EIGHTY SECOND DAY

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MORNING SESSION

___________________________________________________________________________________________

 

House Chamber, Olympia, Friday, March 30, 2001

 

             The House was called to order at 9:55 a.m. by the Speaker (Representative Mastin presiding).

 

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

 

INTRODUCTIONS AND FIRST READING

 

HB 2227           by Representatives Ahern, Gombosky, Schoesler, Wood, Benson, Haigh, Schindler, Conway, Cox, Reardon, Schmidt and Talcott (by report of Department of Veterans Affairs)

 

              AN ACT Relating to establishing the eastern Washington veterans' home; amending RCW 72.36.035, 72.36.045, 72.36.055, 72.36.060, 43.60A.075, and 72.36.090; and adding a new section to chapter 72.36 RCW.

 

             Held on First Reading.

 

ESSB 5378       by Senate Committee on Natural Resources, Parks & Shorelines

 

              AN ACT Relating to amendments to shoreline master programs and critical areas; amending RCW 90.58.080 and 36.70A.130; and creating a new section.

 

             Held on First Reading.

 

ESB 5882         by Senators T. Sheldon, Hale, Hewitt, Hargrove, Rasmussen, Honeyford, Carlson, Haugen, Shin, Hochstatter, Horn, Stevens, Zarelli, Oke, Deccio, McCaslin, West, Long, Swecker, Sheahan, McDonald, Johnson, Rossi, Morton and Parlette

 

              AN ACT Relating to occupational safety and health; adding new sections to chapter 49.17 RCW; adding a new section to chapter 44.28 RCW; creating a new section; providing expiration dates; and declaring an emergency.

 

             Held on First Reading.

 

             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.

 

REPORTS OF STANDING COMMITTEES

 

March 29, 2001

HB 1995           Prime Sponsor, Representative Dickerson: Prohibiting civil forfeitures of property unless the owner has been convicted of a crime. Reported by Committee on Judiciary

 

MAJORITY recommendation: The substitute bill be substituted therefor and the substitute bill do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Dickerson, Esser, Lovick and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

HB 2225           Prime Sponsor, Representative Carrell: Protecting communities located in close proximity to the special commitment center and the less restrictive alternative treatment facility, and mitigating for the effects of these facilities. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Esser and Lovick.

 

             MINORITY recommendation: Do not pass. Signed by Representatives Dickerson and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Esser, and Lovick.

             Voting nay: Representatives Dickerson and McDermott.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SSB 5014          Prime Sponsor, Senate Committee on Human Services & Corrections: Harmonizing the definitions of sex and kidnapping offenders under the criminal and registration statutes. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5015          Prime Sponsor, Senate Committee on Judiciary: Modifying the definition of border area. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass. Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Sehlin, Sommers, Barlean, Doumit, Benson, Boldt, Buck, Clements, Cody, Cox, Dunshee, Fromhold, Grant, Keiser, Kenney, Kessler, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Talcott and Tokuda.

             Excused: Representatives Alexander, Gombosky, Kagi, Kessler, and Lisk.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5035            Prime Sponsor, Senator Prentice: Creating the financial services regulation fund. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass. Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Boldt, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Keiser, Kenney, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Gombosky, Kagi, Kessler, and Lisk.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5048            Prime Sponsor, Senator Long: Changing provisions relating to less restrictive alternative commitments. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ahern, Ballasiotes, Cairnes, Kagi, Kirby, Lovick, Morell, and O'Brien.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5057            Prime Sponsor, Senator Gardner: Specifying how code cities may change the plan of government. Reported by Committee on Local Government & Housing

 

MAJORITY recommendation: Do pass. Signed by Representatives Dunshee, Democratic Co-Chair; Mulliken, Republican Co-Chair; Edwards, Democratic Vice Chair; Mielke, Republican Vice Chair; Berkey; Crouse; DeBolt; Dunn; Edmonds; Hatfield; Jarrett and Kirby.

 

             Voting yea: Representatives Berkey, Crouse, DeBolt, Dunn, Dunshee, Edmonds, Edwards, Hatfield, Jarrett, Mielke, and Mulliken.

