subsection, but may be increased on an income-based, sliding scale basis up to the amount necessary to cover all reasonable annual eligible expenses as assessed pursuant to (d) of this subsection, or to encourage participation in baccalaureate degree programs identified by the ((opportunity scholarship)) board;

                (h) Distribute scholarship funds to selected participants.  Once awarded, and to the extent funds are available for distribution, an opportunity scholarship shall be automatically renewed until the participant withdraws from or is no longer attending the program, completes the program, or has taken the credit or clock hour equivalent of one hundred twenty-five percent of the published length of time of the participant's program, whichever occurs first, and as long as the participant annually submits documentation of filing both a free application for federal student aid and for available federal education tax credits, including but not limited to the American opportunity tax credit; and

                (i) Notify institutions of scholarship recipients who will attend their institutions and inform them of the terms of the students' eligibility.

                (3) With respect to the opportunity expansion program, the program administrator shall:

                (a) Assist the ((opportunity scholarship)) board in developing and implementing an application, selection, and notification process for making opportunity expansion awards; and

                (b) Solicit and accept grants and contributions from private sources for opportunity expansion awards.

NEW SECTION.  Sec. 4.  A new section is added to chapter 28B.145 RCW to read as follows:

                (1) The board may elect to have the state investment board invest the funds in the scholarship account and endowment account described under RCW 28B.145.030(2)(b).  If the board so elects, the state investment board has the full power to invest, reinvest, manage, contract, sell, or exchange investment money in the two accounts.  All investment and operating costs associated with the investment of money shall be paid under RCW 43.33A.160 and 43.84.160.  With the exception of these expenses, the earnings from the investment of the money shall be retained by the accounts.

                (2) All investments made by the state investment board shall be made with the exercise of that degree of judgment and care under RCW 43.33A.140 and the investment policy established by the state investment board.

                (3) As deemed appropriate by the state investment board, money in the scholarship and endowment accounts may be commingled for investment with other funds subject to investment by the state investment board.

                (4) Members of the state investment board shall not be considered an insurer of the funds or assets and are not liable for any action or inaction.

                (5) Members of the state investment board are not liable to the state, to the fund, or to any other person as a result of their activities as members, whether ministerial or discretionary, except for willful dishonesty or intentional violations of law.  The state investment board in its discretion may purchase liability insurance for members.

                (6) The authority to establish all policies relating to the scholarship account and the endowment account, other than the investment policies as provided in subsections (1) through (3) of this section, resides with the board and program administrator acting in accordance with the principles set forth in this chapter.  With the exception of expenses of the state investment board in subsection (1) of this section, disbursements from the scholarship account and endowment account shall be made only on the authorization of the opportunity scholarship board or its designee, and moneys in the accounts may be spent only for the purposes specified in this chapter.

                (7) The state investment board shall routinely consult and communicate with the board on the investment policy, earnings of the accounts, and related needs of the program.

Sec. 5.  RCW 28B.145.050 and 2011 1st sp.s. c 13 s 6 are each amended to read as follows:

                (1) The opportunity scholarship match transfer account is created in the custody of the state treasurer as a nonappropriated account to be used solely and exclusively for the opportunity scholarship program created in RCW 28B.145.040.  The purpose of the account is to provide matching funds for the opportunity scholarship program.

                (2) Revenues to the account shall consist of appropriations by the legislature into the account and any gifts, grants, or donations received by the executive director of the ((board)) council for this purpose.

                (3) No expenditures from the account may be made except upon receipt of proof, by the executive director of the ((board)) council from the program administrator, of private contributions to the opportunity scholarship program.  Expenditures, in the form of matching funds, may not exceed the total amount of private contributions.

                (4) Only the executive director of the ((board)) council or the executive director's designee may authorize expenditures from the opportunity scholarship match transfer account.  Such authorization must be made as soon as practicable following receipt of proof as required under subsection (3) of this section.

(5) The council shall enter into an appropriate agreement with the program administrator to demonstrate exchange of consideration for the matching funds.

Sec. 6.  RCW 28B.145.060 and 2013 c 39 s 14 are each amended to read as follows:

                (1) The opportunity expansion program is established.

                (2) The ((opportunity scholarship)) board shall select institutions of higher education to receive opportunity expansion awards.  In so doing, the ((opportunity scholarship)) board must:

                (a) Solicit, receive, and evaluate proposals from institutions of higher education that are designed to directly increase the number of baccalaureate degrees produced in high employer demand and other programs of study, and that include annual numerical targets for the number of such degrees, with a strong emphasis on serving students who received their high school diploma or high school equivalency certificate as provided in RCW 28B.50.536 in Washington or are adult Washington residents who are returning to school to gain a baccalaureate degree;

                (b) Develop criteria for evaluating proposals and awarding funds to the proposals deemed most likely to increase the number of baccalaureate degrees and degrees produced in high employer demand and other programs of study;

                (c) Give priority to proposals that include a partnership between public and private partnership entities that leverage additional private funds;

                (d) Give priority to proposals that are innovative, efficient, and cost-effective, given the nature and cost of the particular program of study;

                (e) Consult and operate in consultation with existing higher education stakeholders, including but not limited to:  Faculty, labor, student organizations, and relevant higher education agencies; and

                (f) Determine which proposals to improve and accelerate the production of baccalaureate degrees in high employer demand and other programs of study will receive opportunity expansion awards for the following state fiscal year, notify the state treasurer, and announce the awards.

                (3) The state treasurer, at the direction of the ((opportunity scholarship)) board, must distribute the funds that have been awarded to the institutions of higher education from the opportunity expansion account.

                (4) Institutions of higher education receiving awards under this section may not supplant existing general fund state revenues with opportunity expansion awards.

                (5) Annually, the office of financial management shall report to the ((opportunity scholarship)) board, the governor, and the relevant committees of the legislature regarding the percentage of Washington households with incomes in the middle-income bracket or higher.  For purposes of this section, "middle-income bracket" means household incomes between two hundred and five hundred percent of the 2010 federal poverty level, as determined by the United States department of health and human services for a family of four, adjusted annually for inflation.

                (6) Annually, the ((student achievement)) council must report to the ((opportunity scholarship)) board, the governor, and the relevant committees of the legislature regarding the increase in the number of degrees in high employer demand and other programs of study awarded by institutions of higher education over the average of the preceding ten academic years.

                (7) In its comprehensive plan, the workforce training and education coordinating board shall include specific strategies to reach the goal of increasing the percentage of Washington households living in the middle-income bracket or higher, as calculated by the office of financial management and developed by the agency or education institution that will lead the strategy.

Sec. 7.  RCW 28B.145.070 and 2011 1st sp.s. c 13 s 8 are each amended to read as follows:

                (1) ((By December 1, 2012, and)) Annually each December 1st ((thereafter)), the ((opportunity scholarship)) board, together with the program administrator, shall report to the ((board)) council, the governor, and the appropriate committees of the legislature regarding the opportunity scholarship and opportunity expansion programs, including but not limited to:

                (a) Which education programs the ((opportunity scholarship)) board determined were eligible for purposes of the opportunity scholarship;

                (b) The number of applicants for the opportunity scholarship, disaggregated, to the extent possible, by race, ethnicity, gender, county of origin, age, and median family income;

                (c) The number of participants in the opportunity scholarship program, disaggregated, to the extent possible, by race, ethnicity, gender, county of origin, age, and median family income;

                (d) The number and amount of the scholarships actually awarded, and whether the scholarships were paid from the scholarship account or the endowment account;

                (e) The institutions and eligible education programs in which opportunity scholarship participants enrolled, together with data regarding participants' completion and graduation;

                (f) The total amount of private contributions and state match moneys received for the opportunity scholarship program, how the funds were distributed between the scholarship and endowment accounts, the interest or other earnings on the accounts, and the amount of any administrative fee paid to the program administrator; and

                (g) Identification of the programs the ((opportunity scholarship)) board selected to receive opportunity expansion awards and the amount of such awards.

                (2) In the next succeeding legislative session following receipt of a report required under subsection (1) of this section, the appropriate committees of the legislature shall review the report and consider whether any legislative action is necessary with respect to either the opportunity scholarship program or the opportunity expansion program, including but not limited to consideration of whether any legislative action is necessary with respect to the nature and level of focus on high employer demand fields and the number and amount of scholarships."

                Correct the title.

 

Signed by Representatives Seaquist, Chair; Pollet, Vice Chair; Haler, Ranking Minority Member; Zeiger, Assistant Ranking Minority Member; Gregerson; Hansen; Hargrove; Johnson; Magendanz; Muri; Reykdal; Sawyer; Sells; Smith; Tarleton; Walkinshaw; Walsh and Wylie.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Scott.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6424             Prime Sponsor, Senator Roach: Establishing a state seal of biliteracy for high school students.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  (1) The legislature finds that:

                (a) The study of world languages in elementary and secondary schools should be encouraged because it contributes to students' cognitive development and to the national economy and security;

                (b) Proficiency in multiple languages enables Washington to participate more effectively in the current global political, social, and economic context;

                (c) The benefits to employers of having employees who are fluent in more than one language are clear:  Increased access to expanding markets, better service of customers' needs, and expanded trading opportunities with other countries; and

                (d) Protecting the state's rich heritage of multiple cultures and languages, as well as building trust and understanding across the multiple cultures and languages of diverse communities, requires multilingual communication skills.

                (2) Therefore, the legislature's intent is to promote and recognize linguistic proficiency and cultural literacy in one or more world languages in addition to English through the establishment of a Washington state seal of biliteracy.

NEW SECTION.  Sec. 2.  A new section is added to chapter 28A.300 RCW to read as follows:

                (1) The Washington state seal of biliteracy is established to recognize public high school graduates who have attained a high level of proficiency in speaking, reading, and writing in one or more world languages in addition to English.  School districts are encouraged to award the seal of biliteracy to graduating high school students who meet the criteria established by the office of the superintendent of public instruction under this section.  Participating school districts shall place a notation on a student's high school diploma and high school transcript indicating that the student has earned the seal.

                (2) The office of the superintendent of public instruction shall adopt rules establishing criteria for award of the Washington state seal of biliteracy.  The criteria must require a student to demonstrate proficiency in English by meeting state high school graduation requirements in English, including through state assessments and credits, and proficiency in one or more world languages other than English.  The criteria must permit a student to demonstrate proficiency in another world language through multiple methods including nationally or internationally recognized language proficiency tests and competency-based world language credits awarded under the model policy adopted by the Washington state school directors' association.

                (3) For the purposes of this section, a world language other than English must include American sign language and Native American languages.

Sec. 3.  RCW 28A.230.125 and 2011 1st sp.s. c 11 s 130 are each amended to read as follows:

                (1) The superintendent of public instruction, in consultation with the four-year institutions as defined in RCW 28B.76.020, the state board for community and technical colleges, and the workforce training and education coordinating board, shall develop for use by all public school districts a standardized high school transcript.  The superintendent shall establish clear definitions for the terms "credits" and "hours" so that school programs operating on the quarter, semester, or trimester system can be compared.

                (2) The standardized high school transcript shall include a notation of whether the student has earned a certificate of individual achievement or a certificate of academic achievement.

(3) The standardized high school transcript may include a notation of whether the student has earned the Washington state seal of biliteracy established under section 2 of this act.

NEW SECTION.  Sec. 4.  By December 1, 2017, the office of the superintendent of public instruction shall submit a report to the education committees of the legislature that compares the number of students awarded the Washington state seal of biliteracy in the previous two school years and the languages spoken by those students, to the number of students enrolled or previously enrolled in the transitional bilingual instruction program and the languages spoken by those students.  The office of the superintendent of public instruction shall also report the methods used by students to demonstrate proficiency for the Washington state seal of biliteracy, and describe how the office of the superintendent of public instruction plans to increase the number of possible methods for students to demonstrate proficiency, particularly in world languages that are not widely spoken."

                Correct the title.

 

Signed by Representatives Santos, Chair; Stonier, Vice Chair; Bergquist; Fey; Haigh; Hawkins; Hunt, S.; Lytton; Muri; Orwall; Pollet and Seaquist.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Hargrove; Hayes; Klippert; Parker and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6431           Prime Sponsor, Committee on Early Learning & K-12 Education: Concerning assistance for schools in implementing youth suicide prevention activities.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Stonier, Vice Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Bergquist; Fey; Haigh; Hargrove; Hawkins; Hayes; Hunt, S.; Klippert; Lytton; Muri; Orwall; Parker; Pollet; Seaquist and Warnick.

 

Referred to Committee on Appropriations Subcommittee on Education.

 

February 26, 20140)

ESSB 6450         Prime Sponsor, Committee on Natural Resources & Parks: Concerning on-water dwellings.  Reported by Committee on Environment

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Fitzgibbon, Chair; Senn, Vice Chair; Short, Ranking Minority Member; Pike, Assistant Ranking Minority Member; Farrell; Fey; Harris; Kagi; Morris; Nealey and Tharinger.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Overstreet.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6453           Prime Sponsor, Committee on Health Care: Concerning verification of hours worked through electronic timekeeping by area agencies on aging and home care agencies.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESB 6458           Prime Sponsor, Senator Becker: Repealing provisions that establish the office of the insurance commissioner and replacing that office with a Washington state insurance board. (REVISED FOR ENGROSSED: Addressing the office of the insurance commissioner and matters related to health care insurance. )  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 48.02.060 and 2010 c 27 s 1 are each amended to read as follows:

                (1) The commissioner has the authority expressly conferred upon him or her by or reasonably implied from the provisions of this code.

                (2) The commissioner must execute his or her duties and must enforce the provisions of this code.

                (3) The commissioner may:

                (a) Make reasonable rules for effectuating any provision of this code, except those relating to his or her election, qualifications, or compensation.  Rules are not effective prior to their being filed for public inspection in the commissioner's office.

                (b) Conduct investigations to determine whether any person has violated any provision of this code.

                (c) Conduct examinations, investigations, hearings, in addition to those specifically provided for, useful and proper for the efficient administration of any provision of this code.

                (4) When the governor proclaims a state of emergency under RCW 43.06.010(12), the commissioner may issue an order that addresses any or all of the following matters related to insurance policies issued in this state:

                (a) Reporting requirements for claims;

                (b) Grace periods for payment of insurance premiums and performance of other duties by insureds;

                (c) Temporary postponement of cancellations and nonrenewals; and

                (d) Medical coverage to ensure access to care.

                (5) An order by the commissioner under subsection (4) of this section may remain effective for not more than sixty days unless the commissioner extends the termination date for the order for an additional period of not more than thirty days.  The commissioner may extend the order if, in the commissioner's judgment, the circumstances warrant an extension.  An order of the commissioner under subsection (4) of this section is not effective after the related state of emergency is terminated by proclamation of the governor under RCW 43.06.210.  The order must specify, by line of insurance:

                (a) The geographic areas in which the order applies, which must be within but may be less extensive than the geographic area specified in the governor's proclamation of a state of emergency and must be specific according to an appropriate means of delineation, such as the United States postal service zip codes or other appropriate means; and

                (b) The date on which the order becomes effective and the date on which the order terminates.

                (6) The commissioner may adopt rules that establish general criteria for orders issued under subsection (4) of this section and may adopt emergency rules applicable to a specific proclamation of a state of emergency by the governor.

                (7) The rule-making authority set forth in subsection (6) of this section does not limit or affect the rule-making authority otherwise granted to the commissioner by law.

(8) In addition to the requirements of the administrative procedure act established in chapter 34.05 RCW, the commissioner must provide notice of proposed rule making on matters related to health care insurance to the health care committees of the legislature, the health benefit exchange established under chapter 43.71 RCW, the health care authority established under chapter 41.05 RCW, and the governor.  In the event a dispute arises among the state officials and entities implementing the federal patient protection and affordable care act, the governor shall convene a meeting of the following officials and entities to resolve the dispute:
                (a) The insurance commissioner;
                (b) The health care authority;
                (c) The department of health;
                (d) The department of social and health services;
                (e) The governor's legislative affairs and policy office;
                (f) The office of financial management;
                (g) The health benefit exchange; and
                (h) Any other officials or entities the governor deems appropriate, including:
                (i) The department of corrections;
                (ii) The department of veterans affairs; and
                (iii) The department of labor and industries.
                (9) The governor may utilize the governor's health leadership team established in Executive Order 13-05 as a forum to convene the meeting required in subsection (8) of this section.
                (10) The governor shall report the resolution of the meeting to the appropriate committees of the legislature and the joint select committee on health care oversight."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Clibborn; Green; Jinkins; Manweller; Moeller; Rodne; Ross; Tharinger and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Hunt, G.; Morrell and Short.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6479         Prime Sponsor, Committee on Human Services & Corrections: Providing caregivers authority to allow children placed in their care to participate in normal childhood activities based on a reasonable and prudent parent standard.  Reported by Committee on Early Learning & Human Services

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

                "NEW SECTION.  Sec. 1.  A new section is added to chapter 74.13 RCW to read as follows:

                (1) For the purposes of this section, "caregiver" means a person with whom a child is placed in out-of-home care, or a designated official for a group care facility licensed by the department.

                (2) This section applies to all caregivers providing for children in out-of-home care.

                (3) Caregivers have the authority to provide or withhold permission without prior approval of the caseworker, department, or court to allow a child in their care to participate in normal childhood activities based on a reasonable and prudent parent standard.

                (a) Normal childhood activities include, but are not limited to, extracurricular, enrichment, and social activities, and may include overnight activities outside the direct supervision of the caregiver for periods of over twenty-four hours and up to seventy-two hours.

                (b) The reasonable and prudent parent standard means the standard of care used by a caregiver in determining whether to allow a child in his or her care to participate in extracurricular, enrichment, and social activities.  This standard is characterized by careful and thoughtful parental decision-making that is intended to maintain a child's health, safety, and best interest while encouraging the child's emotional and developmental growth.

                (4) Any authorization provided under this section must comply with provisions included in an existing safety plan established by the department or court order.

                (5) (a) Caseworkers shall discuss the child's interest in and pursuit of normal childhood activities in their monthly health and safety visits and describe the child's participation in normal childhood activities in the individual service and safety plan. 

                (b) Caseworkers shall also review a child's interest in and pursuit of normal childhood activities during monthly meetings with parents.  Caseworkers shall communicate the opinions of parents regarding their child's participation in normal childhood activities so that the parents' wishes may be appropriately considered. 

                (6) Neither the caregiver nor the department may be held liable for injuries to the child that occur as a result of authority granted in this section unless the action or inaction of the caregiver or the department resulting in injury constitutes willful or wanton misconduct.

                (7) This section does not remove or limit any existing liability protection afforded by law.

Sec. 2.  RCW 74.15.030 and 2007 c 387 s 5 and 2007 c 17 s 14 are each reenacted and amended to read as follows:

                The secretary shall have the power and it shall be the secretary's duty:

                (1) In consultation with the children's services advisory committee, and with the advice and assistance of persons representative of the various type agencies to be licensed, to designate categories of facilities for which separate or different requirements shall be developed as may be appropriate whether because of variations in the ages, sex and other characteristics of persons served, variations in the purposes and services offered or size or structure of the agencies to be licensed hereunder, or because of any other factor relevant thereto;

                (2) In consultation with the children's services advisory committee, and with the advice and assistance of persons representative of the various type agencies to be licensed, to adopt and publish minimum requirements for licensing applicable to each of the various categories of agencies to be licensed.

                The minimum requirements shall be limited to:

                (a) The size and suitability of a facility and the plan of operation for carrying out the purpose for which an applicant seeks a license;

                (b) Obtaining background information and any out-of-state equivalent, to determine whether the applicant or service provider is disqualified and to determine the character, competence, and suitability of an agency, the agency's employees, volunteers, and other persons associated with an agency;

                (c) Conducting background checks for those who will or may have unsupervised access to children, expectant mothers, or individuals with a developmental disability; however, a background check is not required if a caregiver approves an activity pursuant to the prudent parent standard contained in section 1 of this act;

                (d) Obtaining child protective services information or records maintained in the department case management information system.  No unfounded allegation of child abuse or neglect as defined in RCW 26.44.020 may be disclosed to a child-placing agency, private adoption agency, or any other provider licensed under this chapter;

                (e) Submitting a fingerprint-based background check through the Washington state patrol under chapter 10.97 RCW and through the federal bureau of investigation for:

                (i) Agencies and their staff, volunteers, students, and interns when the agency is seeking license or relicense;

                (ii) Foster care and adoption placements; and

                (iii) Any adult living in a home where a child may be placed;

                (f) If any adult living in the home has not resided in the state of Washington for the preceding five years, the department shall review any child abuse and neglect registries maintained by any state where the adult has resided over the preceding five years;

                (g) The cost of fingerprint background check fees will be paid as required in RCW 43.43.837;

                (h) National and state background information must be used solely for the purpose of determining eligibility for a license and for determining the character, suitability, and competence of those persons or agencies, excluding parents, not required to be licensed who are authorized to care for children or expectant mothers;

                (i) The number of qualified persons required to render the type of care and treatment for which an agency seeks a license;

                (j) The safety, cleanliness, and general adequacy of the premises to provide for the comfort, care and well-being of children, expectant mothers or developmentally disabled persons;

                (k) The provision of necessary care, including food, clothing, supervision and discipline; physical, mental and social well-being; and educational, recreational and spiritual opportunities for those served;

                (l) The financial ability of an agency to comply with minimum requirements established pursuant to chapter 74.15 RCW and RCW 74.13.031; and

                (m) The maintenance of records pertaining to the admission, progress, health and discharge of persons served;

                (3) To investigate any person, including relatives by blood or marriage except for parents, for character, suitability, and competence in the care and treatment of children, expectant mothers, and developmentally disabled persons prior to authorizing that person to care for children, expectant mothers, and developmentally disabled persons.  However, if a child is placed with a relative under RCW 13.34.065 or 13.34.130, and if such relative appears otherwise suitable and competent to provide care and treatment the criminal history background check required by this section need not be completed before placement, but shall be completed as soon as possible after placement;

                (4) On reports of alleged child abuse and neglect, to investigate agencies in accordance with chapter 26.44 RCW, including child day-care centers and family day-care homes, to determine whether the alleged abuse or neglect has occurred, and whether child protective services or referral to a law enforcement agency is appropriate;

                (5) To issue, revoke, or deny licenses to agencies pursuant to chapter 74.15 RCW and RCW 74.13.031.  Licenses shall specify the category of care which an agency is authorized to render and the ages, sex and number of persons to be served;

                (6) To prescribe the procedures and the form and contents of reports necessary for the administration of chapter 74.15 RCW and RCW 74.13.031 and to require regular reports from each licensee;

                (7) To inspect agencies periodically to determine whether or not there is compliance with chapter 74.15 RCW and RCW 74.13.031 and the requirements adopted hereunder;

                (8) To review requirements adopted hereunder at least every two years and to adopt appropriate changes after consultation with affected groups for child day-care requirements and with the children's services advisory committee for requirements for other agencies; and

                (9) To consult with public and private agencies in order to help them improve their methods and facilities for the care of children, expectant mothers and developmentally disabled persons."

Correct the title.

 

Signed by Representatives Kagi, Chair; Freeman, Vice Chair; Walsh, Ranking Minority Member; Scott, Assistant Ranking Minority Member; Fagan; Goodman; Ortiz-Self; Roberts; Sawyer; Senn; Young and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESB 6501           Prime Sponsor, Senator Ericksen: Concerning used oil recycling.  Reported by Committee on Environment

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 70.95I.020 and 1991 c 319 s 303 are each amended to read as follows:

                (1) Each local government and its local hazardous waste plan under RCW 70.105.220 is required to include a used oil recycling element.  This element shall include:

                (a) A plan to reach the local goals for household used oil recycling established by the local government and the department under RCW 70.95I.030.  The plan shall, to the maximum extent possible, incorporate voluntary agreements with the private sector and state agencies to provide sites for the collection of used oil.  Where provided, the plan shall also incorporate residential collection of used oil;

                (b) A plan for enforcing the sign and container ordinances required by RCW 70.95I.040;

                (c) A plan for public education on used oil recycling; ((and))

                (d) A plan for addressing best management practices as provided for under RCW 70.95I.030; and
                (e) An estimate of funding needed to implement the requirements of this chapter.  This estimate shall include a budget reserve for disposal of contaminated oil detected at any public used oil collection site administered by the local government.

                (2) By July 1, 1993, each local government or combination of contiguous local governments shall submit its used oil recycling element to the department.  The department shall approve or disapprove the used oil recycling element by January 1, 1994, or within ninety days of submission, whichever is later.  The department shall approve or disapprove the used oil recycling element if it determines that the element is consistent with this chapter and the guidelines developed by the department under RCW 70.95I.030.

                (3) Each local government, or combination of contiguous local governments, shall submit an annual statement to the department describing the number of used oil collection sites and the quantity of household used oil recycled for the jurisdiction during the previous calendar year.  The first statement shall be due April 1, 1994.  Subsequent statements shall be due April 1st of each year.

(4) Nothing in this section shall be construed to require a city or county to construct or operate a public used oil collection site.

Sec. 2.  RCW 70.95I.030 and 1991 c 319 s 304 are each amended to read as follows:

                (1) ((By July 1, 1992,)) The department shall, in consultation with local governments, ((prepare)) maintain guidelines for the used oil recycling elements required by RCW 70.95I.020 and, by July 1, 2015, shall develop best management practices for  preventing and managing polychlorinated biphenyl contamination at public used oil collection sites.

(a) The guidelines shall:

                (((a))) (i) Require development of local collection and rerefining goals for household used oil for each entity preparing a used oil recycling element under RCW 70.95I.020;

                (((b))) (ii) Require local government to recommend the number of used oil collection sites needed to meet the local goals.  The department shall establish criteria regarding minimum levels of used oil collection sites;

                (((c))) (iii) Require local government to identify locations suitable as public used oil collection sites as described under RCW 70.95I.020(1)(a).

(b) The best management practices for preventing and managing polychlorinated biphenyl contamination at public used oil collection sites must include, at a minimum:
                (i) Tank testing requirements;
                (ii) Contaminated tank labeling and security measures;
                (iii) Contaminated tank cleanup standards;
                (iv) Proper contaminated used oil disposal as required under chapter 70.105 RCW and 40 C.F.R. Part 761;
                (v) Spill control measures; and
                (vi) Model contract language for contracts with used oil collection vendors.

                (2) The department may waive all or part of the specific requirements of RCW 70.95I.020 if a local government demonstrates to the satisfaction of the department that the objectives of this chapter have been met.

                (3) The department may prepare and implement a used oil recycling plan for any local government failing to complete the used oil recycling element of the plan.

                (4) The department shall develop statewide collection and rerefining goals for household used oil for each calendar year beginning with calendar year 1994.  Goals shall be based on the estimated statewide collection and rerefining rate for calendar year 1993, and shall increase each year until calendar year 1996, when the rate shall be eighty percent.

                (5) By July 1, ((1993)) 2015, the department shall ((prepare)) update the guidelines establishing statewide equipment and operating standards for public used oil collection sites.  The updated guidelines must include the best management practices for prevention and management of contaminated used oil developed pursuant to subsection (1) of this section and a process for how to petition the legislature for relief of extraordinary costs incurred with the management and disposal of contaminated used oil.  In addition, the standards shall:

                (a) Allow the use of used oil collection igloos and other types of portable used oil collection tanks;

                (b) Prohibit the disposal of nonhousehold-generated used oil;

                (c) Limit the amount of used oil deposited to five gallons per household per day;

                (d) Ensure adequate protection against leaks and spills; and

                (e) Include other requirements deemed appropriate by the department.

NEW SECTION.  Sec. 3.  A new section is added to chapter 43.21A RCW to read as follows:

                (1) Cities and counties may submit a petition to the department for reimbursement of extraordinary costs associated with managing unforeseen consequences of used oil contaminated with polychlorinated biphenyl and compliance with United States environmental protection agency enforcement orders and enforcement-related agreements.

                (2) The department, in consultation with city and county moderate risk waste coordinators, the United States environmental protection agency, and other stakeholders, must process and prioritize city and county petitions that meet the following conditions:

                (a) The petitioning city or county has followed and met:

                (i) The updated best management practices guidelines for the collection and management of used oil; and

                (ii) The best management practices for preventing and managing polychlorinated biphenyl contamination, as required under RCW 70.95I.030; and

                (b) The department has determined that:

                (i) The costs to the petitioning city or county for disposal of the contaminated oil or for compliance with United States environmental protection agency enforcement orders or enforcement related agreements are extraordinary; and

                (ii) The city or county could not reasonably accommodate or anticipate the extraordinary costs in their normal budget processes by following and meeting the best management practices for oil contaminated with polychlorinated biphenyl.

                (3) Before January 1st of each year, the department must develop and submit to the appropriate fiscal committees of the senate and house of representatives a prioritized list of submitted petitions that the department recommends for funding by the legislature.  It is the intent of the legislature that if funded, the reimbursement of extraordinary city or county costs associated with polychlorinated biphenyl management and compliance activities come from the model toxics control accounts."

                Correct the title.

 

Signed by Representatives Fitzgibbon, Chair; Senn, Vice Chair; Short, Ranking Minority Member; Pike, Assistant Ranking Minority Member; Farrell; Fey; Harris; Kagi; Morris; Nealey; Overstreet and Tharinger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6511         Prime Sponsor, Committee on Health Care: Addressing the prior authorization of health care services.  Reported by Committee on Health Care & Wellness

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  A new section is added to chapter 48.165 RCW to read as follows:

                (1) The insurance commissioner must reauthorize the efforts with the lead organization established in RCW 48.165.030, and establish a new work group to develop recommendations for prior authorization requirements.  The focus of the prior authorization efforts must include the full scope of health care services including pharmacy issues.  The work group must submit recommendations to the commissioner by October 31, 2014.