             Excused: Representative Kirby

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

ESSB 5060       Prime Sponsor, Senate Committee on State & Local Government: Revising alternative public works contracting procedures. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 39.10.020 and 2000 c 209 s 1 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Alternative public works contracting procedure" means the design-build and the general contractor/construction manager contracting procedures authorized in ((RCW 39.10.050 and 39.10.060)) sections 2 and 3 of this act, respectively.

             (2) "Public body" means the state department of general administration; the University of Washington; Washington State University; every city with a population greater than ((one hundred fifty)) seventy thousand and any public authority chartered by such city under RCW 35.21.730 through 35.21.755 and specifically authorized as provided in RCW 39.10.120(4); ((every city authorized to use the design-build procedure for a water system demonstration project under RCW 39.10.065(3);)) every county with a population greater than four hundred fifty thousand; every port district with a population greater than five hundred thousand; and those school districts proposing projects that are considered and approved by the school district project review board under RCW 39.10.115.

             (3) "Public works project" means any work for a public body within the definition of the term public work in RCW 39.04.010.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 39.10 RCW to read as follows:

             (1) Notwithstanding any other provision of law, and after complying with RCW 39.10.030, the following public bodies may utilize the design-build procedure of public works contracting for public works projects authorized under this section: The state department of general administration; the University of Washington; Washington State University; every city with a population greater than seventy thousand and any public authority chartered by such city under RCW 35.21.730 through 35.21.755 and specifically authorized as provided in RCW 39.10.120(4); every county with a population greater than four hundred fifty thousand; and every port district with a population greater than five hundred thousand. The authority granted to port districts in this section is in addition to and does not affect existing contracting authority under RCW 53.08.120 and 53.08.130. For the purposes of this section, "design-build procedure" means a contract between a public body and another party in which the party agrees to both design and build the facility, portion of the facility, or other item specified in the contract.

             (2) Public bodies authorized under this section may utilize the design-build procedure for public works projects valued over twelve million dollars where:

             (a) The construction activities or technologies to be used are highly specialized and a design-build approach is critical in developing the construction methodology or implementing the proposed technology; or

             (b) The project design is repetitive in nature and is an incidental part of the installation or construction; or

             (c) Regular interaction with and feedback from facilities users and operators during design is not critical to an effective facility design.

             (3) Public bodies authorized under this section may also use the design-build procedure for the following projects that meet the criteria in subsection (2)(b) and (c) of this section:

             (a) The construction or erection of preengineered metal buildings or prefabricated modular buildings, regardless of cost; or

             (b) The construction of new student housing projects valued over five million dollars.

             (4) Contracts for design-build services shall be awarded through a competitive process utilizing public solicitation of proposals for design-build services. The public body shall publish at least once in a legal newspaper of general circulation published in or as near as possible to that part of the county in which the public work will be done, a notice of its request for proposals for design-build services and the availability and location of the request for proposal documents. The request for proposal documents shall include:

             (a) A detailed description of the project including programmatic, performance, and technical requirements and specifications, functional and operational elements, minimum and maximum net and gross areas of any building, and, at the discretion of the public body, preliminary engineering and architectural drawings;

             (b) The reasons for using the design-build procedure;

             (c) A description of the qualifications to be required of the proposer including, but not limited to, submission of the proposer's accident prevention program;

             (d) A description of the process the public body will use to evaluate qualifications and proposals, including evaluation factors and the relative weight of factors. Evaluation factors shall include, but not be limited to: Proposal price; ability of professional personnel; past performance on similar projects; ability to meet time and budget requirements; ability to provide a performance and payment bond for the project; recent, current, and projected work loads of the firm; location; and the concept of the proposal;

             (e) The form of the contract to be awarded;

             (f) The amount to be paid to finalists submitting best and final proposals who are not awarded a design-build contract; and

             (g) Other information relevant to the project.

             (5) The public body shall establish a committee to evaluate the proposals based on the factors, weighting, and process identified in the request for proposals. Based on its evaluation, the public body shall select not fewer than three nor more than five finalists to submit best and final proposals. The public body may, in its sole discretion, reject all proposals. Design-build contracts shall be awarded using the procedures in (a) or (b) of this subsection.