                (2) The lead organization and work group established to review prior authorization requirements must consider the following areas in their efforts:

                (a) Requiring carriers and pharmacy benefit managers to provide a listing of prior authorization requirements electronically on a web site.  The listing of requirements for any procedure, supply, or service requiring preauthorization must include criteria needed by the carrier specific to that medical or procedural code, to allow a provider's office to submit all information needed on the initial request for prior authorization, along with instructions for submitting that information;

                (b) Requiring a carrier or pharmacy benefit manager to issue an acknowledgement of receipt or reference number for prior authorization within a specified time frame, such as two business days of receipt of a prior authorization request from a provider;

                (c) Recommendations for the best practices for exchanging information, including alternatives to fax requests;

                (d) Recommendations for the best practices if the acknowledgement has not been received by the provider or pharmacy benefit manager within the specified time frame, such as two business days;

                (e) Recommendations if the carrier or pharmacy benefit manager fails to approve, deny, or respond to the request for authorization within the specified time frame and options for deeming approval;

                (f) Recommendations to refine the time frames in current rule; and

                (g) Recommendations specific to pharmacy services, including communication between the pharmacy to the carrier or pharmacy benefit manager, communications between the carrier or pharmacy benefit manager with the providers' office, communication of the authorization number, posting of the criteria for pharmacy related prior authorization on a web site and other recommended alternatives; and options for prior authorizations involving urgent and emergent care with short-term prescription fill, such as a three-day supply, while the authorization is obtained.

                (3) In preparing the recommendations, the work group must consider the opportunities to align with national mandates and regulatory guidance in the health insurance portability and accountability act and the patient protection and affordable care act, and use information technologies and electronic health records to increase efficiencies in health care and reengineer and automate age-old practices to improve business functions and ensure timely access to care for patients.

                (4) The commissioner shall adopt rules implementing the recommendations of the work group.  The rules adopted under this subsection may only implement, and may not expand or limit, the recommendations of the work group."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 2.  A new section is added to chapter 48.165 RCW to read as follows:

                (1) The insurance commissioner must reauthorize the efforts with the lead organization established in RCW 48.165.030, and establish a new work group to develop recommendations for prior authorization requirements.  The focus of the prior authorization efforts must include the full scope of health care services including pharmacy issues.  The work group must submit recommendations to the commissioner by October 31, 2014.

                (2) The lead organization and work group established to review prior authorization requirements must consider the following areas in their efforts:

                (a) Requiring carriers and pharmacy benefit managers to provide a listing of prior authorization requirements electronically on a web site.  The listing of requirements for any procedure, supply, or service requiring preauthorization must include criteria needed by the carrier specific to that medical or procedural code, to allow a provider's office to submit all information needed on the initial request for prior authorization, along with instructions for submitting that information;

                (b) Requiring a carrier or pharmacy benefit manager to issue an acknowledgement of receipt or reference number for prior authorization within a specified time frame, such as two business days of receipt of a prior authorization request from a provider;

                (c) Recommendations for the best practices for exchanging information, including alternatives to fax requests;

                (d) Recommendations for the best practices if the acknowledgement has not been received by the provider or pharmacy benefit manager within the specified time frame, such as two business days;

                (e) Recommendations if the carrier or pharmacy benefit manager fails to approve, deny, or respond to the request for authorization within the specified time frame and options for deeming approval;

                (f) Recommendations to refine the time frames in current rule; and

                (g) Recommendations specific to pharmacy services, including communication between the pharmacy to the carrier or pharmacy benefit manager, communications between the carrier or pharmacy benefit manager with the providers' office, communication of the authorization number, posting of the criteria for pharmacy related prior authorization on a web site and other recommended alternatives; and options for prior authorizations involving urgent and emergent care with short-term prescription fill, such as a three-day supply, while the authorization is obtained.

                (3) In preparing the recommendations, the work group must consider the opportunities to align with national mandates and regulatory guidance in the health insurance portability and accountability act and the patient protection and affordable care act, and use information technologies and electronic health records to increase efficiencies in health care and reengineer and automate age-old practices to improve business functions and ensure timely access to care for patients.

                (4) The commissioner shall adopt rules implementing the recommendations of the work group.  The rules adopted under this subsection may only implement, and may not expand or limit, the recommendations of the work group.

NEW SECTION.  Sec. 3.  A new section is added to chapter 48.43 RCW to read as follows:

                (1) A health carrier may not directly, indirectly through contracted networks, or otherwise require a covered person to obtain prior authorization for routine health care services for which a person may self refer.

                (2) A carrier, whether directly or indirectly through subcontracted networks, shall disclose:

                (a) Its criteria and methods for establishing limits on access to network providers, including, but not limited to, the carrier's method used to determine that a network provider may provide care to a covered person without prior authorization while imposing prior authorization requirements on other network providers; and

                (b) Its methods and clinical protocols for authorizing coverage of health care services, including, but not limited to, the carrier's method for determining initial visit limits for a particular health care service."

                Correct the title.

 

Signed by Representatives Cody, Chair; Riccelli, Vice Chair; Schmick, Ranking Minority Member; Harris, Assistant Ranking Minority Member; Green; Hunt, G.; Jinkins; Manweller; Morrell; Rodne; Ross; Short; Tharinger and Van De Wege.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6517         Prime Sponsor, Committee on Governmental Operations: Exempting agency employee driver's license numbers, identicard numbers, and identification numbers from public inspection and copying. (REVISED FOR ENGROSSED: Exempting agency employee driver's license numbers and identicard numbers from public inspection and copying. )  Reported by Committee on Government Operations & Elections

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Hunt, S., Chair; Bergquist, Vice Chair; Young, Assistant Ranking Minority Member; Carlyle; Christian; Manweller; Orwall; Robinson and Van De Wege.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Taylor, Ranking Minority Member and Kretz.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

E2SSB 6552       Prime Sponsor, Committee on Ways & Means: Improving student success by modifying instructional hour and graduation requirements.  Reported by Committee on Education

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Santos, Chair; Dahlquist, Ranking Minority Member; Magendanz, Assistant Ranking Minority Member; Fey; Hargrove; Hawkins; Hayes; Klippert; Lytton; Muri; Orwall; Parker and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Stonier, Vice Chair; Bergquist; Haigh; Hunt, S.; Pollet and Seaquist.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

SSB 6558           Prime Sponsor, Committee on Ways & Means: Concerning intensive home and community-based mental health services for medicaid-eligible children.  Reported by Committee on Early Learning & Human Services

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature finds that services for low-income children in Washington with serious mental health needs should be improved so that children can be served in their community, rather than in out-of-home placements, in order to receive the help they need.  Entering a state institution, foster home, or other out-of-home placement may create additional hardship on the child and the family by forcing a child into an unfamiliar living situation and separating them from their family, friends, school, community, and natural supports.  The legislature intends to expand access to intensive home and community-based children's services so that these services will be implemented statewide on a phased-in basis to children with serious mental health needs.

Sec. 2.  RCW 71.24.065 and 2007 c 359 s 10 are each amended to read as follows:

                ((To the extent funds are specifically appropriated for this purpose,)) (1) The department of social and health services shall ((contract for implementation of a wraparound model of integrated children's mental health services delivery in up to four regional support network regions in Washington state in which wraparound programs are not currently operating, and in up to two regional support network regions in which wraparound programs are currently operating.  Contracts in regions with existing wraparound programs shall be for the purpose of expanding the number of children served.
                (1) Funding provided may be expended for:  Costs associated with a request for proposal and contracting process; administrative costs associated with successful bidders' operation of the wraparound model; the evaluation under subsection (5) of this section; and funding for services needed by children enrolled in wraparound model sites that are not otherwise covered under existing state programs.  The services provided through the wraparound model sites shall include, but not be limited to, services covered under the medicaid program.  The department shall maximize the use of medicaid and other existing state-funded programs as a funding source.  However, state funds provided may be used to develop a broader service package to meet needs identified in a child's care plan.  Amounts provided shall supplement, and not supplant, state, local, or other funding for services that a child being served through a wraparound site would otherwise be eligible to receive)) implement statewide intensive home and community-based services for children, funded through medicaid.  This set of services is known as wraparound with intensive services, and shall include the following core medicaid covered mental health services:  (a) Intensive care coordination, (b) intensive home and community-based services, and (c) mobile crisis intervention and stabilization services.  In order to ensure consistency statewide, the department shall develop standards, policies and protocols to direct the implementation and provision of care under this section beginning July 1, 2014.  The services must be phased in as rapidly as feasible and according to a schedule that prioritizes infrastructure availability and local provider readiness.

                (2) The wraparound ((model sites)) with intensive services program funded through medicaid shall serve children ((with serious emotional or behavioral disturbances who are at high risk of residential or correctional placement or psychiatric hospitalization, and who have been referred for services from the department, a county juvenile court, a tribal court, a school, or a licensed mental health provider or agency)) and youth under the age of twenty-one with a mental illness or condition and who have a functional impairment which substantially interferes with or substantially limits the ability to function in the family, school or community setting, and for whom intensive home and community-based services have been recommended by a licensed practitioner to correct or ameliorate the mental illness or condition.

                (((3) Through a request for proposal process, the department shall contract, with regional support networks, alone or in partnership with either educational service districts or entities licensed to provide mental health services to children with serious emotional or behavioral disturbances, to operate the wraparound model sites.  The contractor shall provide care coordination and facilitate the delivery of services and other supports to families using a strengthbased, highly individualized wraparound process.  The request for proposal shall require that:
                (a) The regional support network agree to use its medicaid revenues to fund services included in the existing regional support network's benefit package that a medicaid-eligible child participating in the wraparound model site is determined to need;
                (b) The contractor provide evidence of commitments from at least the following entities to participate in wraparound care plan development and service provision when appropriate:  Community mental health agencies, schools, the department of social and health services children's administration, juvenile courts, the department of social and health services juvenile rehabilitation administration, and managed health care systems contracting with the department under RCW 74.09.522; and
                (c) The contractor will operate the wraparound model site in a manner that maintains fidelity to the wraparound process as defined in RCW 71.36.010.
                (4) Contracts for operation of the wraparound model sites shall be executed on or before April 1, 2008, with enrollment and service delivery beginning on or before July 1, 2008.
                (5) The evidencebased practice institute established in RCW 71.24.061 shall evaluate the wraparound model sites, measuring outcomes for children served.  Outcomes measured shall include, but are not limited to)) Referral to services may include, but is not limited to:
                (a) A self-referral from the child or the child's family;
                (b) Regional support networks;
                (c) Mental health or medical providers;
                (d) Tribes or tribal courts;
                (e) Health care authority;
                (f) The department of social and health services;
                (g) County juvenile courts;
                (h) Schools; and
                (i) Local law enforcement.
                (3) The department shall track, monitor, and report on measures such as:

(a) Decreased out-of-home placement, ((including residential, group, and foster care, and increased stability of such placements, school attendance, school performance, recidivism,)) as well as decreased length of stay in such placements;
                (b) Emergency room utilization((,));
                (c) Involvement with the juvenile justice system((, decreased));
                (d) Use of psychotropic medication((,)); and ((decreased))

(e) Hospitalization between baseline and postimplementation periods.

                (((6) The evidence-based practice institute shall provide a report and recommendations to the appropriate committees of the legislature by December 1, 2010.))

NEW SECTION.  Sec. 3.  For the duration of the implementation process of the wraparound with intensive services, the department of social and health services shall provide annual implementation reports to the office of financial management and the appropriate legislative committees on or before December 1st each year.  Throughout the implementation process, and as services are phased in, the department shall seek input from local stakeholders to include families and youth, local government, tribal partners, and service providers on:

                (1) The adequacy and availability of core services required for wraparound with intensive services within provider networks and shall engage in problem-solving around shortages or lack of quality core service availability;

                (2) Performance measures, outcomes, and quality improvement relevant to children's behavioral health in Washington state; and

                (3) Recommendations for participants in a local collaborative body to ensure that children, families, and other stakeholders have a clear pathway to receive intensive home and community-based wraparound services.

NEW SECTION.  Sec. 4.  Beginning July 1, 2014, funding provided for the wraparound pilot programs must be repurposed toward the costs of phasing in an implementation of wraparound with intensive services.  The department of social and health services shall prioritize service areas based on provider readiness and develop a schedule for phase-in by county."

                Correct the title.

 

Signed by Representatives Kagi, Chair; Freeman, Vice Chair; Walsh, Ranking Minority Member; Scott, Assistant Ranking Minority Member; Fagan; Goodman; Ortiz-Self; Roberts; Sawyer; Senn; Young and Zeiger.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

SJM 8015           Prime Sponsor, Senator O'Ban: Requesting Congress implement certain increased safety measures for tank rail cars.  Reported by Committee on Environment

 

MAJORITY recommendation:  Do pass as amended.

 

                Beginning on page 1, line 4, after "ASSEMBLED," strike all material through "Transportation." on page 2, line 15 and insert "THE SECRETARY OF THE DEPARTMENT OF TRANSPORTATION, THE ADMINISTRATOR OF THE FEDERAL RAILROAD ADMINISTRATION, AND THE ADMINISTRATOR OF THE PIPELINE AND HAZARDOUS MATERIALS SAFETY ADMINISTRATION:
                We, your Memorialists, the Senate and House of Representatives of the State of Washington, in legislative session assembled, respectfully represent and petition as follows:
                WHEREAS, The number of freight trains carrying crude oil and other potentially hazardous liquids and gases through Washington has increased and will continue to increase; and
                WHEREAS, The type of crude oil being transported through Washington by rail tank freight trains may be particularly flammable and dangerous as compared to other types of crude oil; and
                WHEREAS, Accidents involving rail tanks carrying crude oil and other potentially hazardous liquids and gases pose significant risks to communities, families, and businesses located near rail lines, as well as overall public health; and
                WHEREAS, The safety and preservation of Washington communities and natural areas is crucial to the economic stability and health of the State of Washington; and
                WHEREAS, Tanks carrying crude oil and other potentially hazardous liquids and gases by rail should meet the highest safety standards and utilize the best technology to minimize the impact of accidents; and
                WHEREAS, The routing of tank car trains carrying crude oil and other potentially hazardous liquids and gases should minimize the potential risks of an accident in a populated or sensitive area, and response planning by rail carriers should be sufficient to comprehensively address worst-case accident scenarios;
                NOW, THEREFORE, Your Memorialists respectfully pray that the Congress of the United States of America or the United States Department of Transportation toughen existing standards for new tank rail cars and require that the approximately ninety-two thousand existing tank rail cars used to transport crude oil and other flammable liquids, including potentially hazardous liquids and gases, be retrofitted with advanced safety enhancing technologies or, if not upgraded, phased out of service, and that the United States Department of Transportation's Pipeline and Hazardous Materials Safety Administration and Federal Railroad Administration act on the recommendations of the National Transportation Safety Board to update their regulations to improve hazardous material route planning and require rerouting to avoid transporting hazardous materials through populated and sensitive areas, to ensure rail carriers have comprehensive response plans for worst-case oil spill accidents, to develop an audit program for rail carriers of oil to ensure adequate oil spill response, removal, and mitigation provisions are in place, to require better testing of the characteristics of hazardous material to ensure appropriate classification, and to audit crude oil shippers to ensure that appropriate hazardous material classifications are used.
                BE IT RESOLVED, That copies of this Memorial be immediately transmitted to the Honorable Barack Obama, President of the United States, the Secretary of the United States Department of Transportation, the Administrator of the Federal Railroad Administration, the Administrator of the Pipeline and Hazardous Materials Safety Administration, the President of the United States Senate, the Speaker of the House of Representatives, and each member of Congress from the State of Washington."

 

Signed by Representatives Fitzgibbon, Chair; Senn, Vice Chair; Short, Ranking Minority Member; Pike, Assistant Ranking Minority Member; Farrell; Fey; Kagi; Morris; Nealey and Tharinger.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Harris and Overstreet.

 

Passed to Committee on Rules for second reading.

 

3rd SUPPLEMENTAL REPORTS OF STANDING COMMITTEES

 

February 26, 20140)

ESB 5048           Prime Sponsor, Senator Sheldon: Concerning notice against trespass.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 9A.52.010 and 2011 c 336 s 369 are each reenacted and amended to read as follows:

                The following definitions apply in this chapter:

                (1) "Access" means to approach, instruct, communicate with, store data in, retrieve data from, or otherwise make use of any resources of a computer, directly or by electronic means.

                (2) "Computer program" means an ordered set of data representing coded instructions or statements that when executed by a computer cause the computer to process data.

                (3) "Data" means a representation of information, knowledge, facts, concepts, or instructions that are being prepared or have been prepared in a formalized manner and are intended for use in a computer.

                (4) "Enter."  The word "enter" when constituting an element or part of a crime, shall include the entrance of the person, or the insertion of any part of his or her body, or any instrument or weapon held in his or her hand and used or intended to be used to threaten or intimidate a person or to detach or remove property.

                (5) "Enters or remains unlawfully."  A person "enters or remains unlawfully" in or upon premises when he or she is not then licensed, invited, or otherwise privileged to so enter or remain.

                A license or privilege to enter or remain in a building which is only partly open to the public is not a license or privilege to enter or remain in that part of a building which is not open to the public.  A person who enters or remains upon unimproved and apparently unused land, which is neither fenced nor otherwise enclosed in a manner designed to exclude intruders, does so with license and privilege unless notice against trespass is personally communicated to him or her by the owner of the land or some other authorized person, or unless notice is given by posting in a conspicuous manner.  Land that is used for commercial aquaculture or for growing an agricultural crop or crops, other than timber, is not unimproved and apparently unused land if a crop or any other sign of cultivation is clearly visible or if notice is given by posting in a conspicuous manner.  Similarly, a field fenced in any manner is not unimproved and apparently unused land.  A license or privilege to enter or remain on improved and apparently used land that is open to the public at particular times, which is neither fenced nor otherwise enclosed in a manner to exclude intruders, is not a license or privilege to enter or remain on the land at other times if notice of prohibited times of entry is posted in a conspicuous manner.

                (6) "Posting in a conspicuous manner" includes posting a sign or signs reasonably likely to come to the attention of intruders, indicating that entry is restricted or, if the property is located outside of urban growth areas and incorporated cities or towns, the placement of identifying fluorescent orange paint marks on trees or posts on property.
                (a) Identifying fluorescent orange marks must be:
                (i) Vertical lines not less than eight inches in length and not less than one inch in width;
                (ii) Placed so that the bottom of the mark is between three and five feet from the ground; and
                (iii) Placed at locations that are readily visible to any person approaching the property and no more than one hundred feet apart on forest land, as defined in RCW 76.09.020, or one thousand feet apart on land other than forest land.
                (b) A landowner must use signs for posting in a conspicuous manner on access roads.
                (7) "Premises" includes any building, dwelling, structure used for commercial aquaculture, or any real property."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 2.  RCW 9A.52.010 and 2011 c 336 s 369 are each reenacted and amended to read as follows:

                The following definitions apply in this chapter:

                (1) "Access" means to approach, instruct, communicate with, store data in, retrieve data from, or otherwise make use of any resources of a computer, directly or by electronic means.

                (2) "Computer program" means an ordered set of data representing coded instructions or statements that when executed by a computer cause the computer to process data.

                (3) "Data" means a representation of information, knowledge, facts, concepts, or instructions that are being prepared or have been prepared in a formalized manner and are intended for use in a computer.

                (4) "Enter."  The word "enter" when constituting an element or part of a crime, shall include the entrance of the person, or the insertion of any part of his or her body, or any instrument or weapon held in his or her hand and used or intended to be used to threaten or intimidate a person or to detach or remove property.

                (5) "Enters or remains unlawfully."  A person "enters or remains unlawfully" in or upon premises when he or she is not then licensed, invited, or otherwise privileged to so enter or remain.

                A license or privilege to enter or remain in a building which is only partly open to the public is not a license or privilege to enter or remain in that part of a building which is not open to the public.  A person who enters or remains upon unimproved and apparently unused land, which is neither fenced nor otherwise enclosed in a manner designed to exclude intruders, does so with license and privilege unless notice against trespass is personally communicated to him or her by the owner of the land or some other authorized person, or unless notice is given by posting in a conspicuous manner.  Land that is used for commercial aquaculture or for growing an agricultural crop or crops, other than timber, is not unimproved and apparently unused land if a crop or any other sign of cultivation is clearly visible or if notice is given by posting in a conspicuous manner.  Similarly, a field fenced in any manner is not unimproved and apparently unused land.  A license or privilege to enter or remain on improved and apparently used land that is open to the public at particular times, which is neither fenced nor otherwise enclosed in a manner to exclude intruders, is not a license or privilege to enter or remain on the land at other times if notice of prohibited times of entry is posted in a conspicuous manner.

                (6) "Posting in a conspicuous manner" includes posting a sign or signs reasonably likely to come to the attention of intruders, indicating that entry is restricted or the placement of identifying fluorescent orange paint marks on trees or posts on property.
                (a) Identifying fluorescent orange marks must be:
                (i) Vertical lines not less than eight inches in length and not less than one inch in width;
                (ii) Placed so that the bottom of the mark is between three and five feet from the ground; and
                (iii) Placed at locations that are readily visible to any person approaching the property and no more than one hundred feet apart on forest land, as defined in RCW 76.09.020, or one thousand feet apart on land other than forest land.
                (b) A landowner must use signs for posting in a conspicuous manner on access roads.
                (c) A landowner may use fluorescent orange paint marks to provide notice against trespass only on farm and agricultural land, as defined in RCW 84.34.020(2) (a), (b), and (d), and forest land, as defined in RCW 76.09.020.
                (7) "Premises" includes any building, dwelling, structure used for commercial aquaculture, or any real property."

                Correct the title.

 

Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 5123           Prime Sponsor, Committee on Ways & Means: Establishing a farm internship program.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Condotta, Assistant Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

Referred to Committee on Appropriations Subcommittee on Health & Human Services.

 

February 26, 20140)

SSB 5173           Prime Sponsor, Committee on Commerce & Labor: Respecting holidays of faith and conscience.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 1.16.050 and 2013 c 5 s 1 are each amended to read as follows:

                The following are legal holidays:  Sunday; the first day of January, commonly called New Year's Day; the third Monday of January, being celebrated as the anniversary of the birth of Martin Luther King, Jr.; the third Monday of February to be known as Presidents' Day and to be celebrated as the anniversary of the births of Abraham Lincoln and George Washington; the last Monday of May, commonly known as Memorial Day; the fourth day of July, being the anniversary of the Declaration of Independence; the first Monday in September, to be known as Labor Day; the eleventh day of November, to be known as Veterans' Day; the fourth Thursday in November, to be known as Thanksgiving Day; the day immediately following Thanksgiving Day; and the twenty-fifth day of December, commonly called Christmas Day.

                Employees of the state and its political subdivisions, except employees of school districts and except those nonclassified employees of institutions of higher education who hold appointments or are employed under contracts to perform services for periods of less than twelve consecutive months, shall be entitled to one paid holiday per calendar year in addition to those specified in this section.  Each employee of the state or its political subdivisions may select the day on which the employee desires to take the additional holiday provided for herein after consultation with the employer pursuant to guidelines to be promulgated by rule of the appropriate personnel authority, or in the case of local government by ordinance or resolution of the legislative authority.

Employees of the state and its political subdivisions, including employees of school districts and those nonclassified employees of institutions of higher education who hold appointments or are employed under contracts to perform services for periods of less than twelve consecutive months, are entitled to two unpaid holidays per calendar year for a reason of faith or conscience or an organized activity conducted under the auspices of a religious denomination, church, or religious organization.  This includes employees of public institutions of higher education, including community colleges, technical colleges, and workforce training programs.  The employee may select the days on which the employee desires to take the two unpaid holidays after consultation with the employer pursuant to guidelines to be promulgated by rule of the appropriate personnel authority, or in the case of local government by ordinance or resolution of the legislative authority.  If an employee prefers to take the two unpaid holidays on specific days for a reason of faith or conscience, or an organized activity conducted under the auspices of a religious denomination, church, or religious organization, the employer must allow the employee to do so unless the employee's absence would impose an undue hardship on the employer or the employee is necessary to maintain public safety.  Undue hardship shall have the meaning established in rule by the office of financial management under section 2 of this act.

                If any of the above specified state legal holidays are also federal legal holidays but observed on different dates, only the state legal holidays shall be recognized as a paid legal holiday for employees of the state and its political subdivisions except that for port districts and the law enforcement and public transit employees of municipal corporations, either the federal or the state legal holiday, but in no case both, may be recognized as a paid legal holiday for employees.

                Whenever any legal holiday, other than Sunday, falls upon a Sunday, the following Monday shall be the legal holiday.

                Whenever any legal holiday falls upon a Saturday, the preceding Friday shall be the legal holiday.

                Nothing in this section shall be construed to have the effect of adding or deleting the number of paid holidays provided for in an agreement between employees and employers of political subdivisions of the state or as established by ordinance or resolution of the local government legislative authority.

                The legislature declares that the thirteenth day of January shall be recognized as Korean-American day but shall not be considered a legal holiday for any purposes.

                The legislature declares that the twelfth day of October shall be recognized as Columbus day but shall not be considered a legal holiday for any purposes.

                The legislature declares that the ninth day of April shall be recognized as former prisoner of war recognition day but shall not be considered a legal holiday for any purposes.

                The legislature declares that the twenty-sixth day of January shall be recognized as Washington army and air national guard day but shall not be considered a legal holiday for any purposes.

                The legislature declares that the seventh day of August shall be recognized as purple heart recipient recognition day but shall not be considered a legal holiday for any purposes.

                The legislature declares that the second Sunday in October be recognized as Washington state children's day but shall not be considered a legal holiday for any purposes.

                The legislature declares that the sixteenth day of April shall be recognized as Mother Joseph day and the fourth day of September as Marcus Whitman day, but neither shall be considered legal holidays for any purpose.

                The legislature declares that the seventh day of December be recognized as Pearl Harbor remembrance day but shall not be considered a legal holiday for any purpose.

                The legislature declares that the twenty-seventh day of July be recognized as national Korean war veterans armistice day but shall not be considered a legal holiday for any purpose.

                The legislature declares that the nineteenth day of February be recognized as civil liberties day of remembrance but shall not be considered a legal holiday for any purpose.

                The legislature declares that the nineteenth day of June be recognized as Juneteenth, a day of remembrance for the day the slaves learned of their freedom, but shall not be considered a legal holiday for any purpose.

                The legislature declares that the thirtieth day of March be recognized as welcome home Vietnam veterans day but shall not be considered a legal holiday for any purpose.

NEW SECTION.  Sec. 2.  A new section is added to chapter 43.41 RCW to read as follows:

                The director of the office of financial management shall by rule establish a definition of "undue hardship" for the purposes of RCW 1.16.050.

Sec. 3.  RCW 28A.225.010 and 1998 c 244 s 14 are each amended to read as follows:

                (1) All parents in this state of any child eight years of age and under eighteen years of age shall cause such child to attend the public school of the district in which the child resides and such child shall have the responsibility to and therefore shall attend for the full time when such school may be in session unless:

                (a) The child is attending an approved private school for the same time or is enrolled in an extension program as provided in RCW 28A.195.010(4);

                (b) The child is receiving home-based instruction as provided in subsection (4) of this section;

                (c) The child is attending an education center as provided in chapter 28A.205 RCW;

                (d) The school district superintendent of the district in which the child resides shall have excused such child from attendance because the child is physically or mentally unable to attend school, is attending a residential school operated by the department of social and health services, is incarcerated in an adult correctional facility, or has been temporarily excused upon the request of his or her parents for purposes agreed upon by the school authorities and the parent:  PROVIDED, That such excused absences shall not be permitted if deemed to cause a serious adverse effect upon the student's educational progress:  PROVIDED FURTHER, That students excused for such temporary absences may be claimed as full-time equivalent students to the extent they would otherwise have been so claimed for the purposes of RCW 28A.150.250 and 28A.150.260 and shall not affect school district compliance with the provisions of RCW 28A.150.220; ((or))

                (e) The child is excused from school subject to approval by the student's parent for a reason of faith or conscience, or an organized activity conducted under the auspices of a religious denomination, church, or religious organization, for up to two days per school year without any penalty.  Such absences may not mandate school closures.  Students excused for such temporary absences may be claimed as full- time equivalent students to the extent they would otherwise have been so claimed for the purposes of RCW 28A.150.250 and 28A.150.260 and may not affect school district compliance with the provisions of RCW 28A.150.220; or
                (f) The child is sixteen years of age or older and:

                (i) The child is regularly and lawfully employed and either the parent agrees that the child should not be required to attend school or the child is emancipated in accordance with chapter 13.64 RCW;

                (ii) The child has already met graduation requirements in accordance with state board of education rules and regulations; or

                (iii) The child has received a certificate of educational competence under rules and regulations established by the state board of education under RCW 28A.305.190.

                (2) A parent for the purpose of this chapter means a parent, guardian, or person having legal custody of a child.

                (3) An approved private school for the purposes of this chapter and chapter 28A.200 RCW shall be one approved under regulations established by the state board of education pursuant to RCW 28A.305.130.

                (4) For the purposes of this chapter and chapter 28A.200 RCW, instruction shall be home-based if it consists of planned and supervised instructional and related educational activities, including a curriculum and instruction in the basic skills of occupational education, science, mathematics, language, social studies, history, health, reading, writing, spelling, and the development of an appreciation of art and music, provided for a number of hours equivalent to the total annual program hours per grade level established for approved private schools under RCW 28A.195.010 and 28A.195.040 and if such activities are:

                (a) Provided by a parent who is instructing his or her child only and are supervised by a certificated person.  A certificated person for purposes of this chapter and chapter 28A.200 RCW shall be a person certified under chapter 28A.410 RCW.  For purposes of this section, "supervised by a certificated person" means:  The planning by the certificated person and the parent of objectives consistent with this subsection; a minimum each month of an average of one contact hour per week with the child being supervised by the certificated person; and evaluation of such child's progress by the certificated person.  The number of children supervised by the certificated person shall not exceed thirty for purposes of this subsection; or

                (b) Provided by a parent who is instructing his or her child only and who has either earned forty-five college level quarter credit hours or its equivalent in semester hours or has completed a course in home- based instruction at a postsecondary institution or a vocational- technical institute; or

                (c) Provided by a parent who is deemed sufficiently qualified to provide home-based instruction by the superintendent of the local school district in which the child resides.

                (5) The legislature recognizes that home-based instruction is less structured and more experiential than the instruction normally provided in a classroom setting.  Therefore, the provisions of subsection (4) of this section relating to the nature and quantity of instructional and related educational activities shall be liberally construed.

NEW SECTION.  Sec. 4.  A new section is added to chapter 28B.10 RCW to read as follows:

                Institutions of higher education must develop policies to accommodate student absences for up to two days per academic year, to allow students to take holidays for reasons of faith or conscience or for organized activities conducted under the auspices of a religious denomination, church, or religious organization, so that students' grades are not adversely impacted by the absences.

NEW SECTION.  Sec. 5.  A new section is added to chapter 28C.18 RCW to read as follows:

                State-funded workforce training programs must develop policies to accommodate student absences for up to two days per academic year, to allow students to take holidays for reasons of faith or conscience or for organized activities conducted under the auspices of a religious denomination, church, or religious organization, so that students' grades are not adversely impacted by the absences."

                Correct the title.

 

Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Goodman; Kirby; Klippert; Orwall; Roberts; Shea and Walkinshaw.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Haler and Muri.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

SSB 5975           Prime Sponsor, Committee on Governmental Operations: Concerning the veterans innovations program.  Reported by Committee on Community Development, Housing & Tribal Affairs

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Appleton, Chair; Sawyer, Vice Chair; Johnson, Ranking Minority Member; Gregerson; Robinson; Santos and Young.

 

Referred to Committee on Appropriations Subcommittee on Health & Human Services.

 

February 26, 20140)

SB 5981             Prime Sponsor, Senator Sheldon: Increasing the number of superior court judges in Mason county.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts and Walkinshaw.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Shea.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 26, 20140)

SSB 5991           Prime Sponsor, Committee on Energy, Environment & Telecommunications: Studying nuclear power as a replacement for electricity generated from the combustion of fossil fuels.  Reported by Committee on Technology & Economic Development

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature intends that nuclear power should be studied as a possible replacement for electricity consumed in the region that is generated from the combustion of fossil fuels.

NEW SECTION.  Sec. 2.  (1) A joint select task force on nuclear energy is created to study how the state can advance and support the generation of clean energy in the region through the use of nuclear power.  The task force must report any findings and recommendations to the legislature by December 1, 2014.

                (2) In its deliberations, the task force must consider the greatest amount of environmental benefit for each dollar spent based on the life-cycle cost of any nuclear power technology.  Life-cycle costs must include the storage and disposal of any nuclear wastes.

                (3) The task force must consist of eight members that serve on the legislative standing committees with primary jurisdiction over energy issues.  The president of the senate shall appoint two members from the majority caucus and two members from the minority caucus.  The speaker of the house of representatives shall appoint two members from each caucus.

                (4) The members of the task force shall select from among their members a chair and other officers as the task force deems appropriate.

                (5) The task force must hold no more than four meetings, with two of those meetings in Richland, Washington.

                (6) The task force must be staffed by senate committee services and the office of program research.  All expenses and hiring of additional staff shall be subject to the approval of the senate facilities and operations committee and the house of representatives executive rules committee.

                (7) The task force terminates December 15, 2014."

                Correct the title.

 

Signed by Representatives Morris, Chair; Habib, Vice Chair; Smith, Ranking Minority Member; Short, Assistant Ranking Minority Member; Dahlquist; DeBolt; Fey; Freeman; Kochmar; Magendanz; Stonier; Tarleton; Vick; Walsh; Wylie and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Hudgins and Ryu.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 5999             Prime Sponsor, Senator Pedersen: Concerning corporate entity conversions.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6041         Prime Sponsor, Committee on Natural Resources & Parks: Regarding fish and wildlife law enforcement.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 77.08.010 and 2012 c 176 s 4 are each reenacted and amended to read as follows:

                The definitions in this section apply throughout this title or rules adopted under this title unless the context clearly requires otherwise.

                (1) "Anadromous game fish buyer" means a person who purchases or sells steelhead trout and other anadromous game fish harvested by Indian fishers lawfully exercising fishing rights reserved by federal statute, treaty, or executive order, under conditions prescribed by rule of the director.

                (2) "Angling gear" means a line attached to a rod and reel capable of being held in hand while landing the fish or a hand-held line operated without rod or reel.

                (3) "Aquatic invasive species" means any invasive, prohibited, regulated, unregulated, or unlisted aquatic animal or plant species as defined under subsections (4), (34), (49), (53), (((70))) (73), and (((71))) (74) of this section, aquatic noxious weeds as defined under RCW 17.26.020(5)(c), and aquatic nuisance species as defined under RCW 77.60.130(1).

                (4) "Aquatic plant species" means an emergent, submersed, partially submersed, free-floating, or floating-leaving plant species that grows in or near a body of water or wetland.

                (5) "Bag limit" means the maximum number of game animals, game birds, or game fish which may be taken, caught, killed, or possessed by a person, as specified by rule of the commission for a particular period of time, or as to size, sex, or species.

                (6) "Building" means a private domicile, garage, barn, or public or commercial building.

                (7) "Closed area" means a place where the hunting of some or all species of wild animals or wild birds is prohibited.

                (8) "Closed season" means all times, manners of taking, and places or waters other than those established by rule of the commission as an open season.  "Closed season" also means all hunting, fishing, taking, or possession of game animals, game birds, game fish, food fish, or shellfish that do not conform to the special restrictions or physical descriptions established by rule of the commission as an open season or that have not otherwise been deemed legal to hunt, fish, take, harvest, or possess by rule of the commission as an open season.

                (9) "Closed waters" means all or part of a lake, river, stream, or other body of water, where fishing or harvesting is prohibited.

                (10) "Commercial" means related to or connected with buying, selling, or bartering.

                (11) "Commission" means the state fish and wildlife commission.

                (12) "Concurrent waters of the Columbia river" means those waters of the Columbia river that coincide with the Washington-Oregon state boundary.

                (13) "Contraband" means any property that is unlawful to produce or possess.

                (14) "Deleterious exotic wildlife" means species of the animal kingdom not native to Washington and designated as dangerous to the environment or wildlife of the state.

                (15) "Department" means the department of fish and wildlife.

                (16) "Director" means the director of fish and wildlife.

                (17) "Endangered species" means wildlife designated by the commission as seriously threatened with extinction.

                (18) "Ex officio fish and wildlife officer" means:

                (a) A commissioned officer of a municipal, county, or state agency having as its primary function the enforcement of criminal laws in general, while the officer is acting in the respective jurisdiction of that agency;

                (b) An officer or special agent commissioned by one of the following:  The national marine fisheries service; the Washington state parks and recreation commission; the United States fish and wildlife service; the Washington state department of natural resources; the United States forest service; or the United States parks service, if the agent or officer is in the respective jurisdiction of the primary commissioning agency and is acting under a mutual law enforcement assistance agreement between the department and the primary commissioning agency;

                (c) A commissioned fish and wildlife peace officer from another state who meets the training standards set by the Washington state criminal justice training commission pursuant to RCW 10.93.090, 43.101.080, and 43.101.200, and who is acting under a mutual law enforcement assistance agreement between the department and the primary commissioning agency; or

                (d) A Washington state tribal police officer who successfully completes the requirements set forth under RCW 43.101.157, is employed by a tribal nation that has complied with RCW 10.92.020(2) (a) and (b), and is acting under a mutual law enforcement assistance agreement between the department and the tribal government.

                (19) "Fish" includes all species classified as game fish or food fish by statute or rule, as well as all fin fish not currently classified as food fish or game fish if such species exist in state waters.  The term "fish" includes all stages of development and the bodily parts of fish species.

                (20) "Fish and wildlife officer" means a person appointed and commissioned by the director, with authority to enforce this title and rules adopted pursuant to this title, and other statutes as prescribed by the legislature.  Fish and wildlife officer includes a person commissioned before June 11, 1998, as a wildlife agent or a fisheries patrol officer.

                (21) "Fish broker" means a person whose business it is to bring a seller of fish and shellfish and a purchaser of those fish and shellfish together.

                (22) "Fish buyer" means ((a person engaged by a wholesale fish dealer to purchase food fish or shellfish from a licensed commercial fisher)):
                (a) A wholesale fish dealer or a retail seller who directly receives fish or shellfish from a commercial fisher or receives fish or shellfish in interstate or foreign commerce; or
                (b) A person engaged by a wholesale fish dealer who receives fish or shellfish from a commercial fisher.

                (23) "Fishery" means the taking of one or more particular species of fish or shellfish with particular gear in a particular geographical area.

                (24) "Food, food waste, or other substance" includes human and pet food or other waste or garbage that could attract large wild carnivores.

                (25) "Freshwater" means all waters not defined as saltwater including, but not limited to, rivers upstream of the river mouth, lakes, ponds, and reservoirs.

                (26) "Fur-bearing animals" means game animals that shall not be trapped except as authorized by the commission.

                (27) "Fur dealer" means a person who purchases, receives, or resells raw furs for commercial purposes.

                (28) "Game animals" means wild animals that shall not be hunted except as authorized by the commission.

                (29) "Game birds" means wild birds that shall not be hunted except as authorized by the commission.

                (30) "Game farm" means property on which wildlife is held, confined, propagated, hatched, fed, or otherwise raised for commercial purposes, trade, or gift.  The term "game farm" does not include publicly owned facilities.

                (31) "Game reserve" means a closed area where hunting for all wild animals and wild birds is prohibited.

                (32) "Illegal items" means those items unlawful to be possessed.

                (33)(a) "Intentionally feed, attempt to feed, or attract" means to purposefully or knowingly provide, leave, or place in, on, or about any land or building any food, food waste, or other substance that attracts or could attract large wild carnivores to that land or building.

                (b) "Intentionally feed, attempt to feed, or attract" does not include keeping food, food waste, or other substance in an enclosed garbage receptacle or other enclosed container unless specifically directed by a fish and wildlife officer or animal control authority to secure the receptacle or container in another manner.

                (34) "Invasive species" means a plant species or a nonnative animal species that either:

                (a) Causes or may cause displacement of, or otherwise threatens, native species in their natural communities;

                (b) Threatens or may threaten natural resources or their use in the state;

                (c) Causes or may cause economic damage to commercial or recreational activities that are dependent upon state waters; or

                (d) Threatens or harms human health.

                (35) "Large wild carnivore" includes wild bear, cougar, and wolf.

                (36) "License year" means the period of time for which a recreational license is valid.  The license year begins April 1st, and ends March 31st.

                (37) "Limited-entry license" means a license subject to a license limitation program established in chapter 77.70 RCW.

                (38) "Money" means all currency, script, personal checks, money orders, or other negotiable instruments.

                (39) "Natural person" means a human being.

                (40)(a) "Negligently feed, attempt to feed, or attract" means to provide, leave, or place in, on, or about any land or building any food, food waste, or other substance that attracts or could attract large wild carnivores to that land or building, without the awareness that a reasonable person in the same situation would have with regard to the likelihood that the food, food waste, or other substance could attract large wild carnivores to the land or building.

                (b) "Negligently feed, attempt to feed, or attract" does not include keeping food, food waste, or other substance in an enclosed garbage receptacle or other enclosed container unless specifically directed by a fish and wildlife officer or animal control authority to secure the receptacle or container in another manner.

                (41) "Nonresident" means a person who has not fulfilled the qualifications of a resident.

                (42) "Offshore waters" means marine waters of the Pacific Ocean outside the territorial boundaries of the state, including the marine waters of other states and countries.

                (43) "Open season" means those times, manners of taking, and places or waters established by rule of the commission for the lawful hunting, fishing, taking, or possession of game animals, game birds, game fish, food fish, or shellfish that conform to the special restrictions or physical descriptions established by rule of the commission or that have otherwise been deemed legal to hunt, fish, take, ((harvest,)) or possess by rule of the commission.  "Open season" includes the first and last days of the established time.

                (44) "Owner" means the person in whom is vested the ownership dominion, or title of the property.

                (45) "Person" means and includes an individual; a corporation; a public or private entity or organization; a local, state, or federal agency; all business organizations, including corporations and partnerships; or a group of two or more individuals acting with a common purpose whether acting in an individual, representative, or official capacity.

                (46) "Personal property" or "property" includes both corporeal and incorporeal personal property and includes, among other property, contraband and money.

                (47) "Personal use" means for the private use of the individual taking the fish or shellfish and not for sale or barter.

                (48) "Predatory birds" means wild birds that may be hunted throughout the year as authorized by the commission.

                (49) "Prohibited aquatic animal species" means an invasive species of the animal kingdom that has been classified as a prohibited aquatic animal species by the commission.

                (50) "Protected wildlife" means wildlife designated by the commission that shall not be hunted or fished.

                (51) "Raffle" means an activity in which tickets bearing an individual number are sold for not more than twenty-five dollars each and in which a permit or permits are awarded to hunt or for access to hunt big game animals or wild turkeys on the basis of a drawing from the tickets by the person or persons conducting the raffle.

                (52) "Recreational and commercial watercraft" includes the boat, as well as equipment used to transport the boat, and any auxiliary equipment such as attached or detached outboard motors.

                (53) "Regulated aquatic animal species" means a potentially invasive species of the animal kingdom that has been classified as a regulated aquatic animal species by the commission.

                (54) "Resident" has the same meaning as defined in RCW 77.08.075.

                (55) "Retail-eligible species" means commercially harvested salmon, crab, and sturgeon.

                (56) "Saltwater" means those marine waters seaward of river mouths.

                (57) "Seaweed" means marine aquatic plant species that are dependent upon the marine aquatic or tidal environment, and exist in either an attached or free floating form, and includes but is not limited to marine aquatic plants in the classes Chlorophyta, Phaeophyta, and Rhodophyta.

                (58) "Senior" means a person seventy years old or older.

                (59) "Shark fin" means a raw, dried, or otherwise processed detached fin or tail of a shark.

                (60)(a) "Shark fin derivative product" means any product intended for use by humans or animals that is derived in whole or in part from shark fins or shark fin cartilage.

                (b) "Shark fin derivative product" does not include a drug approved by the United States food and drug administration and available by prescription only or medical device or vaccine approved by the United States food and drug administration.

                (61) "Shellfish" means those species of marine and freshwater invertebrates that have been classified and that shall not be taken or possessed except as authorized by rule of the commission.  The term "shellfish" includes all stages of development and the bodily parts of shellfish species.

                (62) "State waters" means all marine waters and fresh waters within ordinary high water lines and within the territorial boundaries of the state.

                (63) "Taxidermist" means a person who, for commercial purposes, creates lifelike representations of fish and wildlife using fish and wildlife parts and various supporting structures.

                (64) "To fish((,))" (("to harvest," and "to take,")) and ((their)) its derivatives means an effort to kill, injure, harass, harvest, or ((catch)) capture a fish or shellfish.

                (65) "To hunt" and its derivatives means an effort to kill, injure, harass, harvest, or capture((, or harass)) a wild animal or wild bird.

                (66) "To process" and its derivatives mean preparing or preserving fish, wildlife, or shellfish.

                (67) "To take" and its derivatives means to kill, injure, harvest, or capture a fish, shellfish, wild animal, bird, or seaweed.
                (68) "To trap" and its derivatives means a method of hunting using devices to capture wild animals or wild birds.

                (((68))) (69) "To waste" or "to be wasted" means to allow any edible portion of any game bird, food fish, game fish, shellfish, or big game animal other than cougar to be rendered unfit for human consumption, or to fail to retrieve edible portions of such a game bird, food fish, game fish, shellfish, or big game animal other than cougar from the field.  For purposes of this chapter, edible portions of game birds must include, at a minimum, the breast meat of those birds.  Entrails, including the heart and liver, of any wildlife species are not considered edible.
                (70) "Trafficking" means offering, attempting to engage, or engaging in sale, barter, or purchase of fish, shellfish, wildlife, or deleterious exotic wildlife.

                (((69))) (71) "Unclaimed" means that no owner of the property has been identified or has requested, in writing, the release of the property to themselves nor has the owner of the property designated an individual to receive the property or paid the required postage to effect delivery of the property.

                (((70))) (72) "Unclassified wildlife" means wildlife existing in Washington in a wild state that have not been classified as big game, game animals, game birds, predatory birds, protected wildlife, endangered wildlife, or deleterious exotic wildlife.
                (73) "Unlisted aquatic animal species" means a nonnative animal species that has not been classified as a prohibited aquatic animal species, a regulated aquatic animal species, or an unregulated aquatic animal species by the commission.

                (((71))) (74) "Unregulated aquatic animal species" means a nonnative animal species that has been classified as an unregulated aquatic animal species by the commission.

                (((72))) (75) "Wholesale fish dealer" means a person who, acting for commercial purposes, takes possession or ownership of fish or shellfish and sells, barters, or exchanges or attempts to sell, barter, or exchange fish or shellfish that have been landed into the state of Washington or entered the state of Washington in interstate or foreign commerce.

                (((73))) (76) "Wild animals" means those species of the class Mammalia whose members exist in Washington in a wild state.  The term "wild animal" does not include feral domestic mammals or old world rats and mice of the family Muridae of the order Rodentia.

                (((74))) (77) "Wild birds" means those species of the class Aves whose members exist in Washington in a wild state.

                (((75))) (78) "Wildlife" means all species of the animal kingdom whose members exist in Washington in a wild state.  This includes but is not limited to mammals, birds, reptiles, amphibians, fish, and invertebrates.  The term "wildlife" does not include feral domestic mammals, old world rats and mice of the family Muridae of the order Rodentia, or those fish, shellfish, and marine invertebrates classified as food fish or shellfish by the director.  The term "wildlife" includes all stages of development and the bodily parts of wildlife members.

                (((76))) (79) "Wildlife meat cutter" means a person who packs, cuts, processes, or stores wildlife for consumption for another for commercial purposes.

                (((77))) (80) "Youth" means a person fifteen years old for fishing and under sixteen years old for hunting.

Sec. 2.  RCW 77.08.075 and 2012 c 176 s 5 are each amended to read as follows:

                For the purposes of this title or rules adopted under this title, "resident" means:

                (1) A natural person who has maintained a permanent place of abode within the state for at least ninety days immediately preceding an application for a license, has established by formal evidence an intent to continue residing within the state, is not licensed to hunt or fish as a resident in another state or country, and is not receiving resident benefits of another state or country.

                (a) For purposes of this section, "permanent place of abode" means a residence in this state that a person maintains for personal use.

                (b) A natural person can demonstrate that the person has maintained a permanent place of abode in Washington by showing that the person:

                (i) Uses a Washington state address for federal income tax or state tax purposes;

                (ii) Designates this state as the person's residence for obtaining eligibility to hold a public office or for judicial actions;

                (iii) Is a registered voter in the state of Washington; or

                (iv) Is a custodial parent with a child attending prekindergarten, kindergarten, elementary school, middle school, or high school in this state.

                (c) A natural person can demonstrate the intent to continue residing within the state by showing that he or she:

                (i) Has a valid Washington state driver's license; or

                (ii) Has a valid Washington state identification card, if the person is not eligible for a Washington state driver's license; and

                (iii) Has registered the person's vehicle or vehicles in Washington state;

                (2) The spouse of a member of the United States armed forces if the member qualifies as a resident under subsection (1), (3), or (4) of this section, or a natural person age eighteen or younger who does not qualify as a resident under subsection (1) of this section, but who has a parent or legal guardian who qualifies as a resident under subsection (1), (3), or (4) of this section;

                (3) A member of the United States armed forces temporarily stationed in Washington state on predeployment orders.  A copy of the person's military orders is required to meet this condition;

                (4) ((A)) An active duty, nonretired member of the United States armed forces who is permanently stationed in Washington ((state)) or who designates Washington ((state)) on ((their)) his or her military "state of legal residence certificate" or enlistment or re-enlistment documents.  A copy of the person's "state of legal residence certificate" or enlistment or re-enlistment documents is required to meet the conditions of this subsection.

Sec. 3.  RCW 77.15.080 and 2012 c 176 s 9 are each amended to read as follows:

                (1) Based upon articulable facts that a person is engaged in fishing, harvesting, or hunting activities, fish and wildlife officers and ex officio fish and wildlife officers have the authority to temporarily stop the person and check for valid licenses, tags, permits, stamps, or catch record cards, and to inspect all fish, shellfish, seaweed, and wildlife in possession as well as the equipment being used to ensure compliance with the requirements of this title.  Fish and wildlife officers and ex officio fish and wildlife officers also may request that the person write his or her signature for comparison with the signature on his or her fishing, harvesting, or hunting license.  Failure to comply with the request is prima facie evidence that the person is not the person named on the license.  Fish and wildlife officers and ex officio fish and wildlife officers may require the person, if age sixteen or older, to exhibit a driver's license or other photo identification.

                (2) Based upon articulable facts that a person is transporting a prohibited aquatic animal species or any aquatic plant, fish and wildlife officers and ex officio fish and wildlife officers have the authority to temporarily stop the person and inspect the watercraft to ensure that the watercraft and associated equipment are not transporting prohibited aquatic animal species or aquatic plants.

Sec. 4.  RCW 77.15.100 and 2012 c 176 s 10 are each amended to read as follows:

                (1) Fish, shellfish, and wildlife are property of the state under RCW 77.04.012.  Fish and wildlife officers may sell seized, commercially ((harvested)) taken or possessed fish and shellfish to a wholesale buyer and deposit the proceeds into the fish and wildlife enforcement reward account under RCW 77.15.425.  Seized, recreationally ((harvested)) taken or possessed fish, shellfish, and wildlife may be donated to nonprofit charitable organizations.  The charitable organization must qualify for tax-exempt status under 26 U.S.C. Sec. 501(c)(3) of the federal internal revenue code.

                (2) Unless otherwise provided in this title, fish, shellfish, or wildlife taken((,)) or possessed((, or harvested)) in violation of this title or department rule shall be forfeited to the state upon conviction or any outcome in criminal court whereby a person voluntarily enters into a disposition that continues or defers the case for dismissal upon the successful completion of specific terms or conditions.  For criminal cases resulting in other types of dispositions, the fish, shellfish, or wildlife may be returned, or its equivalent value paid, if the fish, shellfish, or wildlife have already been donated or sold.

Sec. 5.  RCW 77.15.120 and 2000 c 107 s 236 are each amended to read as follows:

                (1) A person is guilty of unlawful taking of endangered fish or wildlife in the second degree if:
                (a) The person hunts for, fishes for, possesses, maliciously harasses, or kills fish or wildlife, or ((maliciously)) possesses or intentionally destroys the nests or eggs of fish or wildlife ((and));
                (b) The fish or wildlife is designated by the commission as endangered((,)); and

(c) The taking of the fish or wildlife or the destruction of the nests or eggs has not been authorized by rule of the commission, a permit issued by the department, or a permit issued pursuant to the federal endangered species act.

                (2) A person is guilty of unlawful taking of endangered fish or wildlife in the first degree if the person has been:

                (a) Convicted under subsection (1) of this section or convicted of any crime under this title involving the ((killing, possessing, harassing, or harming)) taking, possessing, or malicious harassment of endangered fish or wildlife; and

                (b) Within five years of the date of the prior conviction the person commits the act described by subsection (1) of this section.

                (3)(a) Unlawful taking of endangered fish or wildlife in the second degree is a gross misdemeanor.

                (b) Unlawful taking of endangered fish or wildlife in the first degree is a class C felony.  The department shall revoke any licenses or tags used in connection with the crime and order the person's privileges to hunt, fish, trap, or obtain licenses under this title to be suspended for two years.

Sec. 6.  RCW 77.15.130 and 2012 c 176 s 14 are each amended to read as follows:

                (1) A person is guilty of unlawful taking of protected fish or wildlife if:

                (a) The person hunts for, fishes for, maliciously takes, harasses, or possesses((, or maliciously kills protected)) fish or wildlife, or the person possesses or maliciously destroys the eggs or nests of ((protected)) fish or wildlife designated by the commission as protected, other than species designated as threatened or sensitive, and the taking has not been authorized by rule of the commission or by a permit issued by the department; ((or))

                (b) The person violates any rule of the commission regarding the taking, ((harming, harassment)) harassing, possession, or transport of protected fish or wildlife; or
                (c)(i) The person hunts for, fishes for, intentionally takes, harasses, or possesses fish or wildlife, or the person possesses or intentionally destroys the nests or eggs of fish or wildlife designated by the commission as threatened or sensitive; and
                (ii) The taking of the fish or wildlife, or the destruction of the nests or eggs, has not been authorized by rule of the commission, a permit issued by the department, or a permit issued pursuant to the federal endangered species act.

                (2) Unlawful taking of protected fish or wildlife is a misdemeanor.

                (3) In addition to the penalties set forth in subsection (2) of this section, if a person is convicted of violating this section and the violation results in the death of protected wildlife listed in this subsection, the court shall require payment of the following amounts for each animal ((killed)) taken or possessed.  This is a criminal wildlife penalty assessment that must be paid to the clerk of the court and distributed each month to the state treasurer for deposit in the fish and wildlife enforcement reward account created in RCW 77.15.425:

                (a) Ferruginous hawk, two thousand dollars;

                (b) Common loon, two thousand dollars;

                (c) Bald eagle, two thousand dollars;

                (d) Golden eagle, two thousand dollars; and

                (e) Peregrine falcon, two thousand dollars.

                (4) If two or more persons are convicted under subsection (1) of this section, and subsection (3) of this section is applicable, the criminal wildlife penalty assessment must be imposed against the persons jointly and ((separately)) severally.

                (5)(a) The criminal wildlife penalty assessment under subsection (3) of this section must be imposed regardless of and in addition to any sentence, fines, or costs otherwise provided for violating any provision of this section.  The criminal wildlife penalty assessment must be included by the court in any pronouncement of sentence and may not be suspended, waived, modified, or deferred in any respect.

                (b) This subsection may not be construed to abridge or alter alternative rights of action or remedies in equity or under common law or statutory law, criminal or civil.

                (6) A defaulted criminal wildlife penalty assessment authorized under subsection (3) of this section may be collected by any means authorized by law for the enforcement of orders of the court or collection of a fine or costs, including but not limited to vacation of a deferral of sentencing or vacation of a suspension of sentence.

                (7) The department shall revoke the hunting license and suspend the hunting privileges of a person assessed a criminal wildlife penalty assessment under this section until the penalty assessment is paid through the registry of the court in which the penalty assessment was assessed.

                (8) The criminal wildlife penalty assessments provided in subsection (3) of this section must be doubled in the following instances:

                (a) When a person commits a violation that requires payment of a criminal wildlife penalty assessment within five years of a prior gross misdemeanor or felony conviction under this title; or

                (b) When the trier of fact determines that the person ((killed)) took or possessed the protected wildlife in question with the intent of bartering, selling, or otherwise deriving economic profit from the wildlife or wildlife parts.

Sec. 7.  RCW 77.15.160 and 2013 c 307 s 2 are each amended to read as follows:

                The following acts are infractions and must be cited and punished as provided under chapter 7.84 RCW:

                (1) Fishing and shellfishing infractions:

                (a) Barbed hooks:  Fishing for personal use with barbed hooks in violation of any department rule.

                (b) Catch recording:  Failing to immediately record a catch of fish or shellfish on a catch record card as required by RCW 77.32.430 or department rule.

                (c) Catch reporting:  Failing to return a catch record card to the department for other than Puget Sound Dungeness crab, as required by department rule.

                (d) Recreational fishing:  Fishing for fish or shellfish ((and)), without yet possessing fish or shellfish, the person:

                (i) Owns, but fails to have in the person's possession, the license or the catch record card required by chapter 77.32 RCW for such an activity; or

                (ii) Violates any department rule regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of fishing for fish or shellfish.  This subsection does not apply to use of a net to take fish under RCW 77.15.580 or the unlawful use of shellfish gear for personal use under RCW 77.15.382.

                (e) Seaweed:  Taking((,)) or possessing((, or harvesting)) less than two times the daily possession limit of seaweed:

                (i) While owning, but not having in the person's possession, the license required by chapter 77.32 RCW; or

                (ii) In violation of any rule of the department or the department of natural resources regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of taking((,)) or possessing((, or harvesting of)) seaweed.

                (f) Unclassified fish or shellfish:  Fishing for or taking unclassified fish or shellfish in violation of ((any department rule by killing, fishing, taking, holding, possessing, or maliciously injuring or harming fish or shellfish that is not classified as game fish, food fish, shellfish, protected fish, or endangered fish)) this title or department rule.

                (g) Wasting fish or shellfish:  ((Killing,)) Taking((,)) or possessing food fish, game fish, or shellfish having a value of less than two hundred fifty dollars and recklessly allowing the fish or shellfish to be wasted.

                (2) Hunting infractions:

                (a) Eggs or nests:  Maliciously, and without permit authorization, destroying, taking, or harming the eggs or active nests of a wild bird or wild animal not classified as endangered or protected.  For purposes of this subsection, "active nests" means nests that are attended by an adult or contain eggs or ((fledglings)) young.

                (b) Unclassified wildlife:  Hunting for, harassing, or taking unclassified wildlife in violation of ((any department rule by killing, hunting, taking, holding, possessing, or maliciously injuring or harming wildlife that is not classified as big game, game animals, game birds, protected wildlife, or endangered wildlife)) this title or department rule.

                (c) Wasting wildlife:  ((Killing,)) Taking((,)) or possessing wildlife ((that is not)) classified as ((big)) game birds and ((has)) having a value of less than two hundred fifty dollars, and recklessly allowing the ((wildlife)) game birds to be wasted.

                (d) Wild animals:  Hunting for wild animals not classified as big game or threatened or endangered and, without yet possessing the wild animals, the person owns, but fails to have in the person's possession, all licenses, tags, or permits required by this title.

                (e) Wild birds:  Hunting for and, without yet possessing a wild bird or birds, the person:

                (i) Owns, but fails to have in the person's possession, all licenses, tags, stamps, and permits required under this title; or

                (ii) Violates any department rule regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of hunting wild birds.

                (3) Trapping, taxidermy, fur dealing, ((and)) wildlife meat cutting, and wildlife rehabilitator infractions:

                (a) Recordkeeping and reporting:  If a person is a taxidermist, fur dealer, or wildlife meat cutter who is processing, holding, or storing wildlife for commercial purposes, failing to:

                (i) Maintain records as required by department rule; or

                (ii) Report information from these records as required by department rule.

                (b) Trapper's report:  Failing to report trapping activity as required by department rule.

(c) Wildlife rehabilitator's recordkeeping and reporting:  If a person is a primary permittee or a subpermittee on a wildlife rehabilitation permit issued by the department, failing to:
                (i) Maintain records as required by department rule; or
                (ii) Report information from these records as required by department rule.

                (4) Aquatic invasive species infraction:  Entering Washington by road and transporting a recreational or commercial watercraft that has been used outside of Washington without meeting documentation requirements as provided under RCW 77.12.879.

                (5) Other infractions:

                (a) Contests:  Unlawfully conducting, holding, or sponsoring a hunting contest, a fishing contest involving game fish, or a competitive field trial using live wildlife.

                (b) Other rules:  Violating any other department rule that is designated by rule as an infraction.

                (c) Posting signs:  Posting signs preventing hunting or fishing on any land not owned or leased by the person doing the posting, or without the permission of the person who owns, leases, or controls the land posted.

                (d) Scientific permits:  Using a scientific permit issued by the director for fish, shellfish, or wildlife, but not including big game or big game parts, and the person:

                (i) Violates any terms or conditions of the scientific permit; or

                (ii) Violates any department rule applicable to the issuance or use of scientific permits.

                (e) Transporting aquatic plants:  Unlawfully transporting aquatic plants on any state or public road, including forest roads.  However:

                (i) This subsection does not apply to plants that are:

                (A) Being transported to the department or to another destination designated by the director, in a manner designated by the department, for purposes of identifying a species or reporting the presence of a species;

                (B) Legally obtained for aquarium use, wetland or lakeshore restoration, or ornamental purposes;

                (C) Located within or on a commercial aquatic plant harvester that is being transported to a suitable location to remove aquatic plants;

                (D) Being transported in a manner that prevents their unintentional dispersal, to a suitable location for disposal, research, or educational purposes; or

                (E) Being transported in such a way as the commission may otherwise prescribe; and

                (ii) This subsection does not apply to a person who:

                (A) Is stopped at an aquatic invasive species check station and possesses a recreational or commercial watercraft that is contaminated with an aquatic invasive plant species if that person complies with all department directives for the proper decontamination of the watercraft and equipment; or

                (B) Has voluntarily submitted a recreational or commercial watercraft for inspection by the department or its designee and has received a receipt verifying that the watercraft has not been contaminated since its last use.

Sec. 8.  RCW 77.15.170 and 2012 c 176 s 16 are each amended to read as follows:

                (1) A person is guilty of waste of fish and wildlife if the person:

                (a) ((The person kills,)) Takes((,)) or possesses wildlife classified as food fish, game fish, shellfish, or ((wildlife)) game birds having a value of two hundred fifty dollars or more, or wildlife classified as big game; and

                (b) ((The person)) Recklessly allows such fish, shellfish, or wildlife to be wasted.

                (2) Waste of fish and wildlife is a gross misdemeanor.  Upon conviction, the department shall revoke any license or tag used in the crime and shall order suspension of the person's privileges to engage in the activity in which the person committed waste of fish and wildlife for a period of one year.

                (3) It is prima facie evidence of waste if:

                (a) A processor purchases or engages a quantity of food fish, shellfish, or game fish that cannot be processed within sixty hours after the food fish, game fish, or shellfish are taken from the water, unless the food fish, game fish, or shellfish are preserved in good marketable condition; or

                (b) A person brings a big game animal to a wildlife meat cutter and then abandons the animal.  For purposes of this subsection (3)(b), a big game animal is deemed to be abandoned when its carcass is placed in the custody of a wildlife meat cutter for butchering and processing and:

                (i) Having been placed in such custody for an unspecified period of time, the meat is not removed within thirty days after the wildlife meat cutter gives notice to the person who brought in the carcass or, having been so notified, the person who brought in the carcass refuses or fails to pay the agreed upon or reasonable charges for the butchering or processing of the carcass; or

                (ii) Having been placed in such custody for a specified period of time, the meat is not removed at the end of the specified period or the person who brought in the carcass refuses to pay the agreed upon or reasonable charges for the butchering or processing of the carcass.

Sec. 9.  RCW 77.15.180 and 2001 c 253 s 29 are each amended to read as follows:

                (1) A person is guilty of unlawful interference with fishing or hunting gear in the second degree if the person:

                (a) ((Takes)) Removes or releases a wild animal from another person's trap without permission;

                (b) Springs, pulls up, damages, possesses, or destroys another person's trap without the owner's permission; or

                (c) Interferes with recreational gear used to take fish or shellfish.

                (2) Unlawful interference with fishing or hunting gear in the second degree is a misdemeanor.

                (3) A person is guilty of unlawful interference with fishing or hunting gear in the first degree if the person:

                (a) ((Takes)) Removes or releases fish or shellfish from commercial fishing gear without the owner's permission; or

                (b) Intentionally destroys or interferes with commercial fishing gear.

                (4) Unlawful interference with fishing or hunting gear in the first degree is a gross misdemeanor.

                (5) A person is not in violation of unlawful interference with fishing or hunting gear if the person removes a trap placed on property owned, leased, or rented by the person.

Sec. 10.  RCW 77.15.190 and 2012 c 176 s 17 are each amended to read as follows:

                (1) A person is guilty of unlawful trapping if the person:

                (a) Sets out traps that are capable of taking wild animals, wild birds, game animals, or furbearing mammals and does not possess ((all)) the licenses, tags, or permits required under this title;

                (b) Violates any department rule regarding seasons, bag, or possession limits, closed areas including game reserves, closed times, or any other rule governing the trapping of wild animals or wild birds, with the exception of reporting rules; or

                (c) Fails to identify the owner of the traps or devices by neither (i) attaching a metal tag with the owner's department-assigned identification number or the name and address of the trapper legibly written in numbers or letters not less than one-eighth inch in height nor (ii) inscribing into the metal of the trap such number or name and address.

                (2) Unlawful trapping is a misdemeanor.

Sec. 11.  RCW 77.15.240 and 2012 c 176 s 18 are each amended to read as follows:

                (1)(a) A person is guilty of unlawful use of dogs if the person:

                (((a))) (i) Negligently fails to prevent a dog under the person's control from pursuing, harassing, attacking, or killing deer, elk, moose, caribou, mountain sheep, or animals classified as endangered under this title; or

                (((b))) (ii) Uses the dog to hunt deer or elk.

                (((2))) (b) For the purposes of this subsection, a dog is "under a person's control" if the dog is owned or possessed by, or in the custody of, a person.

                (((3))) (2) Unlawful use of dogs is a misdemeanor.

                (((4))) (3)(a) Based on a reasonable belief that a dog is pursuing, harassing, attacking, or killing a ((snow bound)) deer, elk, moose, caribou, mountain sheep, or animals classified as protected or endangered under this title, fish and wildlife officers and ex officio fish and wildlife officers may:

                (i) Lawfully take a dog into custody; or

                (ii) If necessary to avoid repeated harassment, injury, or death of wildlife under this section, destroy the dog.

                (b) Fish and wildlife officers and ex officio fish and wildlife officers who destroy a dog pursuant to this section are immune from civil or criminal liability arising from their actions.

(4)(a) This section does not apply to a person using a dog to conduct a department-approved and controlled hazing activity, as long as the person prevents or minimizes physical contact between the dog and the wildlife, and the hazing is being done only for the purposes of wildlife control and the prevention of damage to commercial crops.
                (b) For the purposes of this subsection, "hazing" means the act of chasing or herding wildlife in an effort to move them from one location to another.

Sec. 12.  RCW 77.15.250 and 2001 c 253 s 32 are each amended to read as follows:

                (1)(a) A person is guilty of unlawfully releasing, planting, possessing, or placing fish, shellfish, or wildlife if the person knowingly releases, plants, possesses, or places live fish, shellfish, wildlife, or aquatic plants within the state in violation of this title or rule of the department, and the fish, shellfish, or wildlife have not been classified as deleterious wildlife.  This subsection does not apply to a release of game fish into private waters for which a game fish stocking permit has been obtained, or the planting of fish or shellfish by permit of the commission.

                (b) A violation of this subsection is a gross misdemeanor.  In addition, the department shall order the person to pay all costs the department incurred in capturing, killing, or controlling the fish, shellfish, aquatic plants, ((or wildlife released or its progeny)) wildlife, or progeny unlawfully released, planted, possessed, or placed.  This does not affect the existing authority of the department to bring a separate civil action to recover costs of capturing, killing, or controlling the fish, shellfish, aquatic plants, ((or)) wildlife ((released or their progeny, or restoration of habitat necessitated by the unlawful release)), or progeny unlawfully released, planted, possessed, or placed, or the costs of habitat restoration necessitated by the unlawful release, planting, possession, or placing.

                (2)(a) A person is guilty of ((unlawful release of)) unlawfully releasing, planting, possessing, or placing deleterious exotic wildlife if the person knowingly releases, plants, possesses, or places live fish, shellfish, or wildlife within the state in violation of this title or rule of the department, and ((such)) the fish, shellfish, or wildlife ((has)) have been classified as deleterious exotic wildlife by rule of the commission.

                (b) A violation of this subsection is a class C felony.  In addition, the department shall ((also)) order the person to pay all costs the department incurred in capturing, killing, or controlling the fish, shellfish, ((or)) wildlife ((released or its progeny)), or progeny unlawfully released, planted, possessed, or placed.  This does not affect the existing authority of the department to bring a separate civil action to recover costs of capturing, killing, or controlling the fish, shellfish, ((or wildlife released or their progeny, or restoration of habitat necessitated by the unlawful release)) wildlife, or progeny unlawfully released, planted, possessed, or placed, or the costs of habitat restoration necessitated by the unlawful release, planting, possession, or placing.

Sec. 13.  RCW 77.15.370 and 2012 c 176 s 22 are each amended to read as follows:

                (1) A person is guilty of unlawful recreational fishing in the first degree if:

                (a) The person takes((,)) or possesses((, or retains)) two times or more than the bag limit or possession limit of fish or shellfish allowed by any rule of the director or commission setting the amount of food fish, game fish, or shellfish that can be taken((,)) or possessed((, or retained)) for noncommercial use;

                (b) The person fishes in a fishway;

                (c) The person shoots, gaffs, snags, snares, spears, dipnets, or stones fish or shellfish in state waters, or possesses fish or shellfish taken by such means, unless such means are authorized by express department rule;

                (d) The person fishes for or possesses a fish listed as threatened or endangered in 50 C.F.R. Sec. 223.102 (2006) or Sec. 224.101 (2010), unless fishing for or ((possession of)) possessing such fish is specifically allowed under federal or state law;

                (e) The person possesses a white sturgeon measuring in excess of the maximum size limit as established by rules adopted by the department; ((or))

                (f) ((The person possesses a salmon or steelhead during a season closed for that species)) The person possesses a green sturgeon of any size; or
                (g)(i) The person possesses a wild salmon or wild steelhead during a season closed for wild salmon or wild steelhead.
                (ii) For the purposes of this subsection:
                (A) "Wild salmon" means a salmon with an unclipped adipose fin, regardless of whether the salmon's ventral fin is clipped.
                (B) "Wild steelhead" means a steelhead with no fins clipped.

                (2) Unlawful recreational fishing in the first degree is a gross misdemeanor.

(3) In addition to the penalties set forth in subsection (2) of this section, if a person is convicted of violating this section and the violation results in the death of fish listed in this subsection, the court shall require payment of the following amounts for each fish taken or possessed.  This is a criminal wildlife penalty assessment that must be paid to the clerk of the court and distributed each month to the state treasurer for deposit in the fish and wildlife enforcement reward account created in RCW 77.15.425:
                (a) White sturgeon longer than fifty-five inches in fork length, two thousand dollars;
                (b) Green sturgeon, two thousand dollars; and
                (c) Wild salmon or wild steelhead, five hundred dollars.
                (4) If two or more persons are convicted under subsection (1) of this section, and subsection (3) of this section is applicable, the criminal wildlife penalty assessment must be imposed against the persons jointly and severally.
                (5)(a) The criminal wildlife penalty assessment under subsection (3) of this section must be imposed regardless of and in addition to any sentence, fines, or costs otherwise provided for violating any provision of this section.  The criminal wildlife penalty assessment must be included by the court in any pronouncement of sentence and may not be suspended, waived, modified, or deferred in any respect.
                (b) This subsection may not be construed to abridge or alter alternative rights of action or remedies in equity or under common law or statutory law, criminal or civil.
                (6) A defaulted criminal wildlife penalty assessment authorized under subsection (3) of this section may be collected by any means authorized by law for the enforcement of orders of the court or collection of a fine or costs, including but not limited to vacation of a deferral of sentencing or vacation of a suspension of sentence.
                (7) The department shall revoke the fishing license and suspend the fishing privileges of a person assessed a criminal wildlife penalty assessment under this section until the penalty assessment is paid through the registry of the court in which the penalty assessment was assessed.
                (8) The criminal wildlife penalty assessments provided in subsection (3) of this section must be doubled in the following instances:
                (a) When a person commits a violation that requires payment of a criminal wildlife penalty assessment within five years of a prior gross misdemeanor or felony conviction under this title; or
                (b) When the trier of fact determines that the person took or possessed the fish in question with the intent of bartering, selling, or otherwise deriving economic profit from the fish or fish parts.

Sec. 14.  RCW 77.15.380 and 2012 c 176 s 23 are each amended to read as follows:

                (1) A person is guilty of unlawful recreational fishing in the second degree if the person fishes for fish or shellfish and, whether or not the person possesses fish or shellfish, the person has not purchased the appropriate fishing or shellfishing license and catch record card issued to Washington residents or nonresidents under chapter 77.32 RCW.

                (2) A person is guilty of unlawful recreational fishing in the second degree if the person takes((,)) or possesses((, or harvests)) fish or shellfish and:

                (a) The person owns, but does not have in the person's possession, the license or the catch record card required by chapter 77.32 RCW for such activity; or

                (b) The action violates any department rule regarding seasons, bag or possession limits but less than two times the bag or possession limit, closed areas, closed times, or any other rule addressing the manner or method of fishing for, taking, or ((possession of)) possessing fish or shellfish.  This section does not apply to use of a net to take fish under RCW 77.15.580 or the unlawful use of shellfish gear for personal use under RCW 77.15.382.

                (3) Unlawful recreational fishing in the second degree is a misdemeanor.

Sec. 15.  RCW 77.15.390 and 2012 c 176 s 24 are each amended to read as follows:

                (1) A person is guilty of unlawful taking of seaweed if the person takes((,)) or possesses((, or harvests)) seaweed and:

                (a) The person has not purchased a personal use shellfish and seaweed license issued to Washington residents or nonresidents under chapter 77.32 RCW; or

                (b) The person takes((,)) or possesses((, or harvests)) seaweed in an amount that is two times or more of the daily possession limit of seaweed.

                (2) Unlawful taking of seaweed is a misdemeanor.  This does not affect rights of the state to recover civilly for trespass, conversion, or theft of state-owned valuable materials.

Sec. 16.  RCW 77.15.420 and 2005 c 406 s 5 are each amended to read as follows:

                (1) If a person is convicted of violating RCW 77.15.410 and that violation results in the death of wildlife listed in this section, the court shall require payment of the following amounts for each animal ((killed)) taken or possessed.  This shall be a criminal wildlife penalty assessment that shall be paid to the clerk of the court and distributed each month to the state treasurer for deposit in the fish and wildlife enforcement reward account created in RCW 77.15.425.

 

(a)

Moose, mountain sheep, mountain

                goat, and all wildlife species

                classified as endangered by rule

                of the commission, except for

                mountain caribou and grizzly

                bear as listed under (d) of this

                subsection              

 

 

 

 

 

 

$4,000

(b)

Elk, deer, black bear, and cougar          

$2,000

(c)

Trophy animal elk and deer   

$6,000

(d)

Mountain caribou, grizzly bear, and

                trophy animal mountain sheep               

 

$12,000

 

 

                (2) ((No forfeiture of bail may be less than the amount of the bail established for hunting during closed season plus the amount of the criminal wildlife penalty assessment in subsection (1) of this section.
                (3))) (a) For the purpose of this section a "trophy animal" is:

                (((a))) (i) A buck deer with four or more antler points on both sides, not including eyeguards;

                (((b))) (ii) A bull elk with five or more antler points on both sides, not including eyeguards; or

                (((c))) (iii) A mountain sheep with a horn curl of three-quarter curl or greater.

(b) For purposes of this subsection, "eyeguard" means an antler protrusion on the main beam of the antler closest to the eye of the animal.

                (((4))) (3) If two or more persons are convicted of illegally possessing wildlife in subsection (1) of this section, the criminal wildlife penalty assessment shall be imposed on them jointly and ((separately)) severally.

                (((5))) (4) The criminal wildlife penalty assessment shall be imposed regardless of and in addition to any sentence, fines, or costs otherwise provided for violating any provision of this title.  The criminal wildlife penalty assessment shall be included by the court in any pronouncement of sentence and may not be suspended, waived, modified, or deferred in any respect.  This section may not be construed to abridge or alter alternative rights of action or remedies in equity or under common law or statutory law, criminal or civil.

                (((6))) (5) A defaulted criminal wildlife penalty assessment may be collected by any means authorized by law for the enforcement of orders of the court or collection of a fine or costs, including but not limited to vacation of a deferral of sentencing or vacation of a suspension of sentence.

                (((7))) (6) A person assessed a criminal wildlife penalty assessment under this section shall have his or her hunting license revoked and all hunting privileges suspended until the penalty assessment is paid through the registry of the court in which the penalty assessment was assessed.

                (((8))) (7) The criminal wildlife penalty assessments provided in subsection (1) of this section shall be doubled in the following instances:

                (a) When a person is convicted of spotlighting big game under RCW 77.15.450;

                (b) When a person commits a violation that requires payment of a wildlife penalty assessment within five years of a prior gross misdemeanor or felony conviction under this title;

                (c) When the trier of fact determines that the person ((killed)) took or possessed the animal in question with the intent of bartering, selling, or otherwise deriving economic profit from the animal or the animal's parts; or

                (d) When ((a)) the trier of fact determines that the person ((kills)) took the animal under the supervision of a licensed guide.

Sec. 17.  RCW 77.15.425 and 2009 c 333 s 18 are each amended to read as follows:

                The fish and wildlife enforcement reward account is created in the custody of the state treasurer.  Deposits to the account include:  Receipts from fish and shellfish overages as a result of a department enforcement action; fees for hunter education deferral applications; fees for master hunter applications and master hunter certification renewals; all receipts from criminal wildlife penalty assessments under RCW 77.15.370, 77.15.400, and 77.15.420; all receipts of court-ordered restitution or donations associated with any fish, shellfish, or wildlife enforcement action; and proceeds from forfeitures and evidence pursuant to RCW 77.15.070 and 77.15.100.  The department may accept money or personal property from persons under conditions requiring the property or money to be used consistent with the intent of expenditures from the fish and wildlife enforcement reward account.  Expenditures from the account may be used only for investigation and prosecution of fish and wildlife offenses, to provide rewards to persons informing the department about violations of this title and rules adopted under this title, to offset department-approved costs incurred to administer the hunter education deferral program and the master hunter (([permit])) permit program, and for other valid enforcement uses as determined by the commission.  Only the director or the director's designee may authorize expenditures from the account.  The account is subject to allotment procedures under chapter 43.88 RCW, but an appropriation is not required for expenditures.

Sec. 18.  RCW 77.15.460 and 2012 c 176 s 28 are each amended to read as follows:

                (1) A person is guilty of unlawful possession of a loaded rifle or shotgun in a motor vehicle, as defined in RCW 46.04.320, or upon an off-road vehicle, as defined in RCW 46.04.365, if:

                (a) The person carries, transports, conveys, possesses, or controls a rifle or shotgun in a motor vehicle, or upon an off-road vehicle, except as allowed by department rule; and

                (b) The rifle or shotgun contains shells or cartridges in the magazine or chamber, or is a muzzle-loading firearm that is loaded and capped or primed.

                (2) A person is guilty of unlawful use of a loaded firearm if:

                (a) The person negligently discharges a firearm from, across, or along the maintained portion of a public highway; or

                (b) The person discharges a firearm from within a moving motor vehicle or from upon a moving off-road vehicle.

                (3) Unlawful possession of a loaded rifle or shotgun in a motor vehicle or upon an off-road vehicle, and unlawful use of a loaded firearm are misdemeanors.

                (4) This section does not apply if the person:

                (a) Is a law enforcement officer who is authorized to carry a firearm and is on duty within the officer's respective jurisdiction;

                (b) Possesses a disabled hunter's permit as provided by RCW 77.32.237 and complies with all rules of the department concerning hunting by persons with disabilities; or

                (c) Discharges the rifle or shotgun from upon a nonmoving motor vehicle ((or a nonmoving off-road vehicle)), as long as the engine is turned off and the motor vehicle ((or off-road vehicle)) is not parked on or beside the maintained portion of a public road, except as authorized by the commission by rule.  This subsection (4)(c) does not apply to off-road vehicles, which are unlawful to use for hunting under RCW 46.09.480, unless the person has a department permit issued under RCW 77.32.237.

                (5) For purposes of subsection (1) of this section, a rifle or shotgun shall not be considered loaded if the detachable clip or magazine is not inserted in or attached to the rifle or shotgun.

Sec. 19.  RCW 77.15.470 and 2000 c 107 s 246 are each amended to read as follows:

                (1) A person is guilty of unlawfully avoiding wildlife check stations or field inspections if the person fails to:

                (a) Obey check station signs;

                (b) Stop and report at a check station if directed to do so by a uniformed fish and wildlife officer or if directed by an ex officio fish and wildlife officer participating in a department-authorized check station; or

                (c) Produce for inspection upon request by a fish and wildlife officer or ex officio fish and wildlife officer:  (i) Hunting or fishing equipment; (ii) seaweed, fish, shellfish, or wildlife; or (iii) licenses, permits, tags, stamps, or catch record cards required by this title.

                (2) Unlawfully avoiding wildlife check stations or field inspections is a gross misdemeanor.

                (3) Wildlife check stations may not be established upon interstate highways or state routes.

Sec. 20.  RCW 77.15.480 and 2001 c 253 s 42 are each amended to read as follows:

                Articles or devices unlawfully used, possessed, or maintained for ((catching,)) taking, ((killing,)) harassing, attracting, or decoying wildlife, fish, and shellfish are public nuisances.  If necessary, fish and wildlife officers and ex officio fish and wildlife officers may seize, abate, or destroy these public nuisances without warrant or process.

Sec. 21.  RCW 77.15.630 and 2012 c 176 s 31 are each amended to read as follows:

                (1) A person ((who acts in the capacity of a wholesale fish dealer, anadromous game fish buyer, or a fish buyer is guilty of unlawful fish and shellfish catch accounting in the second degree if the person:
                (a) Possesses or receives fish or shellfish for commercial purposes worth less than two hundred fifty dollars; and
                (b))) licensed as a commercial fisher, wholesale fish dealer, direct retail seller, anadromous game fish buyer, or a fish buyer, or a person not so licensed but acting in such a capacity, is guilty of unlawful fish and shellfish catch accounting in the second degree if he or she receives or delivers for commercial purposes fish or shellfish worth less than two hundred fifty dollars; and
                (a) Fails to document such fish or shellfish with a fish-receiving ticket or other documentation required by statute or department rule; ((or
                (c))) (b) Fails to sign the fish receiving ticket or other required documentation, fails to provide all of the information required by statute or department rule on the fish receiving ticket or other documentation, or both; or
                (c) Fails to submit the fish receiving ticket to the department as required by statute or department rule.

                (2) A person is guilty of unlawful fish and shellfish catch accounting in the first degree if the person commits ((the)) an act described by subsection (1) of this section and:

                (a) The violation involves fish or shellfish worth two hundred fifty dollars or more;

                (b) The person acted with knowledge that the fish or shellfish were taken from a closed area, at a closed time, or by a person not licensed to take such fish or shellfish for commercial purposes; or

                (c) The person acted with knowledge that the fish or shellfish were taken in violation of any tribal law.

                (3)(a) Unlawful fish and shellfish catch accounting in the second degree is a gross misdemeanor.

                (b) Unlawful fish and shellfish catch accounting in the first degree is a class C felony.  Upon conviction, the department shall suspend all privileges to engage in fish buying or dealing for two years.

(4) For the purposes of this section:
                (a) A person "receives" fish or shellfish when title or control of the fish or shellfish is transferred or conveyed to the person.
                (b) A person "delivers" fish or shellfish when title or control of the fish or shellfish is transferred or conveyed from the person.

Sec. 22.  RCW 77.15.740 and 2012 c 176 s 37 are each amended to read as follows:

                (1) Except as provided in subsection (2) of this section, it is unlawful to:

                (a) Cause a vessel or other object to approach, in any manner, within two hundred yards of a southern resident orca whale;

                (b) Position a vessel to be in the path of a southern resident orca whale at any point located within four hundred yards of the whale.  This includes intercepting a southern resident orca whale by positioning a vessel so that the prevailing wind or water current carries the vessel into the path of the whale at any point located within four hundred yards of the whale;

                (c) Fail to disengage the transmission of a vessel that is within two hundred yards of a southern resident orca whale; or

                (d) Feed a southern resident orca whale.

                (2) A person is exempt from subsection (1) of this section if that person is:

                (a) Operating a federal government vessel in the course of his or her official duties, or operating a state, tribal, or local government vessel when engaged in official duties involving law enforcement, search and rescue, or public safety;

                (b) Operating a vessel in conjunction with a vessel traffic service established under 33 C.F.R. and following a traffic separation scheme, or complying with a vessel traffic service measure of direction.  This also includes support vessels escorting ships in the traffic lanes, such as tug boats;

                (c) Engaging in an activity, including scientific research, pursuant to a permit or other authorization from the national marine fisheries service and the department;

                (d) Lawfully engaging in a treaty Indian or commercial fishery that is actively setting, retrieving, or closely tending fishing gear;

                (e) Conducting vessel operations necessary to avoid an imminent and serious threat to a person, vessel, or the environment, including when necessary for overall safety of navigation and to comply with state and federal navigation requirements; or

                (f) Engaging in rescue or clean-up efforts of a beached southern resident orca whale overseen, coordinated, or authorized by a volunteer stranding network.

                (3) For the purpose of this section, "vessel" includes aircraft((, canoes, fishing vessels, kayaks, personal watercraft, rafts, recreational vessels, tour boats, whale watching boats, vessels engaged in whale watching activities, or other small craft including power boats and sailboats)) while on the surface of the water, and every description of watercraft on the water that is used or capable of being used as a means of transportation on the water.  However, "vessel" does not include inner tubes, air mattresses, sailboards, and small rafts, or flotation devices or toys customarily used by swimmers.

                (4)(a) A violation of this section is a natural resource infraction punishable under chapter 7.84 RCW and carries a fine of five hundred dollars, not including statutory assessments added pursuant to RCW 3.62.090.

                (b) A person who qualifies for an exemption under subsection (2) of this section may offer that exemption as an affirmative defense, which that person must prove by a preponderance of the evidence.

Sec. 23.  RCW 77.15.770 and 2011 c 324 s 2 are each amended to read as follows:

                (1) Except as otherwise provided in this section, a person is guilty of unlawful trade in shark fins in the second degree if:

                (a) The person sells, offers for sale, purchases, offers to purchase, or otherwise exchanges a shark fin or shark fin derivative product for commercial purposes; or

                (b) The person prepares or processes a shark fin or shark fin derivative product for human or animal consumption for commercial purposes.

                (2) Except as otherwise provided in this section, a person is guilty of unlawful trade in shark fins in the first degree if:

                (a) The person commits the act described by subsection (1) of this section and the violation involves shark fins or a shark fin derivative product with a total market value of two hundred fifty dollars or more;

                (b) The person commits the act described by subsection (1) of this section and acted with knowledge that the shark fin or shark fin derivative product originated from a shark that was harvested in an area or at a time where or when the harvest was not legally allowed or by a person not licensed to harvest the shark; or

                (c) The person commits the act described by subsection (1) of this section and the violation occurs within five years of entry of a prior conviction under this section or a prior conviction for any other gross misdemeanor or felony under this title involving fish, other than a recreational fishing violation.

                (3)(a) Unlawful trade in shark fins in the second degree is a gross misdemeanor.  Upon conviction, the department shall suspend any commercial fishing privileges for the person that requires a license under this title for a period of one year.

                (b) Unlawful trade in shark fins in the first degree is a class C felony.  Upon conviction, the department shall suspend any commercial fishing privileges for the person that requires a license under this title for a period of one year.

                (4) Any person who obtains a license or permit issued by the department to take or possess sharks or shark parts for bona fide research or educational purposes, and who sells, offers for sale, purchases, offers to purchase, or otherwise trades a shark fin or shark fin derivative product, exclusively for bona fide research or educational purposes, may not be held liable under or subject to the penalties of this section.

                (((5) Nothing in this section prohibits the sale, offer for sale, purchase, offer to purchase, or other exchange of shark fins or shark fin derivative products for commercial purposes, or preparation or processing of shark fins or shark fin derivative products for purposes of human or animal consumption for commercial purposes, if the shark fins or shark fin derivative products were lawfully harvested or lawfully acquired prior to July 22, 2011.))

NEW SECTION.  Sec. 24.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) It is unlawful for any person to possess in Washington any fish, shellfish, or wildlife that the person knows was taken in another state or country in violation of that state's or country's laws or regulations relating to licenses or tags, seasons, areas, methods, or bag or possession limits.

                (2) As used in this section, the terms "fish," "shellfish," and "wildlife" have the meaning ascribed to those terms in the applicable law or regulation of the state or country of the fish's, shellfish's, or wildlife's origin.

                (3) Unlawful possession of fish, shellfish, or wildlife taken or possessed in violation of another state's or country's laws or regulations is a gross misdemeanor.

NEW SECTION.  Sec. 25.  A new section is added to chapter 77.15 RCW to read as follows:

                (1)(a) A person is guilty of engaging in wildlife rehabilitation without a permit if the person captures, transports, treats, feeds, houses, conditions, or trains injured, diseased, oiled, or abandoned wildlife without department authority for temporary actions or a wildlife rehabilitation permit issued by the department.

                (b) The department must adopt rules for permissible temporary actions that include, at a minimum, the conditions under which a person may capture or transport wildlife to a primary permitee, subpermittee, or a rehabilitation facility.

                (2) A person who is a primary permittee or subpermittee on a wildlife rehabilitation permit issued by the department is guilty of unlawful use of a wildlife rehabilitation permit if the person violates any permit provisions or department rules pertaining to wildlife rehabilitation other than those addressing recordkeeping and reporting requirements.

                (3) A violation of this section is a misdemeanor.

Sec. 26.  RCW 77.32.010 and 2011 c 320 s 19 are each amended to read as follows:

                (1) Except as otherwise provided in this chapter or department rule, a recreational license issued by the director is required to hunt ((for or take wild animals or wild birds, fish for, take, or harvest fish, shellfish, and)), fish, or take wildlife or seaweed.  A recreational fishing or shellfish license is not required for carp, smelt, and crawfish, and a hunting license is not required for bullfrogs.

                (2) A pass or permit issued under RCW 79A.80.020, 79A.80.030, or 79A.80.040 is required to park or operate a motor vehicle on a recreation site or lands, as defined in RCW 79A.80.010.

                (3) ((During the 2009-2011 fiscal biennium to enable the implementation of the pilot project established in section 307, chapter 329, Laws of 2008,)) The commission may, by rule, indicate that a fishing permit issued to a nontribal member by the Colville Tribes shall satisfy the license requirements in subsection (1) of this section on the waters of Lake Rufus Woods and on the north shore of Lake Rufus Woods, and that a Colville Tribes tribal member identification card shall satisfy the license requirements in subsection (1) of this section on all waters of Lake Rufus Woods.

Sec. 27.  RCW 77.65.280 and 2013 c 23 s 244 are each amended to read as follows:

(1) A wholesale fish dealer's license is required for:

                (((1))) (a) A business in the state to engage in the commercial processing of food fish or shellfish, including custom canning or processing of personal use food fish or shellfish.

                (((2))) (b) A business in the state to engage in the wholesale selling, buying, or brokering of food fish or shellfish.  A wholesale fish dealer's license is not required of those businesses which buy exclusively from Washington licensed wholesale dealers and sell solely at retail.

                (((3))) (c) Fishers who land and sell their catch or harvest in the state to anyone other than a licensed wholesale dealer within or outside the state, unless the fisher has a direct retail endorsement.

                (((4))) (d) A business to engage in the commercial manufacture or preparation of fertilizer, oil, meal, caviar, fish bait, or other by-products from food fish or shellfish.

                (((5))) (e) A business ((employing)) engaging a fish buyer as defined under RCW 77.65.340.

(2) The annual license fee for a wholesale dealer is two hundred fifty dollars.  The application fee is one hundred five dollars.  A wholesale fish dealer's license is not required for persons engaged in the processing, wholesale selling, buying, or brokering of private sector cultured aquatic products as defined in RCW 15.85.020.  However, if a means of identifying such products is required by rules adopted under RCW 15.85.060, the exemption from licensing requirements established by this subsection applies only if the aquatic products are identified in conformance with those rules.

Sec. 28.  RCW 77.65.340 and 2013 c 23 s 245 are each amended to read as follows:

                (1) A fish buyer's license is required of and shall be carried by each individual engaged by a wholesale fish dealer to purchase food fish or shellfish from a ((licensed)) commercial fisher.  A fish buyer may represent only one wholesale fish dealer.

                (2) The annual fee for a fish buyer's license is ninety-five dollars.  The application fee is one hundred five dollars.

NEW SECTION.  Sec. 29.  RCW 77.15.560 (Commercial fish, shellfish harvest or delivery‑-Failure to report‑-Penalty) and 1998 c 190 s 41 are each repealed.

NEW SECTION.  Sec. 30.  If any provision of this act or its application to any person or circumstance is held invalid, the remainder of the act or the application of the provision to other persons or circumstances is not affected."

                Correct the title.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 31.  RCW 77.08.010 and 2012 c 176 s 4 are each reenacted and amended to read as follows:

                The definitions in this section apply throughout this title or rules adopted under this title unless the context clearly requires otherwise.

                (1) "Anadromous game fish buyer" means a person who purchases or sells steelhead trout and other anadromous game fish harvested by Indian fishers lawfully exercising fishing rights reserved by federal statute, treaty, or executive order, under conditions prescribed by rule of the director.

                (2) "Angling gear" means a line attached to a rod and reel capable of being held in hand while landing the fish or a hand-held line operated without rod or reel.

                (3) "Aquatic invasive species" means any invasive, prohibited, regulated, unregulated, or unlisted aquatic animal or plant species as defined under subsections (4), (34), (49), (53), (((70))) (73), and (((71))) (74) of this section, aquatic noxious weeds as defined under RCW 17.26.020(5)(c), and aquatic nuisance species as defined under RCW 77.60.130(1).

                (4) "Aquatic plant species" means an emergent, submersed, partially submersed, free-floating, or floating-leaving plant species that grows in or near a body of water or wetland.

                (5) "Bag limit" means the maximum number of game animals, game birds, or game fish which may be taken, caught, killed, or possessed by a person, as specified by rule of the commission for a particular period of time, or as to size, sex, or species.

                (6) "Building" means a private domicile, garage, barn, or public or commercial building.

                (7) "Closed area" means a place where the hunting of some or all species of wild animals or wild birds is prohibited.

                (8) "Closed season" means all times, manners of taking, and places or waters other than those established by rule of the commission as an open season.  "Closed season" also means all hunting, fishing, taking, or possession of game animals, game birds, game fish, food fish, or shellfish that do not conform to the special restrictions or physical descriptions established by rule of the commission as an open season or that have not otherwise been deemed legal to hunt, fish, take, harvest, or possess by rule of the commission as an open season.

                (9) "Closed waters" means all or part of a lake, river, stream, or other body of water, where fishing or harvesting is prohibited.

                (10) "Commercial" means related to or connected with buying, selling, or bartering.

                (11) "Commission" means the state fish and wildlife commission.

                (12) "Concurrent waters of the Columbia river" means those waters of the Columbia river that coincide with the Washington-Oregon state boundary.

                (13) "Contraband" means any property that is unlawful to produce or possess.

                (14) "Deleterious exotic wildlife" means species of the animal kingdom not native to Washington and designated as dangerous to the environment or wildlife of the state.

                (15) "Department" means the department of fish and wildlife.

                (16) "Director" means the director of fish and wildlife.

                (17) "Endangered species" means wildlife designated by the commission as seriously threatened with extinction.

                (18) "Ex officio fish and wildlife officer" means:

                (a) A commissioned officer of a municipal, county, or state agency having as its primary function the enforcement of criminal laws in general, while the officer is acting in the respective jurisdiction of that agency;

                (b) An officer or special agent commissioned by one of the following:  The national marine fisheries service; the Washington state parks and recreation commission; the United States fish and wildlife service; the Washington state department of natural resources; the United States forest service; or the United States parks service, if the agent or officer is in the respective jurisdiction of the primary commissioning agency and is acting under a mutual law enforcement assistance agreement between the department and the primary commissioning agency;

                (c) A commissioned fish and wildlife peace officer from another state who meets the training standards set by the Washington state criminal justice training commission pursuant to RCW 10.93.090, 43.101.080, and 43.101.200, and who is acting under a mutual law enforcement assistance agreement between the department and the primary commissioning agency; or

                (d) A Washington state tribal police officer who successfully completes the requirements set forth under RCW 43.101.157, is employed by a tribal nation that has complied with RCW 10.92.020(2) (a) and (b), and is acting under a mutual law enforcement assistance agreement between the department and the tribal government.

                (19) "Fish" includes all species classified as game fish or food fish by statute or rule, as well as all fin fish not currently classified as food fish or game fish if such species exist in state waters.  The term "fish" includes all stages of development and the bodily parts of fish species.

                (20) "Fish and wildlife officer" means a person appointed and commissioned by the director, with authority to enforce this title and rules adopted pursuant to this title, and other statutes as prescribed by the legislature.  Fish and wildlife officer includes a person commissioned before June 11, 1998, as a wildlife agent or a fisheries patrol officer.

                (21) "Fish broker" means a person whose business it is to bring a seller of fish and shellfish and a purchaser of those fish and shellfish together.

                (22) "Fish buyer" means ((a person engaged by a wholesale fish dealer to purchase food fish or shellfish from a licensed commercial fisher)):
                (a) A wholesale fish dealer or a retail seller who directly receives fish or shellfish from a commercial fisher or receives fish or shellfish in interstate or foreign commerce; or
                (b) A person engaged by a wholesale fish dealer who receives fish or shellfish from a commercial fisher.

                (23) "Fishery" means the taking of one or more particular species of fish or shellfish with particular gear in a particular geographical area.

                (24) "Food, food waste, or other substance" includes human and pet food or other waste or garbage that could attract large wild carnivores.

                (25) "Freshwater" means all waters not defined as saltwater including, but not limited to, rivers upstream of the river mouth, lakes, ponds, and reservoirs.

                (26) "Fur-bearing animals" means game animals that shall not be trapped except as authorized by the commission.

                (27) "Fur dealer" means a person who purchases, receives, or resells raw furs for commercial purposes.

                (28) "Game animals" means wild animals that shall not be hunted except as authorized by the commission.

                (29) "Game birds" means wild birds that shall not be hunted except as authorized by the commission.

                (30) "Game farm" means property on which wildlife is held, confined, propagated, hatched, fed, or otherwise raised for commercial purposes, trade, or gift.  The term "game farm" does not include publicly owned facilities.

                (31) "Game reserve" means a closed area where hunting for all wild animals and wild birds is prohibited.

                (32) "Illegal items" means those items unlawful to be possessed.

                (33)(a) "Intentionally feed, attempt to feed, or attract" means to purposefully or knowingly provide, leave, or place in, on, or about any land or building any food, food waste, or other substance that attracts or could attract large wild carnivores to that land or building.

                (b) "Intentionally feed, attempt to feed, or attract" does not include keeping food, food waste, or other substance in an enclosed garbage receptacle or other enclosed container unless specifically directed by a fish and wildlife officer or animal control authority to secure the receptacle or container in another manner.

                (34) "Invasive species" means a plant species or a nonnative animal species that either:

                (a) Causes or may cause displacement of, or otherwise threatens, native species in their natural communities;

                (b) Threatens or may threaten natural resources or their use in the state;

                (c) Causes or may cause economic damage to commercial or recreational activities that are dependent upon state waters; or

                (d) Threatens or harms human health.

                (35) "Large wild carnivore" includes wild bear, cougar, and wolf.

                (36) "License year" means the period of time for which a recreational license is valid.  The license year begins April 1st, and ends March 31st.

                (37) "Limited-entry license" means a license subject to a license limitation program established in chapter 77.70 RCW.

                (38) "Money" means all currency, script, personal checks, money orders, or other negotiable instruments.

                (39) "Natural person" means a human being.

                (40)(a) "Negligently feed, attempt to feed, or attract" means to provide, leave, or place in, on, or about any land or building any food, food waste, or other substance that attracts or could attract large wild carnivores to that land or building, without the awareness that a reasonable person in the same situation would have with regard to the likelihood that the food, food waste, or other substance could attract large wild carnivores to the land or building.

                (b) "Negligently feed, attempt to feed, or attract" does not include keeping food, food waste, or other substance in an enclosed garbage receptacle or other enclosed container unless specifically directed by a fish and wildlife officer or animal control authority to secure the receptacle or container in another manner.

                (41) "Nonresident" means a person who has not fulfilled the qualifications of a resident.

                (42) "Offshore waters" means marine waters of the Pacific Ocean outside the territorial boundaries of the state, including the marine waters of other states and countries.

                (43) "Open season" means those times, manners of taking, and places or waters established by rule of the commission for the lawful hunting, fishing, taking, or possession of game animals, game birds, game fish, food fish, or shellfish that conform to the special restrictions or physical descriptions established by rule of the commission or that have otherwise been deemed legal to hunt, fish, take, ((harvest,)) or possess by rule of the commission.  "Open season" includes the first and last days of the established time.

                (44) "Owner" means the person in whom is vested the ownership dominion, or title of the property.

                (45) "Person" means and includes an individual; a corporation; a public or private entity or organization; a local, state, or federal agency; all business organizations, including corporations and partnerships; or a group of two or more individuals acting with a common purpose whether acting in an individual, representative, or official capacity.

                (46) "Personal property" or "property" includes both corporeal and incorporeal personal property and includes, among other property, contraband and money.

                (47) "Personal use" means for the private use of the individual taking the fish or shellfish and not for sale or barter.

                (48) "Predatory birds" means wild birds that may be hunted throughout the year as authorized by the commission.

                (49) "Prohibited aquatic animal species" means an invasive species of the animal kingdom that has been classified as a prohibited aquatic animal species by the commission.

                (50) "Protected wildlife" means wildlife designated by the commission that shall not be hunted or fished.

                (51) "Raffle" means an activity in which tickets bearing an individual number are sold for not more than twenty-five dollars each and in which a permit or permits are awarded to hunt or for access to hunt big game animals or wild turkeys on the basis of a drawing from the tickets by the person or persons conducting the raffle.

                (52) "Recreational and commercial watercraft" includes the boat, as well as equipment used to transport the boat, and any auxiliary equipment such as attached or detached outboard motors.

                (53) "Regulated aquatic animal species" means a potentially invasive species of the animal kingdom that has been classified as a regulated aquatic animal species by the commission.

                (54) "Resident" has the same meaning as defined in RCW 77.08.075.

                (55) "Retail-eligible species" means commercially harvested salmon, crab, and sturgeon.

                (56) "Saltwater" means those marine waters seaward of river mouths.

                (57) "Seaweed" means marine aquatic plant species that are dependent upon the marine aquatic or tidal environment, and exist in either an attached or free floating form, and includes but is not limited to marine aquatic plants in the classes Chlorophyta, Phaeophyta, and Rhodophyta.

                (58) "Senior" means a person seventy years old or older.

                (59) "Shark fin" means a raw, dried, or otherwise processed detached fin or tail of a shark.

                (60)(a) "Shark fin derivative product" means any product intended for use by humans or animals that is derived in whole or in part from shark fins or shark fin cartilage.

                (b) "Shark fin derivative product" does not include a drug approved by the United States food and drug administration and available by prescription only or medical device or vaccine approved by the United States food and drug administration.

                (61) "Shellfish" means those species of marine and freshwater invertebrates that have been classified and that shall not be taken or possessed except as authorized by rule of the commission.  The term "shellfish" includes all stages of development and the bodily parts of shellfish species.

                (62) "State waters" means all marine waters and fresh waters within ordinary high water lines and within the territorial boundaries of the state.

                (63) "Taxidermist" means a person who, for commercial purposes, creates lifelike representations of fish and wildlife using fish and wildlife parts and various supporting structures.

                (64) "To fish((,))" (("to harvest," and "to take,")) and ((their)) its derivatives means an effort to kill, injure, harass, harvest, or ((catch)) capture a fish or shellfish.

                (65) "To hunt" and its derivatives means an effort to kill, injure, harass, harvest, or capture((, or harass)) a wild animal or wild bird.

                (66) "To process" and its derivatives mean preparing or preserving fish, wildlife, or shellfish.

                (67) "To take" and its derivatives means to kill, injure, harvest, or capture a fish, shellfish, wild animal, bird, or seaweed.
                (68) "To trap" and its derivatives means a method of hunting using devices to capture wild animals or wild birds.

                (((68))) (69) "To waste" or "to be wasted" means to allow any edible portion of any game bird, food fish, game fish, shellfish, or big game animal other than cougar to be rendered unfit for human consumption, or to fail to retrieve edible portions of such a game bird, food fish, game fish, shellfish, or big game animal other than cougar from the field.  For purposes of this chapter, edible portions of game birds must include, at a minimum, the breast meat of those birds.  Entrails, including the heart and liver, of any wildlife species are not considered edible.
                (70) "Trafficking" means offering, attempting to engage, or engaging in sale, barter, or purchase of fish, shellfish, wildlife, or deleterious exotic wildlife.

                (((69))) (71) "Unclaimed" means that no owner of the property has been identified or has requested, in writing, the release of the property to themselves nor has the owner of the property designated an individual to receive the property or paid the required postage to effect delivery of the property.

                (((70))) (72) "Unclassified wildlife" means wildlife existing in Washington in a wild state that have not been classified as big game, game animals, game birds, predatory birds, protected wildlife, endangered wildlife, or deleterious exotic wildlife.
                (73) "Unlisted aquatic animal species" means a nonnative animal species that has not been classified as a prohibited aquatic animal species, a regulated aquatic animal species, or an unregulated aquatic animal species by the commission.

                (((71))) (74) "Unregulated aquatic animal species" means a nonnative animal species that has been classified as an unregulated aquatic animal species by the commission.

                (((72))) (75) "Wholesale fish dealer" means a person who, acting for commercial purposes, takes possession or ownership of fish or shellfish and sells, barters, or exchanges or attempts to sell, barter, or exchange fish or shellfish that have been landed into the state of Washington or entered the state of Washington in interstate or foreign commerce.

                (((73))) (76) "Wild animals" means those species of the class Mammalia whose members exist in Washington in a wild state.  The term "wild animal" does not include feral domestic mammals or old world rats and mice of the family Muridae of the order Rodentia.

                (((74))) (77) "Wild birds" means those species of the class Aves whose members exist in Washington in a wild state.

                (((75))) (78) "Wildlife" means all species of the animal kingdom whose members exist in Washington in a wild state.  This includes but is not limited to mammals, birds, reptiles, amphibians, fish, and invertebrates.  The term "wildlife" does not include feral domestic mammals, old world rats and mice of the family Muridae of the order Rodentia, or those fish, shellfish, and marine invertebrates classified as food fish or shellfish by the director.  The term "wildlife" includes all stages of development and the bodily parts of wildlife members.

                (((76))) (79) "Wildlife meat cutter" means a person who packs, cuts, processes, or stores wildlife for consumption for another for commercial purposes.

                (((77))) (80) "Youth" means a person fifteen years old for fishing and under sixteen years old for hunting.

Sec. 32.  RCW 77.08.075 and 2012 c 176 s 5 are each amended to read as follows:

                For the purposes of this title or rules adopted under this title, "resident" means:

                (1) A natural person who has maintained a permanent place of abode within the state for at least ninety days immediately preceding an application for a license, has established by formal evidence an intent to continue residing within the state, is not licensed to hunt or fish as a resident in another state or country, and is not receiving resident benefits of another state or country.

                (a) For purposes of this section, "permanent place of abode" means a residence in this state that a person maintains for personal use.

                (b) A natural person can demonstrate that the person has maintained a permanent place of abode in Washington by showing that the person:

                (i) Uses a Washington state address for federal income tax or state tax purposes;

                (ii) Designates this state as the person's residence for obtaining eligibility to hold a public office or for judicial actions;

                (iii) Is a registered voter in the state of Washington; or

                (iv) Is a custodial parent with a child attending prekindergarten, kindergarten, elementary school, middle school, or high school in this state.

                (c) A natural person can demonstrate the intent to continue residing within the state by showing that he or she:

                (i) Has a valid Washington state driver's license; or

                (ii) Has a valid Washington state identification card, if the person is not eligible for a Washington state driver's license; and

                (iii) Has registered the person's vehicle or vehicles in Washington state;

                (2) The spouse of a member of the United States armed forces if the member qualifies as a resident under subsection (1), (3), or (4) of this section, or a natural person age eighteen or younger who does not qualify as a resident under subsection (1) of this section, but who has a parent or legal guardian who qualifies as a resident under subsection (1), (3), or (4) of this section;

                (3) A member of the United States armed forces temporarily stationed in Washington state on predeployment orders.  A copy of the person's military orders is required to meet this condition;

                (4) ((A)) An active duty, nonretired member of the United States armed forces who is permanently stationed in Washington ((state)) or who designates Washington ((state)) on ((their)) his or her military "state of legal residence certificate" or enlistment or re-enlistment documents.  A copy of the person's "state of legal residence certificate" or enlistment or re-enlistment documents is required to meet the conditions of this subsection.

Sec. 33.  RCW 77.15.080 and 2012 c 176 s 9 are each amended to read as follows:

                (1) Based upon articulable facts that a person is engaged in fishing, harvesting, or hunting activities, fish and wildlife officers and ex officio fish and wildlife officers have the authority to temporarily stop the person and check for valid licenses, tags, permits, stamps, or catch record cards, and to inspect all fish, shellfish, seaweed, and wildlife in possession as well as the equipment being used to ensure compliance with the requirements of this title.  Fish and wildlife officers and ex officio fish and wildlife officers also may request that the person write his or her signature for comparison with the signature on his or her fishing, harvesting, or hunting license.  Failure to comply with the request is prima facie evidence that the person is not the person named on the license.  Fish and wildlife officers and ex officio fish and wildlife officers may require the person, if age sixteen or older, to exhibit a driver's license or other photo identification.

                (2) Based upon articulable facts that a person is transporting a prohibited aquatic animal species or any aquatic plant, fish and wildlife officers and ex officio fish and wildlife officers have the authority to temporarily stop the person and inspect the watercraft to ensure that the watercraft and associated equipment are not transporting prohibited aquatic animal species or aquatic plants.

Sec. 34.  RCW 77.15.100 and 2012 c 176 s 10 are each amended to read as follows:

                (1) Fish, shellfish, and wildlife are property of the state under RCW 77.04.012.  Fish and wildlife officers may sell seized, commercially ((harvested)) taken or possessed fish and shellfish to a wholesale buyer and deposit the proceeds into the fish and wildlife enforcement reward account under RCW 77.15.425.  Seized, recreationally ((harvested)) taken or possessed fish, shellfish, and wildlife may be donated to nonprofit charitable organizations.  The charitable organization must qualify for tax-exempt status under 26 U.S.C. Sec. 501(c)(3) of the federal internal revenue code.

                (2) Unless otherwise provided in this title, fish, shellfish, or wildlife taken((,)) or possessed((, or harvested)) in violation of this title or department rule shall be forfeited to the state upon conviction or any outcome in criminal court whereby a person voluntarily enters into a disposition that continues or defers the case for dismissal upon the successful completion of specific terms or conditions.  For criminal cases resulting in other types of dispositions, the fish, shellfish, or wildlife may be returned, or its equivalent value paid, if the fish, shellfish, or wildlife have already been donated or sold.

Sec. 35.  RCW 77.15.120 and 2000 c 107 s 236 are each amended to read as follows:

                (1) A person is guilty of unlawful taking of endangered fish or wildlife in the second degree if:
                (a) The person hunts for, fishes for, possesses, maliciously harasses, or kills fish or wildlife, or ((maliciously)) possesses or intentionally destroys the nests or eggs of fish or wildlife ((and));
                (b) The fish or wildlife is designated by the commission as endangered((,)); and

(c) The taking of the fish or wildlife or the destruction of the nests or eggs has not been authorized by rule of the commission, a permit issued by the department, or a permit issued pursuant to the federal endangered species act.

                (2) A person is guilty of unlawful taking of endangered fish or wildlife in the first degree if the person has been:

                (a) Convicted under subsection (1) of this section or convicted of any crime under this title involving the ((killing, possessing, harassing, or harming)) taking, possessing, or malicious harassment of endangered fish or wildlife; and

                (b) Within five years of the date of the prior conviction the person commits the act described by subsection (1) of this section.

                (3)(a) Unlawful taking of endangered fish or wildlife in the second degree is a gross misdemeanor.

                (b) Unlawful taking of endangered fish or wildlife in the first degree is a class C felony.  The department shall revoke any licenses or tags used in connection with the crime and order the person's privileges to hunt, fish, trap, or obtain licenses under this title to be suspended for two years.

Sec. 36.  RCW 77.15.130 and 2012 c 176 s 14 are each amended to read as follows:

                (1) A person is guilty of unlawful taking of protected fish or wildlife if:

                (a) The person hunts for, fishes for, maliciously takes, harasses, or possesses((, or maliciously kills protected)) fish or wildlife, or the person possesses or maliciously destroys the eggs or nests of ((protected)) fish or wildlife designated by the commission as protected, other than species designated as threatened or sensitive, and the taking has not been authorized by rule of the commission or by a permit issued by the department; ((or))

                (b) The person violates any rule of the commission regarding the taking, ((harming, harassment)) harassing, possession, or transport of protected fish or wildlife; or
                (c)(i) The person hunts for, fishes for, intentionally takes, harasses, or possesses fish or wildlife, or the person possesses or intentionally destroys the nests or eggs of fish or wildlife designated by the commission as threatened or sensitive; and
                (ii) The taking of the fish or wildlife, or the destruction of the nests or eggs, has not been authorized by rule of the commission, a permit issued by the department, or a permit issued pursuant to the federal endangered species act.

                (2) Unlawful taking of protected fish or wildlife is a misdemeanor.

                (3) In addition to the penalties set forth in subsection (2) of this section, if a person is convicted of violating this section and the violation results in the death of protected wildlife listed in this subsection, the court shall require payment of the following amounts for each animal ((killed)) taken or possessed.  This is a criminal wildlife penalty assessment that must be paid to the clerk of the court and distributed each month to the state treasurer for deposit in the fish and wildlife enforcement reward account created in RCW 77.15.425:

                (a) Ferruginous hawk, two thousand dollars;

                (b) Common loon, two thousand dollars;

                (c) Bald eagle, two thousand dollars;

                (d) Golden eagle, two thousand dollars; and

                (e) Peregrine falcon, two thousand dollars.

                (4) If two or more persons are convicted under subsection (1) of this section, and subsection (3) of this section is applicable, the criminal wildlife penalty assessment must be imposed against the persons jointly and ((separately)) severally.

                (5)(a) The criminal wildlife penalty assessment under subsection (3) of this section must be imposed regardless of and in addition to any sentence, fines, or costs otherwise provided for violating any provision of this section.  The criminal wildlife penalty assessment must be included by the court in any pronouncement of sentence and may not be suspended, waived, modified, or deferred in any respect.

                (b) This subsection may not be construed to abridge or alter alternative rights of action or remedies in equity or under common law or statutory law, criminal or civil.

                (6) A defaulted criminal wildlife penalty assessment authorized under subsection (3) of this section may be collected by any means authorized by law for the enforcement of orders of the court or collection of a fine or costs, including but not limited to vacation of a deferral of sentencing or vacation of a suspension of sentence.

                (7) The department shall revoke the hunting license and suspend the hunting privileges of a person assessed a criminal wildlife penalty assessment under this section until the penalty assessment is paid through the registry of the court in which the penalty assessment was assessed.

                (8) The criminal wildlife penalty assessments provided in subsection (3) of this section must be doubled in the following instances:

                (a) When a person commits a violation that requires payment of a criminal wildlife penalty assessment within five years of a prior gross misdemeanor or felony conviction under this title; or

                (b) When the trier of fact determines that the person ((killed)) took or possessed the protected wildlife in question with the intent of bartering, selling, or otherwise deriving economic profit from the wildlife or wildlife parts.

Sec. 37.  RCW 77.15.160 and 2013 c 307 s 2 are each amended to read as follows:

                The following acts are infractions and must be cited and punished as provided under chapter 7.84 RCW:

                (1) Fishing and shellfishing infractions:

                (a) Barbed hooks:  Fishing for personal use with barbed hooks in violation of any department rule.

                (b) Catch recording:  Failing to immediately record a catch of fish or shellfish on a catch record card as required by RCW 77.32.430 or department rule.

                (c) Catch reporting:  Failing to return a catch record card to the department for other than Puget Sound Dungeness crab, as required by department rule.

                (d) Recreational fishing:  Fishing for fish or shellfish ((and)), without yet possessing fish or shellfish, the person:

                (i) Owns, but fails to have in the person's possession, the license or the catch record card required by chapter 77.32 RCW for such an activity; or

                (ii) Violates any department rule regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of fishing for fish or shellfish.  This subsection does not apply to use of a net to take fish under RCW 77.15.580 or the unlawful use of shellfish gear for personal use under RCW 77.15.382.

                (e) Seaweed:  Taking((,)) or possessing((, or harvesting)) less than two times the daily possession limit of seaweed:

                (i) While owning, but not having in the person's possession, the license required by chapter 77.32 RCW; or

                (ii) In violation of any rule of the department or the department of natural resources regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of taking((,)) or possessing((, or harvesting of)) seaweed.

                (f) Unclassified fish or shellfish:  Fishing for or taking unclassified fish or shellfish in violation of ((any department rule by killing, fishing, taking, holding, possessing, or maliciously injuring or harming fish or shellfish that is not classified as game fish, food fish, shellfish, protected fish, or endangered fish)) this title or department rule.

                (g) Wasting fish or shellfish:  ((Killing,)) Taking((,)) or possessing food fish, game fish, or shellfish having a value of less than two hundred fifty dollars and recklessly allowing the fish or shellfish to be wasted.

                (2) Hunting infractions:

                (a) Eggs or nests:  Maliciously, and without permit authorization, destroying, taking, or harming the eggs or active nests of a wild bird or wild animal not classified as endangered or protected.  For purposes of this subsection, "active nests" means nests that are attended by an adult or contain eggs or ((fledglings)) young.

                (b) Unclassified wildlife:  Hunting for, harassing, or taking unclassified wildlife in violation of ((any department rule by killing, hunting, taking, holding, possessing, or maliciously injuring or harming wildlife that is not classified as big game, game animals, game birds, protected wildlife, or endangered wildlife)) this title or department rule.

                (c) Wasting wildlife:  ((Killing,)) Taking((,)) or possessing wildlife ((that is not)) classified as ((big)) game birds and ((has)) having a value of less than two hundred fifty dollars, and recklessly allowing the ((wildlife)) game birds to be wasted.

                (d) Wild animals:  Hunting for wild animals not classified as big game or threatened or endangered and, without yet possessing the wild animals, the person owns, but fails to have in the person's possession, all licenses, tags, or permits required by this title.

                (e) Wild birds:  Hunting for and, without yet possessing a wild bird or birds, the person:

                (i) Owns, but fails to have in the person's possession, all licenses, tags, stamps, and permits required under this title; or

                (ii) Violates any department rule regarding seasons, closed areas, closed times, or any other rule addressing the manner or method of hunting wild birds.

                (3) Trapping, taxidermy, fur dealing, ((and)) wildlife meat cutting, and wildlife rehabilitator infractions:

                (a) Recordkeeping and reporting:  If a person is a taxidermist, fur dealer, or wildlife meat cutter who is processing, holding, or storing wildlife for commercial purposes, failing to:

                (i) Maintain records as required by department rule; or

                (ii) Report information from these records as required by department rule.

                (b) Trapper's report:  Failing to report trapping activity as required by department rule.

(c) Wildlife rehabilitator's recordkeeping and reporting:  If a person is a primary permittee or a subpermittee on a wildlife rehabilitation permit issued by the department, failing to:
                (i) Maintain records as required by department rule; or
                (ii) Report information from these records as required by department rule.

                (4) Aquatic invasive species infraction:  Entering Washington by road and transporting a recreational or commercial watercraft that has been used outside of Washington without meeting documentation requirements as provided under RCW 77.12.879.

                (5) Other infractions:

                (a) Contests:  Unlawfully conducting, holding, or sponsoring a hunting contest, a fishing contest involving game fish, or a competitive field trial using live wildlife.

                (b) Other rules:  Violating any other department rule that is designated by rule as an infraction.

                (c) Posting signs:  Posting signs preventing hunting or fishing on any land not owned or leased by the person doing the posting, or without the permission of the person who owns, leases, or controls the land posted.

                (d) Scientific permits:  Using a scientific permit issued by the director for fish, shellfish, or wildlife, but not including big game or big game parts, and the person:

                (i) Violates any terms or conditions of the scientific permit; or

                (ii) Violates any department rule applicable to the issuance or use of scientific permits.

                (e) Transporting aquatic plants:  Unlawfully transporting aquatic plants on any state or public road, including forest roads.  However:

                (i) This subsection does not apply to plants that are:

                (A) Being transported to the department or to another destination designated by the director, in a manner designated by the department, for purposes of identifying a species or reporting the presence of a species;

                (B) Legally obtained for aquarium use, wetland or lakeshore restoration, or ornamental purposes;

                (C) Located within or on a commercial aquatic plant harvester that is being transported to a suitable location to remove aquatic plants;

                (D) Being transported in a manner that prevents their unintentional dispersal, to a suitable location for disposal, research, or educational purposes; or

                (E) Being transported in such a way as the commission may otherwise prescribe; and

                (ii) This subsection does not apply to a person who:

                (A) Is stopped at an aquatic invasive species check station and possesses a recreational or commercial watercraft that is contaminated with an aquatic invasive plant species if that person complies with all department directives for the proper decontamination of the watercraft and equipment; or

                (B) Has voluntarily submitted a recreational or commercial watercraft for inspection by the department or its designee and has received a receipt verifying that the watercraft has not been contaminated since its last use.

Sec. 38.  RCW 77.15.170 and 2012 c 176 s 16 are each amended to read as follows:

                (1) A person is guilty of waste of fish and wildlife if the person:

                (a) ((The person kills,)) Takes((,)) or possesses wildlife classified as food fish, game fish, shellfish, or ((wildlife)) game birds having a value of two hundred fifty dollars or more, or wildlife classified as big game; and

                (b) ((The person)) Recklessly allows such fish, shellfish, or wildlife to be wasted.

                (2) Waste of fish and wildlife is a gross misdemeanor.  Upon conviction, the department shall revoke any license or tag used in the crime and shall order suspension of the person's privileges to engage in the activity in which the person committed waste of fish and wildlife for a period of one year.

                (3) It is prima facie evidence of waste if:

                (a) A processor purchases or engages a quantity of food fish, shellfish, or game fish that cannot be processed within sixty hours after the food fish, game fish, or shellfish are taken from the water, unless the food fish, game fish, or shellfish are preserved in good marketable condition; or

                (b) A person brings a big game animal to a wildlife meat cutter and then abandons the animal.  For purposes of this subsection (3)(b), a big game animal is deemed to be abandoned when its carcass is placed in the custody of a wildlife meat cutter for butchering and processing and:

                (i) Having been placed in such custody for an unspecified period of time, the meat is not removed within thirty days after the wildlife meat cutter gives notice to the person who brought in the carcass or, having been so notified, the person who brought in the carcass refuses or fails to pay the agreed upon or reasonable charges for the butchering or processing of the carcass; or

                (ii) Having been placed in such custody for a specified period of time, the meat is not removed at the end of the specified period or the person who brought in the carcass refuses to pay the agreed upon or reasonable charges for the butchering or processing of the carcass.

Sec. 39.  RCW 77.15.180 and 2001 c 253 s 29 are each amended to read as follows:

                (1) A person is guilty of unlawful interference with fishing or hunting gear in the second degree if the person:

                (a) ((Takes)) Removes or releases a wild animal from another person's trap without permission;

                (b) Springs, pulls up, damages, possesses, or destroys another person's trap without the owner's permission; or

                (c) Interferes with recreational gear used to take fish or shellfish.

                (2) Unlawful interference with fishing or hunting gear in the second degree is a misdemeanor.

                (3) A person is guilty of unlawful interference with fishing or hunting gear in the first degree if the person:

                (a) ((Takes)) Removes or releases fish or shellfish from commercial fishing gear without the owner's permission; or

                (b) Intentionally destroys or interferes with commercial fishing gear.

                (4) Unlawful interference with fishing or hunting gear in the first degree is a gross misdemeanor.

                (5) A person is not in violation of unlawful interference with fishing or hunting gear if the person removes a trap placed on property owned, leased, or rented by the person.

Sec. 40.  RCW 77.15.190 and 2012 c 176 s 17 are each amended to read as follows:

                (1) A person is guilty of unlawful trapping if the person:

                (a) Sets out traps that are capable of taking wild animals, wild birds, game animals, or furbearing mammals and does not possess ((all)) the licenses, tags, or permits required under this title;

                (b) Violates any department rule regarding seasons, bag, or possession limits, closed areas including game reserves, closed times, or any other rule governing the trapping of wild animals or wild birds, with the exception of reporting rules; or

                (c) Fails to identify the owner of the traps or devices by neither (i) attaching a metal tag with the owner's department-assigned identification number or the name and address of the trapper legibly written in numbers or letters not less than one-eighth inch in height nor (ii) inscribing into the metal of the trap such number or name and address.

                (2) Unlawful trapping is a misdemeanor.

Sec. 41.  RCW 77.15.240 and 2012 c 176 s 18 are each amended to read as follows:

                (1)(a) A person is guilty of unlawful use of dogs if the person:

                (((a))) (i) Negligently fails to prevent a dog under the person's control from pursuing, harassing, attacking, or killing deer, elk, moose, caribou, mountain sheep, or animals classified as endangered under this title; or

                (((b))) (ii) Uses the dog to hunt deer or elk.

                (((2))) (b) For the purposes of this subsection, a dog is "under a person's control" if the dog is owned or possessed by, or in the custody of, a person.

                (((3))) (2) Unlawful use of dogs is a misdemeanor.

                (((4))) (3)(a) Based on a reasonable belief that a dog is pursuing, harassing, attacking, or killing a ((snow bound)) deer, elk, moose, caribou, mountain sheep, or animals classified as protected or endangered under this title, fish and wildlife officers and ex officio fish and wildlife officers may:

                (i) Lawfully take a dog into custody; or

                (ii) If necessary to avoid repeated harassment, injury, or death of wildlife under this section, destroy the dog.

                (b) Fish and wildlife officers and ex officio fish and wildlife officers who destroy a dog pursuant to this section are immune from civil or criminal liability arising from their actions.

(4)(a) This section does not apply to a person using a dog to conduct a department-approved and controlled hazing activity, as long as the person prevents or minimizes physical contact between the dog and the wildlife, and the hazing is being done only for the purposes of wildlife control and the prevention of damage to commercial crops.
                (b) For the purposes of this subsection, "hazing" means the act of chasing or herding wildlife in an effort to move them from one location to another.

Sec. 42.  RCW 77.15.250 and 2001 c 253 s 32 are each amended to read as follows:

                (1)(a) A person is guilty of unlawfully releasing, planting, possessing, or placing fish, shellfish, or wildlife if the person knowingly releases, plants, possesses, or places live fish, shellfish, wildlife, or aquatic plants within the state in violation of this title or rule of the department, and the fish, shellfish, or wildlife have not been classified as deleterious wildlife.  This subsection does not apply to a release of game fish into private waters for which a game fish stocking permit has been obtained, or the planting of fish or shellfish by permit of the commission.

                (b) A violation of this subsection is a gross misdemeanor.  In addition, the department shall order the person to pay all costs the department incurred in capturing, killing, or controlling the fish, shellfish, aquatic plants, ((or wildlife released or its progeny)) wildlife, or progeny unlawfully released, planted, possessed, or placed.  This does not affect the existing authority of the department to bring a separate civil action to recover costs of capturing, killing, or controlling the fish, shellfish, aquatic plants, ((or)) wildlife ((released or their progeny, or restoration of habitat necessitated by the unlawful release)), or progeny unlawfully released, planted, possessed, or placed, or the costs of habitat restoration necessitated by the unlawful release, planting, possession, or placing.

                (2)(a) A person is guilty of ((unlawful release of)) unlawfully releasing, planting, possessing, or placing deleterious exotic wildlife if the person knowingly releases, plants, possesses, or places live fish, shellfish, or wildlife within the state in violation of this title or rule of the department, and ((such)) the fish, shellfish, or wildlife ((has)) have been classified as deleterious exotic wildlife by rule of the commission.

                (b) A violation of this subsection is a class C felony.  In addition, the department shall ((also)) order the person to pay all costs the department incurred in capturing, killing, or controlling the fish, shellfish, ((or)) wildlife ((released or its progeny)), or progeny unlawfully released, planted, possessed, or placed.  This does not affect the existing authority of the department to bring a separate civil action to recover costs of capturing, killing, or controlling the fish, shellfish, ((or wildlife released or their progeny, or restoration of habitat necessitated by the unlawful release)) wildlife, or progeny unlawfully released, planted, possessed, or placed, or the costs of habitat restoration necessitated by the unlawful release, planting, possession, or placing.

Sec. 43.  RCW 77.15.370 and 2012 c 176 s 22 are each amended to read as follows:

                (1) A person is guilty of unlawful recreational fishing in the first degree if:

                (a) The person takes((,)) or possesses((, or retains)) two times or more than the bag limit or possession limit of fish or shellfish allowed by any rule of the director or commission setting the amount of food fish, game fish, or shellfish that can be taken((,)) or possessed((, or retained)) for noncommercial use;

                (b) The person fishes in a fishway;

                (c) The person shoots, gaffs, snags, snares, spears, dipnets, or stones fish or shellfish in state waters, or possesses fish or shellfish taken by such means, unless such means are authorized by express department rule;

                (d) The person fishes for or possesses a fish listed as threatened or endangered in 50 C.F.R. Sec. 223.102 (2006) or Sec. 224.101 (2010), unless fishing for or ((possession of)) possessing such fish is specifically allowed under federal or state law;

                (e) The person possesses a white sturgeon measuring in excess of the maximum size limit as established by rules adopted by the department; ((or))

                (f) ((The person possesses a salmon or steelhead during a season closed for that species)) The person possesses a green sturgeon of any size; or
                (g)(i) The person possesses a wild salmon or wild steelhead during a season closed for wild salmon or wild steelhead.
                (ii) For the purposes of this subsection:
                (A) "Wild salmon" means a salmon with an unclipped adipose fin, regardless of whether the salmon's ventral fin is clipped.
                (B) "Wild steelhead" means a steelhead with no fins clipped.

                (2) Unlawful recreational fishing in the first degree is a gross misdemeanor.

(3) In addition to the penalties set forth in subsection (2) of this section, if a person is convicted of violating this section and the violation results in the death of fish listed in this subsection, the court shall require payment of the following amounts for each fish taken or possessed.  This is a criminal wildlife penalty assessment that must be paid to the clerk of the court and distributed each month to the state treasurer for deposit in the fish and wildlife enforcement reward account created in RCW 77.15.425:
                (a) White sturgeon longer than fifty-five inches in fork length, two thousand dollars;
                (b) Green sturgeon, two thousand dollars; and
                (c) Wild salmon or wild steelhead, five hundred dollars.
                (4) If two or more persons are convicted under subsection (1) of this section, and subsection (3) of this section is applicable, the criminal wildlife penalty assessment must be imposed against the persons jointly and severally.
                (5)(a) The criminal wildlife penalty assessment under subsection (3) of this section must be imposed regardless of and in addition to any sentence, fines, or costs otherwise provided for violating any provision of this section.  The criminal wildlife penalty assessment must be included by the court in any pronouncement of sentence and may not be suspended, waived, modified, or deferred in any respect.
                (b) This subsection may not be construed to abridge or alter alternative rights of action or remedies in equity or under common law or statutory law, criminal or civil.
                (6) A defaulted criminal wildlife penalty assessment authorized under subsection (3) of this section may be collected by any means authorized by law for the enforcement of orders of the court or collection of a fine or costs, including but not limited to vacation of a deferral of sentencing or vacation of a suspension of sentence.
                (7) The department shall revoke the fishing license and suspend the fishing privileges of a person assessed a criminal wildlife penalty assessment under this section until the penalty assessment is paid through the registry of the court in which the penalty assessment was assessed.
                (8) The criminal wildlife penalty assessments provided in subsection (3) of this section must be doubled in the following instances:
                (a) When a person commits a violation that requires payment of a criminal wildlife penalty assessment within five years of a prior gross misdemeanor or felony conviction under this title; or
                (b) When the trier of fact determines that the person took or possessed the fish in question with the intent of bartering, selling, or otherwise deriving economic profit from the fish or fish parts.

Sec. 44.  RCW 77.15.380 and 2012 c 176 s 23 are each amended to read as follows:

                (1) A person is guilty of unlawful recreational fishing in the second degree if the person fishes for fish or shellfish and, whether or not the person possesses fish or shellfish, the person has not purchased the appropriate fishing or shellfishing license and catch record card issued to Washington residents or nonresidents under chapter 77.32 RCW.

                (2) A person is guilty of unlawful recreational fishing in the second degree if the person takes((,)) or possesses((, or harvests)) fish or shellfish and:

                (a) The person owns, but does not have in the person's possession, the license or the catch record card required by chapter 77.32 RCW for such activity; or

                (b) The action violates any department rule regarding seasons, bag or possession limits but less than two times the bag or possession limit, closed areas, closed times, or any other rule addressing the manner or method of fishing for, taking, or ((possession of)) possessing fish or shellfish.  This section does not apply to use of a net to take fish under RCW 77.15.580 or the unlawful use of shellfish gear for personal use under RCW 77.15.382.

                (3) Unlawful recreational fishing in the second degree is a misdemeanor.

Sec. 45.  RCW 77.15.390 and 2012 c 176 s 24 are each amended to read as follows:

                (1) A person is guilty of unlawful taking of seaweed if the person takes((,)) or possesses((, or harvests)) seaweed and:

                (a) The person has not purchased a personal use shellfish and seaweed license issued to Washington residents or nonresidents under chapter 77.32 RCW; or

                (b) The person takes((,)) or possesses((, or harvests)) seaweed in an amount that is two times or more of the daily possession limit of seaweed.

                (2) Unlawful taking of seaweed is a misdemeanor.  This does not affect rights of the state to recover civilly for trespass, conversion, or theft of state-owned valuable materials.

Sec. 46.  RCW 77.15.420 and 2005 c 406 s 5 are each amended to read as follows:

                (1) If a person is convicted of violating RCW 77.15.410 and that violation results in the death of wildlife listed in this section, the court shall require payment of the following amounts for each animal ((killed)) taken or possessed.  This shall be a criminal wildlife penalty assessment that shall be paid to the clerk of the court and distributed each month to the state treasurer for deposit in the fish and wildlife enforcement reward account created in RCW 77.15.425.

 

(a)

Moose, mountain sheep, mountain

                goat, and all wildlife species

                classified as endangered by rule

                of the commission, except for

                mountain caribou and grizzly

                bear as listed under (d) of this

                subsection              

 

 

 

 

 

 

$4,000

(b)

Elk, deer, black bear, and cougar          

$2,000

(c)

Trophy animal elk and deer   

$6,000

(d)

Mountain caribou, grizzly bear, and

                trophy animal mountain sheep               

 

$12,000

 

 

                (2) ((No forfeiture of bail may be less than the amount of the bail established for hunting during closed season plus the amount of the criminal wildlife penalty assessment in subsection (1) of this section.
                (3))) (a) For the purpose of this section a "trophy animal" is:

                (((a))) (i) A buck deer with four or more antler points on both sides, not including eyeguards;

                (((b))) (ii) A bull elk with five or more antler points on both sides, not including eyeguards; or

                (((c))) (iii) A mountain sheep with a horn curl of three-quarter curl or greater.

(b) For purposes of this subsection, "eyeguard" means an antler protrusion on the main beam of the antler closest to the eye of the animal.

                (((4))) (3) If two or more persons are convicted of illegally possessing wildlife in subsection (1) of this section, the criminal wildlife penalty assessment shall be imposed on them jointly and ((separately)) severally.

                (((5))) (4) The criminal wildlife penalty assessment shall be imposed regardless of and in addition to any sentence, fines, or costs otherwise provided for violating any provision of this title.  The criminal wildlife penalty assessment shall be included by the court in any pronouncement of sentence and may not be suspended, waived, modified, or deferred in any respect.  This section may not be construed to abridge or alter alternative rights of action or remedies in equity or under common law or statutory law, criminal or civil.

                (((6))) (5) A defaulted criminal wildlife penalty assessment may be collected by any means authorized by law for the enforcement of orders of the court or collection of a fine or costs, including but not limited to vacation of a deferral of sentencing or vacation of a suspension of sentence.

                (((7))) (6) A person assessed a criminal wildlife penalty assessment under this section shall have his or her hunting license revoked and all hunting privileges suspended until the penalty assessment is paid through the registry of the court in which the penalty assessment was assessed.

                (((8))) (7) The criminal wildlife penalty assessments provided in subsection (1) of this section shall be doubled in the following instances:

                (a) When a person is convicted of spotlighting big game under RCW 77.15.450;

                (b) When a person commits a violation that requires payment of a wildlife penalty assessment within five years of a prior gross misdemeanor or felony conviction under this title;

                (c) When the trier of fact determines that the person ((killed)) took or possessed the animal in question with the intent of bartering, selling, or otherwise deriving economic profit from the animal or the animal's parts; or

                (d) When ((a)) the trier of fact determines that the person ((kills)) took the animal under the supervision of a licensed guide.

Sec. 47.  RCW 77.15.425 and 2009 c 333 s 18 are each amended to read as follows:

                The fish and wildlife enforcement reward account is created in the custody of the state treasurer.  Deposits to the account include:  Receipts from fish and shellfish overages as a result of a department enforcement action; fees for hunter education deferral applications; fees for master hunter applications and master hunter certification renewals; all receipts from criminal wildlife penalty assessments under RCW 77.15.370, 77.15.400, and 77.15.420; all receipts of court-ordered restitution or donations associated with any fish, shellfish, or wildlife enforcement action; and proceeds from forfeitures and evidence pursuant to RCW 77.15.070 and 77.15.100.  The department may accept money or personal property from persons under conditions requiring the property or money to be used consistent with the intent of expenditures from the fish and wildlife enforcement reward account.  Expenditures from the account may be used only for investigation and prosecution of fish and wildlife offenses, to provide rewards to persons informing the department about violations of this title and rules adopted under this title, to offset department-approved costs incurred to administer the hunter education deferral program and the master hunter (([permit])) permit program, and for other valid enforcement uses as determined by the commission.  Only the director or the director's designee may authorize expenditures from the account.  The account is subject to allotment procedures under chapter 43.88 RCW, but an appropriation is not required for expenditures.

Sec. 48.  RCW 77.15.460 and 2012 c 176 s 28 are each amended to read as follows:

                (1) A person is guilty of unlawful possession of a loaded rifle or shotgun in a motor vehicle, as defined in RCW 46.04.320, or upon an off-road vehicle, as defined in RCW 46.04.365, if:

                (a) The person carries, transports, conveys, possesses, or controls a rifle or shotgun in a motor vehicle, or upon an off-road vehicle, except as allowed by department rule; and

                (b) The rifle or shotgun contains shells or cartridges in the magazine or chamber, or is a muzzle-loading firearm that is loaded and capped or primed.

                (2) A person is guilty of unlawful use of a loaded firearm if:

                (a) The person negligently discharges a firearm from, across, or along the maintained portion of a public highway; or

                (b) The person discharges a firearm from within a moving motor vehicle or from upon a moving off-road vehicle.

                (3) Unlawful possession of a loaded rifle or shotgun in a motor vehicle or upon an off-road vehicle, and unlawful use of a loaded firearm are misdemeanors.

                (4) This section does not apply if the person:

                (a) Is a law enforcement officer who is authorized to carry a firearm and is on duty within the officer's respective jurisdiction;

                (b) Possesses a disabled hunter's permit as provided by RCW 77.32.237 and complies with all rules of the department concerning hunting by persons with disabilities; or

                (c) Discharges the rifle or shotgun from upon a nonmoving motor vehicle ((or a nonmoving off-road vehicle)), as long as the engine is turned off and the motor vehicle ((or off-road vehicle)) is not parked on or beside the maintained portion of a public road, except as authorized by the commission by rule.  This subsection (4)(c) does not apply to off-road vehicles, which are unlawful to use for hunting under RCW 46.09.480, unless the person has a department permit issued under RCW 77.32.237.

                (5) For purposes of subsection (1) of this section, a rifle or shotgun shall not be considered loaded if the detachable clip or magazine is not inserted in or attached to the rifle or shotgun.

Sec. 49.  RCW 77.15.470 and 2000 c 107 s 246 are each amended to read as follows:

                (1) A person is guilty of unlawfully avoiding wildlife check stations or field inspections if the person fails to:

                (a) Obey check station signs;

                (b) Stop and report at a check station if directed to do so by a uniformed fish and wildlife officer or if directed by an ex officio fish and wildlife officer participating in a department-authorized check station; or

                (c) Produce for inspection upon request by a fish and wildlife officer or ex officio fish and wildlife officer:  (i) Hunting or fishing equipment; (ii) seaweed, fish, shellfish, or wildlife; or (iii) licenses, permits, tags, stamps, or catch record cards required by this title.

                (2) Unlawfully avoiding wildlife check stations or field inspections is a gross misdemeanor.

                (3) Wildlife check stations may not be established upon interstate highways or state routes.

Sec. 50.  RCW 77.15.480 and 2001 c 253 s 42 are each amended to read as follows:

                Articles or devices unlawfully used, possessed, or maintained for ((catching,)) taking, ((killing,)) harassing, attracting, or decoying wildlife, fish, and shellfish are public nuisances.  If necessary, fish and wildlife officers and ex officio fish and wildlife officers may seize, abate, or destroy these public nuisances without warrant or process.

Sec. 51.  RCW 77.15.630 and 2012 c 176 s 31 are each amended to read as follows:

                (1) A person ((who acts in the capacity of a wholesale fish dealer, anadromous game fish buyer, or a fish buyer is guilty of unlawful fish and shellfish catch accounting in the second degree if the person:
                (a) Possesses or receives fish or shellfish for commercial purposes worth less than two hundred fifty dollars; and
                (b))) licensed as a commercial fisher, wholesale fish dealer, direct retail seller, anadromous game fish buyer, or a fish buyer, or a person not so licensed but acting in such a capacity, is guilty of unlawful fish and shellfish catch accounting in the second degree if he or she receives or delivers for commercial purposes fish or shellfish worth less than two hundred fifty dollars; and
                (a) Fails to document such fish or shellfish with a fish-receiving ticket or other documentation required by statute or department rule; ((or
                (c))) (b) Fails to sign the fish receiving ticket or other required documentation, fails to provide all of the information required by statute or department rule on the fish receiving ticket or other documentation, or both; or
                (c) Fails to submit the fish receiving ticket to the department as required by statute or department rule.

                (2) A person is guilty of unlawful fish and shellfish catch accounting in the first degree if the person commits ((the)) an act described by subsection (1) of this section and:

                (a) The violation involves fish or shellfish worth two hundred fifty dollars or more;

                (b) The person acted with knowledge that the fish or shellfish were taken from a closed area, at a closed time, or by a person not licensed to take such fish or shellfish for commercial purposes; or

                (c) The person acted with knowledge that the fish or shellfish were taken in violation of any tribal law.

                (3)(a) Unlawful fish and shellfish catch accounting in the second degree is a gross misdemeanor.

                (b) Unlawful fish and shellfish catch accounting in the first degree is a class C felony.  Upon conviction, the department shall suspend all privileges to engage in fish buying or dealing for two years.

(4) For the purposes of this section:
                (a) A person "receives" fish or shellfish when title or control of the fish or shellfish is transferred or conveyed to the person.
                (b) A person "delivers" fish or shellfish when title or control of the fish or shellfish is transferred or conveyed from the person.

Sec. 52.  RCW 77.15.740 and 2012 c 176 s 37 are each amended to read as follows:

                (1) Except as provided in subsection (2) of this section, it is unlawful to:

                (a) Cause a vessel or other object to approach, in any manner, within two hundred yards of a southern resident orca whale;

                (b) Position a vessel to be in the path of a southern resident orca whale at any point located within four hundred yards of the whale.  This includes intercepting a southern resident orca whale by positioning a vessel so that the prevailing wind or water current carries the vessel into the path of the whale at any point located within four hundred yards of the whale;

                (c) Fail to disengage the transmission of a vessel that is within two hundred yards of a southern resident orca whale; or

                (d) Feed a southern resident orca whale.

                (2) A person is exempt from subsection (1) of this section if that person is:

                (a) Operating a federal government vessel in the course of his or her official duties, or operating a state, tribal, or local government vessel when engaged in official duties involving law enforcement, search and rescue, or public safety;

                (b) Operating a vessel in conjunction with a vessel traffic service established under 33 C.F.R. and following a traffic separation scheme, or complying with a vessel traffic service measure of direction.  This also includes support vessels escorting ships in the traffic lanes, such as tug boats;

                (c) Engaging in an activity, including scientific research, pursuant to a permit or other authorization from the national marine fisheries service and the department;

                (d) Lawfully engaging in a treaty Indian or commercial fishery that is actively setting, retrieving, or closely tending fishing gear;

                (e) Conducting vessel operations necessary to avoid an imminent and serious threat to a person, vessel, or the environment, including when necessary for overall safety of navigation and to comply with state and federal navigation requirements; or

                (f) Engaging in rescue or clean-up efforts of a beached southern resident orca whale overseen, coordinated, or authorized by a volunteer stranding network.

                (3) For the purpose of this section, "vessel" includes aircraft((, canoes, fishing vessels, kayaks, personal watercraft, rafts, recreational vessels, tour boats, whale watching boats, vessels engaged in whale watching activities, or other small craft including power boats and sailboats)) while on the surface of the water, and every description of watercraft on the water that is used or capable of being used as a means of transportation on the water.  However, "vessel" does not include inner tubes, air mattresses, sailboards, and small rafts, or flotation devices or toys customarily used by swimmers.

                (4)(a) A violation of this section is a natural resource infraction punishable under chapter 7.84 RCW and carries a fine of five hundred dollars, not including statutory assessments added pursuant to RCW 3.62.090.

                (b) A person who qualifies for an exemption under subsection (2) of this section may offer that exemption as an affirmative defense, which that person must prove by a preponderance of the evidence.

Sec. 53.  RCW 77.15.770 and 2011 c 324 s 2 are each amended to read as follows:

                (1) Except as otherwise provided in this section, a person is guilty of unlawful trade in shark fins in the second degree if:

                (a) The person sells, offers for sale, purchases, offers to purchase, or otherwise exchanges a shark fin or shark fin derivative product for commercial purposes; or

                (b) The person prepares or processes a shark fin or shark fin derivative product for human or animal consumption for commercial purposes.

                (2) Except as otherwise provided in this section, a person is guilty of unlawful trade in shark fins in the first degree if:

                (a) The person commits the act described by subsection (1) of this section and the violation involves shark fins or a shark fin derivative product with a total market value of two hundred fifty dollars or more;

                (b) The person commits the act described by subsection (1) of this section and acted with knowledge that the shark fin or shark fin derivative product originated from a shark that was harvested in an area or at a time where or when the harvest was not legally allowed or by a person not licensed to harvest the shark; or

                (c) The person commits the act described by subsection (1) of this section and the violation occurs within five years of entry of a prior conviction under this section or a prior conviction for any other gross misdemeanor or felony under this title involving fish, other than a recreational fishing violation.

                (3)(a) Unlawful trade in shark fins in the second degree is a gross misdemeanor.  Upon conviction, the department shall suspend any commercial fishing privileges for the person that requires a license under this title for a period of one year.

                (b) Unlawful trade in shark fins in the first degree is a class C felony.  Upon conviction, the department shall suspend any commercial fishing privileges for the person that requires a license under this title for a period of one year.

                (4) Any person who obtains a license or permit issued by the department to take or possess sharks or shark parts for bona fide research or educational purposes, and who sells, offers for sale, purchases, offers to purchase, or otherwise trades a shark fin or shark fin derivative product, exclusively for bona fide research or educational purposes, may not be held liable under or subject to the penalties of this section.

                (((5) Nothing in this section prohibits the sale, offer for sale, purchase, offer to purchase, or other exchange of shark fins or shark fin derivative products for commercial purposes, or preparation or processing of shark fins or shark fin derivative products for purposes of human or animal consumption for commercial purposes, if the shark fins or shark fin derivative products were lawfully harvested or lawfully acquired prior to July 22, 2011.))

NEW SECTION.  Sec. 54.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) It is unlawful for any person to possess in Washington any fish, shellfish, or wildlife that the person knows was taken in another state or country in violation of that state's or country's laws or regulations relating to licenses or tags, seasons, areas, methods, or bag or possession limits.

                (2) As used in this section, the terms "fish," "shellfish," and "wildlife" have the meaning ascribed to those terms in the applicable law or regulation of the state or country of the fish's, shellfish's, or wildlife's origin.

                (3) Unlawful possession of fish, shellfish, or wildlife taken or possessed in violation of another state's or country's laws or regulations is a gross misdemeanor.

NEW SECTION.  Sec. 55.  A new section is added to chapter 77.15 RCW to read as follows:

                (1) A person is guilty of engaging in wildlife rehabilitation without a permit if the person captures, transports, treats, feeds, houses, conditions, or trains injured, diseased, oiled, or abandoned wildlife without department authority for temporary actions or a wildlife rehabilitation permit issued by the department.

                (2) A person who is a primary permittee or subpermittee on a wildlife rehabilitation permit issued by the department is guilty of unlawful use of a wildlife rehabilitation permit if the person violates any permit provisions or department rules pertaining to wildlife rehabilitation other than those addressing recordkeeping and reporting requirements.

                (3) A violation of this section is a misdemeanor.

Sec. 56.  RCW 77.32.010 and 2011 c 320 s 19 are each amended to read as follows:

                (1) Except as otherwise provided in this chapter or department rule, a recreational license issued by the director is required to hunt ((for or take wild animals or wild birds, fish for, take, or harvest fish, shellfish, and)), fish, or take wildlife or seaweed.  A recreational fishing or shellfish license is not required for carp, smelt, and crawfish, and a hunting license is not required for bullfrogs.

                (2) A pass or permit issued under RCW 79A.80.020, 79A.80.030, or 79A.80.040 is required to park or operate a motor vehicle on a recreation site or lands, as defined in RCW 79A.80.010.

                (3) ((During the 2009-2011 fiscal biennium to enable the implementation of the pilot project established in section 307, chapter 329, Laws of 2008,)) The commission may, by rule, indicate that a fishing permit issued to a nontribal member by the Colville Tribes shall satisfy the license requirements in subsection (1) of this section on the waters of Lake Rufus Woods and on the north shore of Lake Rufus Woods, and that a Colville Tribes tribal member identification card shall satisfy the license requirements in subsection (1) of this section on all waters of Lake Rufus Woods.

Sec. 57.  RCW 77.65.280 and 2013 c 23 s 244 are each amended to read as follows:

(1) A wholesale fish dealer's license is required for:

                (((1))) (a) A business in the state to engage in the commercial processing of food fish or shellfish, including custom canning or processing of personal use food fish or shellfish.

                (((2))) (b) A business in the state to engage in the wholesale selling, buying, or brokering of food fish or shellfish.  A wholesale fish dealer's license is not required of those businesses which buy exclusively from Washington licensed wholesale dealers and sell solely at retail.

                (((3))) (c) Fishers who land and sell their catch or harvest in the state to anyone other than a licensed wholesale dealer within or outside the state, unless the fisher has a direct retail endorsement.

                (((4))) (d) A business to engage in the commercial manufacture or preparation of fertilizer, oil, meal, caviar, fish bait, or other by- products from food fish or shellfish.

                (((5))) (e) A business ((employing)) engaging a fish buyer as defined under RCW 77.65.340.

(2) The annual license fee for a wholesale dealer is two hundred fifty dollars.  The application fee is one hundred five dollars.  A wholesale fish dealer's license is not required for persons engaged in the processing, wholesale selling, buying, or brokering of private sector cultured aquatic products as defined in RCW 15.85.020.  However, if a means of identifying such products is required by rules adopted under RCW 15.85.060, the exemption from licensing requirements established by this subsection applies only if the aquatic products are identified in conformance with those rules.

Sec. 58.  RCW 77.65.340 and 2013 c 23 s 245 are each amended to read as follows:

                (1) A fish buyer's license is required of and shall be carried by each individual engaged by a wholesale fish dealer to purchase food fish or shellfish from a ((licensed)) commercial fisher.  A fish buyer may represent only one wholesale fish dealer.

                (2) The annual fee for a fish buyer's license is ninety-five dollars.  The application fee is one hundred five dollars.

NEW SECTION.  Sec. 59.  RCW 77.15.560 (Commercial fish, shellfish harvest or delivery‑-Failure to report‑-Penalty) and 1998 c 190 s 41 are each repealed.

NEW SECTION.  Sec. 60.  If any provision of this act or its application to any person or circumstance is held invalid, the remainder of the act or the application of the provision to other persons or circumstances is not affected."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Pettigrew; Stanford; Van De Wege and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Orcutt and Schmick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6078           Prime Sponsor, Committee on Governmental Operations: Recognizing "Native American Heritage Day."  Reported by Committee on Community Development, Housing & Tribal Affairs

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Appleton, Chair; Sawyer, Vice Chair; Johnson, Ranking Minority Member; Gregerson; Robinson; Santos and Young.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

2SSB 6096         Prime Sponsor, Committee on Ways & Means: Providing for property tax exemption for the value of new construction of industrial/manufacturing facilities in targeted urban areas.  Reported by Committee on Technology & Economic Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Morris, Chair; Habib, Vice Chair; Smith, Ranking Minority Member; Short, Assistant Ranking Minority Member; Dahlquist; DeBolt; Fey; Freeman; Kochmar; Magendanz; Ryu; Stonier; Tarleton; Vick; Walsh and Zeiger.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Hudgins.

 

Referred to Committee on Finance.

 

February 26, 20140)

SB 6115             Prime Sponsor, Senator Benton: Exempting licensed private investigators from process server requirements.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Nealey, Assistant Ranking Minority Member; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Rodne, Ranking Minority Member; Goodman and Haler.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

E2SSB 6126       Prime Sponsor, Committee on Ways & Means: Concerning representation of children in dependency matters.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  (1) The legislature recognizes that some children may remain in foster care following the termination of the parent and child relationship.  These children have legal rights and no longer have a parent to advocate on their behalf, and no other party represents their legal interests.  The legislature finds that providing attorneys for children following the termination of the parent and child relationship is fundamental to protecting the child's legal rights and to accelerate permanency.

                (2) Although the legislature recognizes that many jurisdictions provide attorneys to children prior to termination of the parent and child relationship, nothing in this act may be construed against the parent's fundamental liberty interest in parenting the child prior to termination of the parent and child relationship as stated in In re Dependency of K.N.J., 171 Wn.2d 568, 574 (2011) and In re Welfare of Luscier, 84 Wn.2d 135, 136-37 (1974), unless such a position would jeopardize the child's right to conditions of basic nurture, health, or safety.

Sec. 2.  RCW 13.34.100 and 2010 c 180 s 2 are each amended to read as follows:

                (1) The court shall appoint a guardian ad litem for a child who is the subject of an action under this chapter, unless a court for good cause finds the appointment unnecessary.  The requirement of a guardian ad litem may be deemed satisfied if the child is represented by an independent ((counsel)) attorney in the proceedings.  The court shall attempt to match a child with special needs with a guardian ad litem who has specific training or education related to the child's individual needs.

                (2) If the court does not have available to it a guardian ad litem program with a sufficient number of volunteers, the court may appoint a suitable person to act as guardian ad litem for the child under this chapter.  Another party to the proceeding or the party's employee or representative shall not be so appointed.

                (3) Each guardian ad litem program shall maintain a background information record for each guardian ad litem in the program.  The background information record shall include, but is not limited to, the following information:

                (a) Level of formal education;

                (b) General training related to the guardian ad litem's duties;

                (c) Specific training related to issues potentially faced by children in the dependency system;

                (d) Specific training or education related to child disability or developmental issues;

                (e) Number of years' experience as a guardian ad litem;

                (f) Number of appointments as a guardian ad litem and the county or counties of appointment;

                (g) The names of any counties in which the person was removed from a guardian ad litem registry pursuant to a grievance action, and the name of the court and the cause number of any case in which the court has removed the person for cause;

                (h) Founded allegations of abuse or neglect as defined in RCW 26.44.020;

                (i) The results of an examination of state and national criminal identification data.  The examination shall consist of a background check as allowed through the Washington state criminal records privacy act under RCW 10.97.050, the Washington state patrol criminal identification system under RCW 43.43.832 through 43.43.834, and the federal bureau of investigation.  The background check shall be done through the Washington state patrol criminal identification section and must include a national check from the federal bureau of investigation based on the submission of fingerprints; and

                (j) Criminal history, as defined in RCW 9.94A.030, for the period covering ten years prior to the appointment.

                The background information record shall be updated annually.  As a condition of appointment, the guardian ad litem's background information record shall be made available to the court.  If the appointed guardian ad litem is not a member of a guardian ad litem program a suitable person appointed by the court to act as guardian ad litem shall provide the background information record to the court.

                Upon appointment, the guardian ad litem, or guardian ad litem program, shall provide the parties or their attorneys with a copy of the background information record.  The portion of the background information record containing the results of the criminal background check and the criminal history shall not be disclosed to the parties or their attorneys.  The background information record shall not include identifying information that may be used to harm a guardian ad litem, such as home addresses and home telephone numbers, and for volunteer guardians ad litem the court may allow the use of maiden names or pseudonyms as necessary for their safety.

                (4) The appointment of the guardian ad litem shall remain in effect until the court discharges the appointment or no longer has jurisdiction, whichever comes first.  The guardian ad litem may also be discharged upon entry of an order of guardianship.

                (5) A guardian ad litem through ((counsel)) an attorney, or as otherwise authorized by the court, shall have the right to present evidence, examine and cross-examine witnesses, and to be present at all hearings.  A guardian ad litem shall receive copies of all pleadings and other documents filed or submitted to the court, and notice of all hearings according to court rules.  The guardian ad litem shall receive all notice contemplated for a parent or other party in all proceedings under this chapter.

                (6)(a) The court must appoint an attorney for a child in a dependency proceeding six months after granting a petition to terminate the parent and child relationship pursuant to RCW 13.34.180 and when there is no remaining parent with parental rights.
                The court must appoint an attorney for a child when there is no remaining parent with parental rights for six months or longer prior to the effective date of this section if the child is not already represented.
                The court may appoint one attorney to a group of siblings, unless there is a conflict of interest, or such representation is otherwise inconsistent with the rules of professional conduct.
                (b) Legal services provided by an attorney appointed pursuant to (a) of this subsection do not include representation of the child in any appellate proceedings relative to the termination of the parent and child relationship.
                (c)(i) Subject to the availability of amounts appropriated for this specific purpose, the state shall pay the costs of legal services provided by an attorney appointed pursuant to (a) of this subsection, if the legal services are provided in accordance with the standards of practice, voluntary training, and caseload limits developed and recommended by the statewide children's representation work group pursuant to section 5, chapter 180, Laws of 2010.  Caseload limits must be calculated pursuant to (c)(ii) of this subsection.
                (ii) Counties are encouraged to set caseloads as low as possible and to account for the individual needs of the children in care.  Notwithstanding the caseload limits developed and recommended by the statewide children's representation work group pursuant to section 5, chapter 180, Laws of 2010, when one attorney represents a sibling group, the first child is counted as one case, and each child thereafter is counted as one-half case to determine compliance with the caseload standards pursuant to (c)(i) of this subsection and section 3 of this act.
                (iii) The office of civil legal aid is responsible for implementation of (c)(i) and (ii) of this subsection as provided in section 3 of this act.
                (7)(a) The court may appoint an attorney to represent the child's position in any dependency action on its own initiative, or upon the request of a parent, the child, a guardian ad litem, a caregiver, or the department.
                (b)(i) If the court has not already appointed an attorney for a child, or the child is not represented by a privately retained attorney:
                (A) The child's caregiver, or any individual, may refer the child to an attorney for the purposes of filing a motion to request appointment of an attorney at public expense; or
                (B) The child or any individual may retain an attorney for the child for the purposes of filing a motion to request appointment of an attorney at public expense.
                (ii) Nothing in this subsection (7)(b) shall be construed to change or alter the confidentiality provisions of RCW 13.50.100.
                (c) Pursuant to this subsection, the department or supervising agency and the child's guardian ad litem shall each notify a child of his or her right to request ((counsel)) an attorney and shall ask the child whether he or she wishes to have ((counsel)) an attorney.  The department or supervising agency and the child's guardian ad litem shall notify the child and make this inquiry immediately after:

                (i) The date of the child's twelfth birthday;

                (ii) Assignment of a case involving a child age twelve or older; or

                (iii) July 1, 2010, for a child who turned twelve years old before July 1, 2010.

                (((b))) (d) The department or supervising agency and the child's guardian ad litem shall repeat the notification and inquiry at least annually and upon the filing of any motion or petition affecting the child's placement, services, or familial relationships.

                (((c))) (e) The notification and inquiry is not required if the child has already been appointed ((counsel)) an attorney.

                (((d))) (f) The department or supervising agency shall note in the child's individual service and safety plan, and the guardian ad litem shall note in his or her report to the court, that the child was notified of the right to request ((counsel)) an attorney and indicate the child's position regarding appointment of ((counsel)) an attorney.

                (((e))) (g) At the first regularly scheduled hearing after:

                (i) The date of the child's twelfth birthday;

                (ii) The date that a dependency petition is filed pursuant to this chapter on a child age twelve or older; or

                (iii) July 1, 2010, for a child who turned twelve years old before July 1, 2010;

the court shall inquire whether the child has received notice of his or her right to request ((legal counsel)) an attorney from the department or supervising agency and the child's guardian ad litem.  The court shall make an additional inquiry at the first regularly scheduled hearing after the child's fifteenth birthday.  No inquiry is necessary if the child has already been appointed ((counsel)) an attorney.

                (((f) If the child requests legal counsel and is age twelve or older, or if the guardian ad litem or the court determines that the child needs to be independently represented by counsel, the court may appoint an attorney to represent the child's position.
                (7))) (8) For the purposes of child abuse prevention and treatment act (42 U.S.C. Secs. 5101 et seq.) grants to this state under P.L. 93- 247, or any related state or federal legislation, a person appointed pursuant to this section shall be deemed a guardian ad litem ((to represent the best interests of the minor in proceedings before the court)).

                (((8))) (9) When a court-appointed special advocate or volunteer guardian ad litem is requested on a case, the program shall give the court the name of the person it recommends.  The program shall attempt to match a child with special needs with a guardian ad litem who has specific training or education related to the child's individual needs.  The court shall immediately appoint the person recommended by the program.

                (((9))) (10) If a party in a case reasonably believes the court- appointed special advocate or volunteer guardian ad litem is inappropriate or unqualified, the party may request a review of the appointment by the program.  The program must complete the review within five judicial days and remove any appointee for good cause.  If the party seeking the review is not satisfied with the outcome of the review, the party may file a motion with the court for the removal of the court-appointed special advocate or volunteer guardian ad litem on the grounds the advocate or volunteer is inappropriate or unqualified.

NEW SECTION.  Sec. 3.  A new section is added to chapter 2.53 RCW to read as follows:

                (1) Money appropriated by the legislature for legal services provided by an attorney appointed pursuant to RCW 13.34.100 must be administered by the office of civil legal aid established under RCW 2.53.020.

                (2) The office of civil legal aid may enter into contracts with the counties to disburse state funds for an attorney appointed pursuant to RCW 13.34.100.  The office of civil legal aid may also require a county to use attorneys under contract with the office for the provision of legal services under RCW 13.34.100 to remain within appropriated amounts.

                (3) Prior to distributing state funds under subsection (2) of this section, the office of civil legal aid must verify that attorneys providing legal representation to children under RCW 13.34.100 meet the standards of practice, voluntary training, and caseload limits developed and recommended by the statewide children's representation work group pursuant to section 5, chapter 180, Laws of 2010.  Caseload limits described in this subsection must be determined as provided in RCW 13.34.100(6)(c)(ii).

NEW SECTION.  Sec. 4.  This act takes effect July 1, 2014."

                Correct the title.

 

Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Referred to Committee on Appropriations.

 

February 26, 20140)

SB 6180             Prime Sponsor, Senator Braun: Consolidating designated forest lands and open space timber lands for ease of administration.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

Referred to Committee on Finance.

 

February 26, 20140)

SSB 6207           Prime Sponsor, Committee on Natural Resources & Parks: Providing fee immunity for certain water facilities.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6219             Prime Sponsor, Senator Dansel: Concerning actions for damage arising from vehicular traffic on a primitive road.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSB 6279           Prime Sponsor, Committee on Law & Justice: Creating effective and timely access to magistrates for purposes of reviewing search warrant applications.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature finds that recent decisions of the United States supreme court and the Washington state supreme court require law enforcement to obtain the review of a neutral and disinterested magistrate and the issuance of a search warrant more frequently before proceeding with a criminal investigation.  The legislature intends to accommodate this requirement by creating effective and timely access to magistrates for purposes of reviewing search warrant applications across the state of Washington.  This act does not change the legal standards for issuing a search warrant or the legal standards for review of an issued search warrant.

NEW SECTION.  Sec. 2.  A new section is added to chapter 2.20 RCW to read as follows:

                Any district or municipal court judge, in the county in which the offense is alleged to have occurred, may issue a search warrant for any person or evidence located anywhere within the state.

NEW SECTION.  Sec. 3.  A new section is added to chapter 10.79 RCW to read as follows:

                (1) Any magistrate as defined by RCW 2.20.010, when satisfied that there is probable cause, may upon application supported by oath or affirmation, issue a search warrant to search for and seize any:  (a) Evidence of a crime; (b) contraband, the fruits of crime, or things otherwise criminally possessed; (c) weapons or other things by means of which a crime has been committed or reasonably appears about to be committed; or (d) person for whose arrest there is probable cause or who is unlawfully restrained.

                (2) The application may be provided or transmitted to the magistrate by telephone, e-mail, or any other reliable method.

                (3) If the magistrate finds that probable cause for the issuance of a warrant exists, the magistrate must issue a warrant or direct an individual whom the magistrate authorizes to affix the magistrate's signature to a warrant identifying the property or person and naming or describing the person, place, or thing to be searched.  The magistrate may communicate permission to affix the magistrate's signature to the warrant by telephone, e-mail, or any other reliable method.

                (4) The evidence in support of the finding of probable cause and a record of the magistrate's permission to affix the magistrate's signature to the warrant shall be preserved and shall be filed with the issuing court as required by CrRLJ 2.3 or CrR 2.3.

Sec. 4.  RCW 9A.72.085 and 1981 c 187 s 3 are each amended to read as follows:

(1) Whenever, under any law of this state or under any rule, order, or requirement made under the law of this state, any matter in an official proceeding is required or permitted to be supported, evidenced, established, or proved by a person's sworn written statement, declaration, verification, certificate, oath, or affidavit, the matter may with like force and effect be supported, evidenced, established, or proved in the official proceeding by an unsworn written statement, declaration, verification, or certificate, which:

                (((1))) (a) Recites that it is certified or declared by the person to be true under penalty of perjury;

                (((2))) (b) Is subscribed by the person;

                (((3))) (c) States the date and place of its execution; and

                (((4))) (d) States that it is so certified or declared under the laws of the state of Washington.

(2) The certification or declaration may be in substantially the following form:

 

                "I certify (or declare) under penalty of perjury under

the laws of the State of Washington that the foregoing is

true and correct":

               

               

(Date and Place)

(Signature)

 

 

 

(3) For purposes of this section, a person subscribes to an unsworn written statement, declaration, verification, or certificate by:
                (a) Affixing or placing his or her signature as defined in RCW 9A.04.110 on the document;
                (b) Attaching or logically associating his or her digital signature or electronic signature as defined in RCW 19.34.020 to the document;
                (c) Affixing or logically associating his or her signature in the manner described in general rule 30 to the document if he or she is a licensed attorney; or
                (d) Affixing or logically associating his or her full name, department or agency, and badge or personnel number to any document that is electronically submitted to a court, a prosecutor, or a magistrate from an electronic device that is owned, issued, or maintained by a criminal justice agency if he or she is a law enforcement officer.
                (4) This section does not apply to writings requiring an acknowledgment, depositions, oaths of office, or oaths required to be taken before a special official other than a notary public."

                Correct the title.

 

Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESSB 6286         Prime Sponsor, Committee on Agriculture, Water & Rural Economic Development: Concerning current use valuation for land primarily used for commercial horticultural purposes.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature intends to clarify and update the description of farm and agricultural land as it is used under the property tax open space program.  Modern technology and water quality and labor regulations have all caused nurseries to increasingly grow plants in containers rather than in the ground.  Growing plants in containers preserves topsoil, allows more plants to be grown per acre, allows soil and nutrients to be customized for each type of plant, allows more efficient use of water and fertilizer, allows year round harvest and sales, and reduces labor cost and injuries.

Sec. 2.  RCW 84.34.020 and 2011 c 101 s 1 are each amended to read as follows:

                ((As used in this chapter, unless a different meaning is required by the context:)) The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

                (1) "Open space land" means (a) any land area so designated by an official comprehensive land use plan adopted by any city or county and zoned accordingly, or (b) any land area, the preservation of which in its present use would (i) conserve and enhance natural or scenic resources, or (ii) protect streams or water supply, or (iii) promote conservation of soils, wetlands, beaches or tidal marshes, or (iv) enhance the value to the public of abutting or neighboring parks, forests, wildlife preserves, nature reservations or sanctuaries or other open space, or (v) enhance recreation opportunities, or (vi) preserve historic sites, or (vii) preserve visual quality along highway, road, and street corridors or scenic vistas, or (viii) retain in its natural state tracts of land not less than one acre situated in an urban area and open to public use on such conditions as may be reasonably required by the legislative body granting the open space classification, or (c) any land meeting the definition of farm and agricultural conservation land under subsection (8) of this section.  As a condition of granting open space classification, the legislative body may not require public access on land classified under (b)(iii) of this subsection for the purpose of promoting conservation of wetlands.

                (2) "Farm and agricultural land" means:

                (a) Any parcel of land that is twenty or more acres or multiple parcels of land that are contiguous and total twenty or more acres:

                (i) Devoted primarily to the production of livestock or agricultural commodities for commercial purposes;

                (ii) Enrolled in the federal conservation reserve program or its successor administered by the United States department of agriculture; or

                (iii) Other similar commercial activities as may be established by rule;

                (b)(i) Any parcel of land that is five acres or more but less than twenty acres devoted primarily to agricultural uses, which has produced a gross income from agricultural uses equivalent to, as of January 1, 1993:

                (A) One hundred dollars or more per acre per year for three of the five calendar years preceding the date of application for classification under this chapter for all parcels of land that are classified under this subsection or all parcels of land for which an application for classification under this subsection is made with the granting authority prior to January 1, 1993; and

                (B) On or after January 1, 1993, two hundred dollars or more per acre per year for three of the five calendar years preceding the date of application for classification under this chapter;

                (ii) For the purposes of (b)(i) of this subsection, "gross income from agricultural uses" includes, but is not limited to, the wholesale value of agricultural products donated to nonprofit food banks or feeding programs;

                (c) Any parcel of land of less than five acres devoted primarily to agricultural uses which has produced a gross income as of January 1, 1993, of:

                (i) One thousand dollars or more per year for three of the five calendar years preceding the date of application for classification under this chapter for all parcels of land that are classified under this subsection or all parcels of land for which an application for classification under this subsection is made with the granting authority prior to January 1, 1993; and

                (ii) On or after January 1, 1993, fifteen hundred dollars or more per year for three of the five calendar years preceding the date of application for classification under this chapter.  Parcels of land described in (b)(i)(A) and (c)(i) of this subsection will, upon any transfer of the property excluding a transfer to a surviving spouse or surviving state registered domestic partner, be subject to the limits of (b)(i)(B) and (c)(ii) of this subsection;

                (d) Any parcel of land that is five acres or more but less than twenty acres devoted primarily to agricultural uses, which meet one of the following criteria:

                (i) Has produced a gross income from agricultural uses equivalent to two hundred dollars or more per acre per year for three of the five calendar years preceding the date of application for classification under this chapter;

                (ii) Has standing crops with an expectation of harvest within seven years, except as provided in (d)(iii) of this subsection, and a demonstrable investment in the production of those crops equivalent to one hundred dollars or more per acre in the current or previous calendar year.  For the purposes of this subsection (2)(d)(ii), "standing crop" means Christmas trees, vineyards, fruit trees, or other perennial crops that:  (A) Are planted using agricultural methods normally used in the commercial production of that particular crop; and (B) typically do not produce harvestable quantities in the initial years after planting; or

                (iii) Has a standing crop of short rotation hardwoods with an expectation of harvest within fifteen years and a demonstrable investment in the production of those crops equivalent to one hundred dollars or more per acre in the current or previous calendar year;

                (e) Any lands including incidental uses as are compatible with agricultural purposes, including wetlands preservation, provided such incidental use does not exceed twenty percent of the classified land and the land on which appurtenances necessary to the production, preparation, or sale of the agricultural products exist in conjunction with the lands producing such products.  Agricultural lands also include any parcel of land of one to five acres, which is not contiguous, but which otherwise constitutes an integral part of farming operations being conducted on land qualifying under this section as "farm and agricultural lands";

                (f) The land on which housing for employees and the principal place of residence of the farm operator or owner of land classified pursuant to (a) of this subsection is sited if:  The housing or residence is on or contiguous to the classified parcel; and the use of the housing or the residence is integral to the use of the classified land for agricultural purposes; ((or))

                (g) Any land that is used primarily for equestrian related activities for which a charge is made, including, but not limited to, stabling, training, riding, clinics, schooling, shows, or grazing for feed and that otherwise meet the requirements of (a), (b), or (c) of this subsection; or
                (h) Any land primarily used for commercial horticultural purposes, including growing seedlings, trees, shrubs, vines, fruits, vegetables, flowers, herbs, and other plants in containers, whether under a structure or not, subject to the following:
                (i) The land is not primarily used for the storage, care, or selling of plants purchased from other growers for retail sale;
                (ii) If the land is less than five acres and used primarily to grow plants in containers, such land does not qualify as "farm and agricultural land" if more than twenty-five percent of the land used primarily to grow plants in containers is open to the general public for on-site retail sales;
                (iii) If more than twenty percent of the land used for growing plants in containers qualifying under this subsection (2)(h) is covered by pavement, none of the paved area is eligible for classification as "farm and agricultural land" under this subsection (2)(h).  The eligibility limitations described in this subsection (2)(h)(iii) do not affect the land's eligibility to qualify under (e) of this subsection; and
                (iv) If the land classified under this subsection (2)(h), in addition to any contiguous land classified under this subsection, is less than twenty acres, it must meet the applicable income or investment requirements in (b), (c), or (d) of this subsection.

                (3) "Timber land" means any parcel of land that is five or more acres or multiple parcels of land that are contiguous and total five or more acres which is or are devoted primarily to the growth and harvest of timber for commercial purposes.  Timber land means the land only and does not include a residential homesite.  The term includes land used for incidental uses that are compatible with the growing and harvesting of timber but no more than ten percent of the land may be used for such incidental uses.  It also includes the land on which appurtenances necessary for the production, preparation, or sale of the timber products exist in conjunction with land producing these products.

                (4) "Current" or "currently" means as of the date on which property is to be listed and valued by the assessor.

                (5) "Owner" means the party or parties having the fee interest in land, except that where land is subject to real estate contract "owner" means the contract vendee.

                (6)(a) "Contiguous" means land adjoining and touching other property held by the same ownership.  Land divided by a public road, but otherwise an integral part of a farming operation, is considered contiguous.

                (b) For purposes of this subsection (6):

                (i) "Same ownership" means owned by the same person or persons, except that parcels owned by different persons are deemed held by the same ownership if the parcels are:

                (A) Managed as part of a single operation; and

                (B) Owned by:

                (I) Members of the same family;

                (II) Legal entities that are wholly owned by members of the same family; or

                (III) An individual who owns at least one of the parcels and a legal entity or entities that own the other parcel or parcels if the entity or entities are wholly owned by that individual, members of his or her family, or that individual and members of his or her family.

                (ii) "Family" includes only:

                (A) An individual and his or her spouse or domestic partner, child, stepchild, adopted child, grandchild, parent, stepparent, grandparent, cousin, or sibling;

                (B) The spouse or domestic partner of an individual's child, stepchild, adopted child, grandchild, parent, stepparent, grandparent, cousin, or sibling;

                (C) A child, stepchild, adopted child, grandchild, parent, stepparent, grandparent, cousin, or sibling of the individual's spouse or the individual's domestic partner; and

                (D) The spouse or domestic partner of any individual described in (b)(ii)(C) of this subsection (6).

                (7) "Granting authority" means the appropriate agency or official who acts on an application for classification of land pursuant to this chapter.

                (8) "Farm and agricultural conservation land" means either:

                (a) Land that was previously classified under subsection (2) of this section, that no longer meets the criteria of subsection (2) of this section, and that is reclassified under subsection (1) of this section; or

                (b) Land that is traditional farmland that is not classified under chapter 84.33 or 84.34 RCW, that has not been irrevocably devoted to a use inconsistent with agricultural uses, and that has a high potential for returning to commercial agriculture.

NEW SECTION.  Sec. 3.  The amendments to RCW 84.34.020, as provided in section 2 of this act, are intended to clarify an ambiguity in an existing tax preference, and are therefore exempt from the requirements of RCW 82.32.805 and 82.32.808."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Dunshee; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick; Stanford; Van De Wege and Warnick.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SB 6338             Prime Sponsor, Senator Dammeier: Giving preferences to housing trust fund projects that involve collaboration between local school districts and housing authorities to help children of low-income families succeed in school.  Reported by Committee on Community Development, Housing & Tribal Affairs

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Appleton, Chair; Sawyer, Vice Chair; Johnson, Ranking Minority Member; Gregerson; Robinson and Santos.

 

MINORITY recommendation:  Without recommendation.  Signed by Representative Young.

 

Referred to Committee on Capital Budget.

 

February 26, 20140)

ESSB 6388         Prime Sponsor, Committee on Ways & Means: Concerning pass-through wholesale food distributors. (REVISED FOR ENGROSSED: Concerning pass-through food distributors. )  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  The legislature finds that the availability of affordable, fresh, and nourishing foods is essential for individuals to maintain a healthy lifestyle.  The legislature also finds that new methods of purchasing and delivering fresh, nourishing foods are emerging and lowering the costs of these foods.  The legislature further finds that some of the new business models for purchasing and delivering fresh, nourishing foods are being inappropriately classified as food service establishments.  Therefore, it is the intent of the legislature to establish a direct retailer license for businesses that sell and collect payment only through a web site for prepackaged foods obtained from a food processor either licensed or inspected, or both, by a state or federal regulatory agency and that deliver the food directly to consumers without any interim storage.

NEW SECTION.  Sec. 2.  A new section is added to chapter 69.04 RCW to read as follows:

                (1) The department shall issue a license to operate as a direct retailer to any entity that:

                (a) Submits a completed application on forms approved by the department;            

                (b) Provides the department with a list of all leased, rented, or owned vehicles, other than vehicles that are rented for less than forty-five days, used by the applicant's business to deliver food;

                (c) Maintains all records of vehicles that are rented for less than forty-five days for at least twelve months following the termination of the rental period;

                (d) Maintains food temperature logs or uses a device to monitor the temperature of the packages in real time for all food while in transport; and

                (e) Submits all appropriate fees to the department.

                (2) The department shall develop, by rule, an annual license and renewal fee to defray the costs of administering the licensing and inspection program created by this section.  All moneys received by the department under the provisions of this section must be paid into the food processing inspection account created in RCW 69.07.120 and must be used solely to carry out the provisions of this section.

                (3)(a) A licensed direct retailer is required to protect food from contamination while in transport.  Food must be transported under conditions that protect food against physical, chemical, and microbial contamination, as well as against deterioration of the food and its container.

                (b) Compliance with this subsection (3) requires, but is not limited to, the separation of raw materials in such a fashion that they avoid cross-contamination of other food products, particularly ready-to-eat food.  An example of this principle includes ensuring that, during the transport of raw fish and seafood, meat, poultry, or other food which inherently contains pathogenic and spoilage microorganisms, soil, or other foreign material, the raw materials may not come into direct contact with other food in the same container or in any other cross-contaminating circumstance.

                (4) In the event of a food recall or when required by the department, a federal, state, or local health authority in response to a food borne illness outbreak, a licensed direct retailer shall use its client listserv to notify customers of the recall and any other relevant information.

                (5) In the implementation of this section, the department shall:

                (a) Conduct inspections of vehicles, food handling areas, refrigeration equipment, and product packaging used by a licensed direct retailer;

                (b) Conduct audits of temperature logs and other food handling records as appropriate;

                (c) Investigate any complaints against a licensed direct retailer for the failure to maintain food safety; and

                (d) Adopt rules, in consultation with the department of health and local health jurisdictions, necessary to administer and enforce the program consistent with federal regulations.

                (6) Direct retailers that have a license from the department under this section are exempt from the permitting requirements of food service rules adopted by the state board of health and any local health jurisdiction.

                (7) The director may deny, suspend, or revoke any license provided under this section if the director determines that an applicant or licensee has committed any of the following:

                (a) Refused, neglected, or failed to comply with the provisions of this section, the rules and regulations adopted under this section, or any order of the director;

                (b) Refused, neglected, or failed to keep and maintain records required by this chapter, or refused the department access to such records;

                (c) Refused the department access to any portion or area of vehicles, food handling areas, or any other areas or facilities housing equipment or product packaging used by the direct retailer in the course of performing business responsibilities; or

                (d) Failed to submit an application for a license meeting the requirements of this section or failed to pay the appropriate annual license or renewal fee.

                (8) The definitions in this subsection apply throughout this section unless the context clearly requires otherwise:

                (a) "Department" means the department of agriculture.

                (b) "Direct retailer" means an entity that receives prepackaged food from a food processor that is either licensed or inspected, or both, by a state or federal regulatory agency or the department and that delivers the food directly to consumers who only placed and paid for an order on the entity's web site, as long as:

                (i) The food is delivered by the entity without opening the packaging and without dividing it into smaller packages;

                (ii) There is no interim storage by the entity; and

                (iii) The food is delivered by means of vehicles that are equipped with either refrigeration or freezer units, or both, and that meet the requirements of rules authorized by this chapter.

Sec. 3.  RCW 69.07.120 and 2011 c 281 s 12 are each amended to read as follows:

                All moneys received by the department under the provisions of this chapter, section 2 of this act, and chapter 69.22 RCW shall be paid into the food processing inspection account hereby created within the agricultural local fund established in RCW 43.23.230 and shall be used solely to carry out the provisions of this chapter, section 2 of this act, and chapters 69.22 and 69.04 RCW."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Haigh; Hurst; Kretz; Orcutt; Pettigrew; Schmick and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representatives Dunshee; Stanford and Van De Wege.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 26, 20140)

SB 6445             Prime Sponsor, Senator Roach: Amending the definition of uniformed personnel for the purposes of public employees' collective bargaining.  Reported by Committee on Labor & Workforce Development

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 41.56.030 and 2011 1st sp.s. c 21 s 11 are each amended to read as follows:

                As used in this chapter:

                (1) "Adult family home provider" means a provider as defined in RCW 70.128.010 who receives payments from the medicaid and state-funded long-term care programs.

                (2) "Bargaining representative" means any lawful organization which has as one of its primary purposes the representation of employees in their employment relations with employers.

                (3) "Child care subsidy" means a payment from the state through a child care subsidy program established pursuant to RCW 74.12.340 or 74.08A.340, 45 C.F.R. Sec. 98.1 through 98.17, or any successor program.

                (4) "Collective bargaining" means the performance of the mutual obligations of the public employer and the exclusive bargaining representative to meet at reasonable times, to confer and negotiate in good faith, and to execute a written agreement with respect to grievance procedures and collective negotiations on personnel matters, including wages, hours and working conditions, which may be peculiar to an appropriate bargaining unit of such public employer, except that by such obligation neither party shall be compelled to agree to a proposal or be required to make a concession unless otherwise provided in this chapter.

                (5) "Commission" means the public employment relations commission.

                (6) "Executive director" means the executive director of the commission.

                (7) "Family child care provider" means a person who:  (a) Provides regularly scheduled care for a child or children in the home of the provider or in the home of the child or children for periods of less than twenty-four hours or, if necessary due to the nature of the parent's work, for periods equal to or greater than twenty-four hours; (b) receives child care subsidies; and (c) is either licensed by the state under RCW 74.15.030 or is exempt from licensing under chapter 74.15 RCW.

                (8) "Individual provider" means an individual provider as defined in RCW 74.39A.240(4) who, solely for the purposes of collective bargaining, is a public employee as provided in RCW 74.39A.270.

                (9) "Institution of higher education" means the University of Washington, Washington State University, Central Washington University, Eastern Washington University, Western Washington University, The Evergreen State College, and the various state community colleges.

                (10)(a) "Language access provider" means any independent contractor who provides spoken language interpreter services for department of social and health services appointments or medicaid enrollee appointments, or provided these services on or after January 1, 2009, and before June 10, 2010, whether paid by a broker, language access agency, or the department.

                (b) "Language access provider" does not mean an owner, manager, or employee of a broker or a language access agency.

                (11) "Public employee" means any employee of a public employer except any person (a) elected by popular vote, or (b) appointed to office pursuant to statute, ordinance or resolution for a specified term of office as a member of a multimember board, commission, or committee, whether appointed by the executive head or body of the public employer, or (c) whose duties as deputy, administrative assistant or secretary necessarily imply a confidential relationship to (i) the executive head or body of the applicable bargaining unit, or (ii) any person elected by popular vote, or (iii) any person appointed to office pursuant to statute, ordinance or resolution for a specified term of office as a member of a multimember board, commission, or committee, whether appointed by the executive head or body of the public employer, or (d) who is a court commissioner or a court magistrate of superior court, district court, or a department of a district court organized under chapter 3.46 RCW, or (e) who is a personal assistant to a district court judge, superior court judge, or court commissioner.  For the purpose of (e) of this subsection, no more than one assistant for each judge or commissioner may be excluded from a bargaining unit.

                (12) "Public employer" means any officer, board, commission, council, or other person or body acting on behalf of any public body governed by this chapter, or any subdivision of such public body.  For the purposes of this section, the public employer of district court or superior court employees for wage-related matters is the respective county legislative authority, or person or body acting on behalf of the legislative authority, and the public employer for nonwage-related matters is the judge or judge's designee of the respective district court or superior court.

                (13) "Uniformed personnel" means:  (a) Law enforcement officers as defined in RCW 41.26.030 employed by the governing body of any city or town with a population of two thousand five hundred or more and law enforcement officers employed by the governing body of any county with a population of ten thousand or more; (b) correctional employees who are uniformed and nonuniformed, commissioned and noncommissioned security personnel employed in a jail as defined in RCW 70.48.020(9), by a county with a population of seventy thousand or more, and who are trained for and charged with the responsibility of controlling and maintaining custody of inmates in the jail and safeguarding inmates from other inmates; (c) general authority Washington peace officers as defined in RCW 10.93.020 employed by a port district in a county with a population of one million or more; (d) security forces established under RCW 43.52.520; (e) firefighters as that term is defined in RCW 41.26.030; (f) employees of a port district in a county with a population of one million or more whose duties include crash fire rescue or other firefighting duties; (g) employees of fire departments of public employers who dispatch exclusively either fire or emergency medical services, or both; ((or)) (h) employees in the several classes of advanced life support technicians, as defined in RCW 18.71.200, who are employed by a public employer; or (i) court protection employees or court marshals who are trained for and commissioned by the county sheriff and charged with the responsibility of enforcing laws, protecting and maintaining security in all county-owned or contracted property, and performing any other duties assigned to them by the sheriff of the county or mandated by judicial order."

                Correct the title.

 

Signed by Representatives Sells, Chair; Reykdal, Vice Chair; Manweller, Ranking Minority Member; Christian; Green; Hunt, G.; Moeller and Ormsby.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Condotta, Assistant Ranking Minority Member.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

ESB 6549           Prime Sponsor, Senator Hobbs: Creating demonstration projects for preserving agricultural land and public infrastructure in flood plains.  Reported by Committee on Agriculture & Natural Resources

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"NEW SECTION.  Sec. 1.  (1) The legislature finds that accumulation of sediment and gravel in certain rivers of the state may be a contributing factor to threats faced by farmland and by successful recovery or enhancement efforts for certain fish populations.

                (2) The legislature further finds that improperly managed river systems may contribute to erosion and an associated reduction in acreage of productive farmland and the functions of riparian zones.  This loss could be a factor in warming of river waters, flooding in residential areas, loss of recreational access to rivers, and loss of public infrastructure.

                (3) The legislature further finds that commissioning a collaborative process to further the process of addressing river management in the state will be useful in providing a model of collaboration moving forward throughout the state.

NEW SECTION.  Sec. 2.  (1)(a) The state conservation commission must take the administrative lead in a process to evaluate the effectiveness, legal barriers, and costs of various river management strategies and techniques.  Each identified strategy and technique must be compared in regards to their value in accomplishing the following goals:

                (i) The protection of agricultural lands;

                (ii) The restoration or enhancement of fish runs; and

                (iii) The protection of public infrastructure and recreational access.

                (b) The various river management strategies and techniques reviewed by the process established in this act must ultimately be decided by the expertise panel required by this act.  In developing a list of strategies and techniques to review, the following factors must be considered:

                (i) The types of techniques that are most likely to result in decreased localized flooding events;

                (ii) The types of data or analysis that are required to ensure those techniques are appropriately sited and implemented;

                (iii) Potential impacts and benefits to fish and wildlife and their habitats that may result from the recommended techniques and how negative impacts can be eliminated or minimized;

                (iv) Potential impacts to downstream structures, properties, public access and other uses, and safety; and

                (v) The frequency and duration of post-project monitoring.

                (c) The process required by this act must also result in recommendations regarding funding mechanisms and incentives designed to encourage participation in flood reduction programs.  Funding recommendations may include federal grants, federal loans, state grants and loans, private donations, or, if other funding sources do not appear to be available, legislative appropriations from the biennial omnibus capital appropriations act or omnibus operating appropriations act.

                (2) The state conservation commission, as administrative lead, is responsible for creating timelines, arranging and chairing the meetings of the expertise panel required in this act, and reporting the conclusions of the expertise panel.

                (3) The end product of the implementation of this act must be developed by an expertise panel appointed by the executive director of the state conservation commission.  This expertise panel must include, at a minimum, representatives of the following:

                (a) The department of agriculture;

                (b) The department of natural resources;

                (c) The department of fish and wildlife;

                (d) The department of ecology;

                (e) Local and statewide agricultural organizations;

                (f) Land conservation organizations;

                (g) Local governments with interest or experience in the use of river management techniques to provide for flood control; and

                (h) Any other perspective deemed insightful by the executive director.

                (4) The state conservation commission must offer all interested Indian tribes the opportunity to send representatives to participate on the expertise panel required under this act or to serve as a co-administrative lead with the state conservation commission in the implementation of this act.

                (5) The work product resulting from the implementation of this act must include an opinion regarding the appropriateness and feasibility of conducting river management demonstration projects.  If demonstration projects are found to be appropriate and feasible, a proposed detailed outline for one or more demonstration projects that could be conducted to test various river management strategies and techniques must be developed.  Any proposed outline must be of sufficient detail as to allow for a decision by future legislatures as to whether to authorize and fund the project or projects.  At a minimum, the proposal must include recommendations as to:

                (a) The river system or systems where the demonstration projects should occur;

                (b) The time of year when projects should occur and other steps to ensure compliance with chapter 77.55 RCW;

                (c) Steps that should be taken to avoid or reduce turbidity in the rivers during the projects;

                (d) The disposition of any gravel removed from rivers during a demonstration project, if a project calls for gravel removal;

                (e) The most efficient way for all necessary federal, state, and local permits and approvals, if any, to be obtained;

                (f) The appropriate timelines and benchmarks;

                (g) The expected results; and

                (h) The proposed funding amount needed to conduct the projects.

                (6)(a) In implementing this act, the expertise panel must examine river management techniques being studied or implemented in other jurisdictions or currently underway in Washington.

                (b) The requirements of (a) of this subsection must include a review of river management techniques conducted in the Fraser river, British Columbia, Canada, for any practices that are potentially applicable in Washington.

                (7) This act must be implemented in a way that coordinates with other flood control and river management efforts in Washington.

                (8) The findings, conclusions, and recommendations resulting from the implementation of this act must be reported to the legislature, consistent with RCW 43.01.036, by October 31, 2015.

                (9) This section expires June 30, 2016."

                Correct the title.

 

Signed by Representatives Blake, Chair; Lytton, Vice Chair; Buys, Ranking Minority Member; MacEwen, Assistant Ranking Minority Member; Chandler; Haigh; Hurst; Kretz; Orcutt; Schmick; Stanford; Van De Wege and Warnick.

 

MINORITY recommendation:  Do not pass.  Signed by Representative Dunshee.

 

Referred to Committee on Appropriations Subcommittee on General Government & Information Technology.

 

February 26, 20140)

ESB 6553           Prime Sponsor, Senator Kline: Concerning the distribution of real property sale proceeds.  Reported by Committee on Judiciary

 

MAJORITY recommendation:  Do pass as amended.

 

                Strike everything after the enacting clause and insert the following:

"Sec. 1.  RCW 6.21.110 and 1994 c 185 s 3 are each amended to read as follows:

                (1) Upon the return of any sale of real estate, the clerk:  (a) Shall enter the cause, on which the execution or order of sale issued, by its title, on the motion docket, and mark opposite the same:  "Sale of land for confirmation"; (b) shall mail notice of the filing of the return of sale to all parties who have entered a written notice of appearance in the action and who have not had an order of default entered against them; (c) shall file proof of such mailing in the action; (d) shall apply the proceeds of the sale returned by the sheriff, or so much thereof as may be necessary, to satisfaction of the judgment, including interest as provided in the judgment, and shall pay any excess proceeds as provided in subsection (5) of this section by direction of court order; and (e) upon confirmation of the sale, shall deliver the original certificate of sale to the purchaser.

                (2) The judgment creditor or successful purchaser at the sheriff's sale is entitled to an order confirming the sale at any time after twenty days have elapsed from the mailing of the notice of the filing of the sheriff's return, on motion with notice given to all parties who have entered a written notice of appearance in the action and who have not had an order of default entered against them, unless the judgment debtor, or in case of the judgment debtor's death, the representative, or any nondefaulting party to whom notice was sent shall file objections to confirmation with the clerk within twenty days after the mailing of the notice of the filing of such return.

                (3) If objections to confirmation are filed, the court shall nevertheless allow the order confirming the sale, unless on the hearing of the motion, it shall satisfactorily appear that there were substantial irregularities in the proceedings concerning the sale, to the probable loss or injury of the party objecting.  In the latter case, the court shall disallow the motion and direct that the property be resold, in whole or in part, as the case may be, as upon an execution received as of that date.

                (4) Upon a resale, the bid of the purchaser at the former sale shall be deemed to be renewed and continue in force, and no bid shall be taken, except for a greater amount.  If on resale the property sells for a greater amount to any person other than the former purchaser, the clerk shall first repay to the former purchaser out of the proceeds of the resale the amount of the former purchaser's bid together with interest as is provided in the judgment.

                (5)(a) If, after ((the satisfaction)) confirmation of the sale and the judgment is satisfied, there ((be)) are any proceeds of the sale remaining, the clerk shall pay such proceeds, as provided for in (b) of this subsection, to all interests in, or liens against, the property eliminated by sale under this section in the order of priority that the interest, lien, or claim attached to the property, as determined by the court.  Any remaining proceeds shall be paid to the judgment debtor, or the judgment debtor's representative, as the case may be, before the order is made upon the motion to confirm the sale only if the party files with the clerk a waiver of all objections made or to be made to the proceedings concerning the sale; otherwise, the excess proceeds shall remain in the custody of the clerk until the sale of the property has been disposed of((; but if the sale be confirmed, such excess proceeds shall be paid to the judgment debtor or representative as a matter of course)).

(b) Anyone seeking disbursement of surplus funds shall file a motion requesting disbursement in the superior court for the county in which the surplus funds are deposited.  Notice of the motion shall be served upon or mailed to all persons who had an interest in the property at the time of sale, and any other party who has entered an appearance in the proceeding, not less than twenty days prior to the hearing of the motion.  The clerk shall not disburse such remaining proceeds except upon order of the superior court of such county.

                (6) The purchaser shall file the original certificate of sale for record with the recording officer in the county in which the property is located.

Sec. 2.  RCW 61.24.080 and 1998 c 295 s 10 are each amended to read as follows:

                The trustee shall apply the proceeds of the sale as follows:

                (1) To the expense of sale, including a reasonable charge by the trustee and by his or her attorney:  PROVIDED, That the aggregate of the charges by the trustee and his or her attorney, for their services in the sale, shall not exceed the amount which would, by the superior court of the county in which the trustee's sale occurred, have been deemed a reasonable attorney fee, had the trust deed been foreclosed as a mortgage in a noncontested action in that court;

                (2) To the obligation secured by the deed of trust; and

                (3) The surplus, if any, less the clerk's filing fee, shall be deposited, together with written notice of the amount of the surplus, a copy of the notice of trustee's sale, and an affidavit of mailing as provided in this subsection, with the clerk of the superior court of the county in which the sale took place.  The trustee shall mail copies of the notice of the surplus, the notice of trustee's sale, and the affidavit of mailing to each party to whom the notice of trustee's sale was sent pursuant to RCW 61.24.040(1).  The clerk shall index such funds under the name of the grantor as set out in the recorded notice.  Upon compliance with this subsection, the trustee shall be discharged from all further responsibilities for the surplus.  Interests in, or liens or claims of liens against the property eliminated by sale under this section shall attach to the surplus in the order of priority that it had attached to the property, as determined by the court.  A party seeking disbursement of the surplus funds shall file a motion requesting disbursement in the superior court for the county in which the surplus funds are deposited.  Notice of the motion shall be personally served upon, or mailed in the manner specified in RCW 61.24.040(1)(b), to all parties to whom the trustee mailed notice of the surplus, and any other party who has entered an appearance in the proceeding, not less than twenty days prior to the hearing of the motion.  The clerk shall not disburse such surplus except upon order of the superior court of such county.

Sec. 3.  RCW 6.17.140 and 1988 c 231 s 11 are each amended to read as follows:

                The sheriff shall, at a time as near before or after service of the writ on, or mailing of the writ to, the judgment debtor as is possible, execute the writ as follows:

                (1) If property has been attached, the sheriff shall indorse on the execution, and pay to the clerk forthwith, if he or she has not already done so, the amount of the proceeds of sales of perishable property or debts due the defendant previously received, sufficient to satisfy the judgment.

                (2) If the judgment is not then satisfied, and property has been attached and remains in custody, the sheriff shall sell the same, or sufficient thereof to satisfy the judgment.  When property has been attached and it is probable that such property will not be sufficient to satisfy the judgment, the sheriff may, on instructions from the judgment creditor, levy on other property of the judgment debtor without delay.

                (3) If then any portion of the judgment remains unsatisfied, or if no property has been attached or the same has been discharged, the sheriff shall levy on the property of the judgment debtor, sufficient to satisfy the judgment, in the manner described in RCW 6.17.160.

                (4) If, after the judgment is satisfied, any property remains in custody, the sheriff shall deliver it to the judgment debtor.

                (5) Until a levy, personal property shall not be affected by the execution.

                (6) When property has been sold or debts received on execution, the sheriff shall pay the proceeds to the clerk who issued the writ, for satisfaction of the judgment as commanded in the writ or for ((return)) payment of any excess proceeds to all interests in, or liens against, the property eliminated by the sale in the order of priority that the interest, lien, or claim attached to the property, as determined by the court.  Any remaining proceeds shall be paid to the judgment debtor.  No sheriff or other officer may retain any moneys collected on execution more than twenty days before paying the same to the clerk of the court who issued the writ.

Sec. 4.  RCW 6.17.150 and 1987 c 442 s 415 are each amended to read as follows:

                Upon receipt of proceeds from the sheriff on execution, the clerk shall notify the party to whom the same is payable, and pay over the amount to that party as required by law.  If any proceeds remain after satisfaction of the judgment, the clerk shall pay the excess to all interests in, or liens against, the property eliminated by the sale in the order of priority that the interest, lien, or claim attached to the property, as determined by the court.  Any remaining proceeds shall be paid to the judgment debtor."

                Correct the title.

 

Signed by Representatives Jinkins, Chair; Hansen, Vice Chair; Rodne, Ranking Minority Member; Nealey, Assistant Ranking Minority Member; Goodman; Haler; Kirby; Klippert; Muri; Orwall; Roberts; Shea and Walkinshaw.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SJM 8003           Prime Sponsor, Senator Kohl-Welles: Requesting Congress to amend the Communications Decency Act.  Reported by Committee on Technology & Economic Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Morris, Chair; Habib, Vice Chair; Smith, Ranking Minority Member; Short, Assistant Ranking Minority Member; Dahlquist; DeBolt; Fey; Freeman; Hudgins; Kochmar; Magendanz; Ryu; Stonier; Tarleton; Vick; Walsh; Wylie and Zeiger.

 

Passed to Committee on Rules for second reading.

 

February 26, 20140)

SSJM 8007         Prime Sponsor, Committee on Trade & Economic Development: Requesting that congress pass legislation reforming the harbor maintenance tax.  Reported by Committee on Technology & Economic Development

 

MAJORITY recommendation:  Do pass.  Signed by Representatives Morris, Chair; Habib, Vice Chair; Smith, Ranking Minority Member; Short, Assistant Ranking Minority Member; Dahlquist; DeBolt; Fey; Freeman; Hudgins; Kochmar; Magendanz; Ryu; Stonier; Tarleton; Vick; Walsh; Wylie and Zeiger.

 

Passed to Committee on Rules for second reading.

 

There being no objection, the bills listed on the day’s committee reports and 1st, 2nd, and 3rd supplemental committee reports under the fifth order of business were referred to the committees so designated.

 

There being no objection, the House advanced to the eighth order of business.

 

There being no objection, the Committee on Appropriations Subcommittee on General Government & Information Technology was relieved of ENGROSSED SENATE BILL NO. 6034 and SENATE BILL NO. 6035 , and the bills were referred to the Committee on Rules.

 

There being no objection, the House advanced to the eleventh order of business.

 

There being no objection, the House adjourned until 9:55 a.m., February 27, 2014, the 46th Day of the Regular Session.

 

FRANK CHOPP, Speaker

BARBARA BAKER, Chief Clerk

 

 

 

 

 

 

 

 

 




2791

Introduction & 1st Reading.................................................................. 1

2792

Introduction & 1st Reading.................................................................. 1

2793

Introduction & 1st Reading.................................................................. 1

2794

Introduction & 1st Reading.................................................................. 1

2795

Introduction & 1st Reading.................................................................. 1

2796

Introduction & 1st Reading.................................................................. 1

2797

Introduction & 1st Reading.................................................................. 1

5048

Committee Report................................................................................ 1

5064-S2

Committee Report................................................................................ 1

5097

Committee Report................................................................................ 1

5123-S

Committee Report................................................................................ 1

5141

Committee Report................................................................................ 1

5173-S

Committee Report................................................................................ 1

5360-S

Committee Report................................................................................ 1

5514

Committee Report................................................................................ 1

5775

Committee Report................................................................................ 1

5785-S

Committee Report................................................................................ 1

5889-S

Committee Report................................................................................ 1

5957

Committee Report................................................................................ 1

5958-S2

Committee Report................................................................................ 1

5964

Committee Report................................................................................ 1

5969-S

Committee Report................................................................................ 1

5973-S2

Committee Report................................................................................ 1

5975-S

Committee Report................................................................................ 1

5977-S

Committee Report................................................................................ 1

5981

Committee Report................................................................................ 1

5991-S

Committee Report................................................................................ 1

5999

Committee Report................................................................................ 1

6005-S

Committee Report................................................................................ 1

6007-S

Committee Report................................................................................ 1

6010

Committee Report................................................................................ 1

6011

Committee Report................................................................................ 1

6013

Committee Report................................................................................ 1

6014-S

Committee Report................................................................................ 1

6016-S

Committee Report................................................................................ 1

6017-S

Committee Report................................................................................ 1

6025

Committee Report................................................................................ 1

6031

Committee Report................................................................................ 1

6034

Other Action......................................................................................... 1

6035

Other Action......................................................................................... 1

6040-S

Committee Report................................................................................ 1

6041-S

Committee Report................................................................................ 1

6045

Committee Report................................................................................ 1

6046-S

Committee Report................................................................................ 1

6047

Committee Report................................................................................ 1

6054-S

Committee Report................................................................................ 1

6059

Committee Report................................................................................ 1

6060-S

Committee Report................................................................................ 1

6062-S2

Committee Report................................................................................ 1

6065

Committee Report................................................................................ 1

6074-S

Committee Report................................................................................ 1

6078-S

Committee Report................................................................................ 1

6079

Committee Report................................................................................ 1

6093

Committee Report................................................................................ 1

6094-S

Committee Report................................................................................ 1

6095-S

Committee Report................................................................................ 1

6096-S2

Committee Report................................................................................ 1

6105-S

Committee Report................................................................................ 1

6110-S

Committee Report................................................................................ 1

6114

Committee Report................................................................................ 1

6115

Committee Report................................................................................ 1

6122

Committee Report................................................................................ 1

6124-S

Committee Report................................................................................ 1

6126-S2

Committee Report................................................................................ 1

6128

Committee Report................................................................................ 1

6129-S

Committee Report................................................................................ 1

6133

Committee Report................................................................................ 1

6137-S

Committee Report................................................................................ 1

6138

Committee Report................................................................................ 1

6141

Committee Report................................................................................ 1

6145-S

Committee Report................................................................................ 1

6150-S

Committee Report................................................................................ 1

6163-S2

Committee Report................................................................................ 1

6180

Committee Report................................................................................ 1

6194

Committee Report................................................................................ 1

6199-S

Committee Report................................................................................ 1

6201

Committee Report................................................................................ 1

6206

Committee Report................................................................................ 1

6207-S

Committee Report................................................................................ 1

6216-S

Committee Report................................................................................ 1

6219

Committee Report................................................................................ 1

6226-S

Committee Report................................................................................ 1

6228-S

Committee Report................................................................................ 1

6237-S

Committee Report................................................................................ 1

6242-S

Committee Report................................................................................ 1

6248

Committee Report................................................................................ 1

6265-S

Committee Report................................................................................ 1

6272-S

Committee Report................................................................................ 1

6273-S

Committee Report................................................................................ 1

6279-S

Committee Report................................................................................ 1

6283-S

Committee Report................................................................................ 1

6286-S

Committee Report................................................................................ 1

6290-S

Committee Report................................................................................ 1

6297-S

Committee Report................................................................................ 1

6321

Committee Report................................................................................ 1

6338

Committee Report................................................................................ 1

6358

Committee Report................................................................................ 1

6362-S

Committee Report................................................................................ 1

6387-S

Committee Report................................................................................ 1

6388-S

Committee Report................................................................................ 1

6413

Committee Report................................................................................ 1

6415

Committee Report................................................................................ 1

6423-S2

Committee Report................................................................................ 1

6424

Committee Report................................................................................ 1

6431-S

Committee Report................................................................................ 1

6442-S

Committee Report................................................................................ 1

6445

Committee Report................................................................................ 1

6446-S

Committee Report................................................................................ 1

6450-S

Committee Report................................................................................ 1

6453-S

Committee Report................................................................................ 1

6458

Committee Report................................................................................ 1

6479-S

Committee Report................................................................................ 1

6501

Committee Report................................................................................ 1

6511-S

Committee Report................................................................................ 1

6514

Committee Report................................................................................ 1

6517-S

Committee Report................................................................................ 1

6522

Committee Report................................................................................ 1

6549

Committee Report................................................................................ 1

6552-S2

Committee Report................................................................................ 1

6553

Committee Report................................................................................ 1

6558-S

Committee Report................................................................................ 1

8003

Committee Report................................................................................ 1

8007-S

Committee Report................................................................................ 1

8015

Committee Report................................................................................ 1

8409

Committee Report................................................................................ 1

HOUSE OF REPRESENTATIVES (Representative Moeller presiding)

Point of Personal Privilege, Representative Klippert........................... 1