             (a) Best and final proposals shall be evaluated and scored based on the factors, weighting, and process identified in the initial request for proposals. The public body may score the proposals using a system that measures the quality and technical merits of the proposal on a unit price basis. Final proposals may not be considered if the proposal cost is greater than the maximum allowable construction cost identified in the initial request for proposals. The public body shall initiate negotiations with the firm submitting the highest scored best and final proposal. If the public body is unable to execute a contract with the firm submitting the highest scored best and final proposal, negotiations with that firm may be suspended or terminated and the public body may proceed to negotiate with the next highest scored firm. Public bodies shall continue in accordance with this procedure until a contract agreement is reached or the selection process is terminated.

             (b) If the public body determines that all finalists are capable of producing plans and specifications that adequately meet project requirements, the public body may award the contract to the firm that submits the responsive best and final proposal with the lowest price.

             (6) The firm awarded the contract shall provide a performance and payment bond for the contracted amount. The public body shall provide appropriate honorarium payments to finalists submitting best and final proposals who are not awarded a design-build contract. Honorarium payments shall be sufficient to generate meaningful competition among potential proposers on design-build projects.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 39.10 RCW to read as follows:

             (1) Notwithstanding any other provision of law, and after complying with RCW 39.10.030, a public body may utilize the general contractor/construction manager procedure of public works contracting for public works projects authorized under subsection (2) of this section. For the purposes of this section, "general contractor/construction manager" means a firm with which a public body has selected and negotiated a maximum allowable construction cost to be guaranteed by the firm, after competitive selection through formal advertisement and competitive bids, to provide services during the design phase that may include life-cycle cost design considerations, value engineering, scheduling, cost estimating, constructability, alternative construction options for cost savings, and sequencing of work, and to act as the construction manager and general contractor during the construction phase.

             (2) Except those school districts proposing projects that are considered and approved by the school district project review board, public bodies authorized under this section may utilize the general contractor/construction manager procedure for public works projects valued over twelve million dollars where:

             (a) Implementation of the project involves complex scheduling requirements; or

             (b) The project involves construction at an existing facility which must continue to operate during construction; or

             (c) The involvement of the general contractor/construction manager during the design stage is critical to the success of the project.

             (3) Public bodies should select general contractor/construction managers early in the life of public works projects, and in most situations no later than the completion of schematic design.

             (4) Contracts for the services of a general contractor/construction manager under this section shall be awarded through a competitive process requiring the public solicitation of proposals for general contractor/construction manager services. The public solicitation of proposals shall include: A description of the project, including programmatic, performance, and technical requirements and specifications when available; the reasons for using the general contractor/construction manager procedure; a description of the qualifications to be required of the proposer, including submission of the proposer's accident prevention program; a description of the process the public body will use to evaluate qualifications and proposals, including evaluation factors and the relative weight of factors; the form of the contract to be awarded; the estimated maximum allowable construction cost; and the bid instructions to be used by the general contractor/construction manager finalists. Evaluation factors shall include, but not be limited to: Ability of professional personnel, past performance in negotiated and complex projects, and ability to meet time and budget requirements; the scope of work the general contractor/construction manager proposes to self-perform and its ability to perform it; location; recent, current, and projected work loads of the firm; and the concept of their proposal. A public body shall establish a committee to evaluate the proposals. After the committee has selected the most qualified finalists, these finalists shall submit final proposals, including sealed bids for the percent fee, which is the percentage amount to be earned by the general contractor/construction manager as overhead and profit, on the estimated maximum allowable construction cost and the fixed amount for the detailed specified general conditions work. The public body shall select the firm submitting the highest scored final proposal using the evaluation factors and the relative weight of factors published in the public solicitation of proposals.

             (5) The maximum allowable construction cost may be negotiated between the public body and the selected firm after the scope of the project is adequately determined to establish a guaranteed contract cost for which the general contractor/construction manager will provide a performance and payment bond. The guaranteed contract cost includes the fixed amount for the detailed specified general conditions work, the negotiated maximum allowable construction cost, the percent fee on the negotiated maximum allowable construction cost, and sales tax. If the public body is unable to negotiate a satisfactory maximum allowable construction cost with the firm selected that the public body determines to be fair, reasonable, and within the available funds, negotiations with that firm shall be formally terminated and the public body shall negotiate with the next highest scored firm and continue until an agreement is reached or the process is terminated. If the maximum allowable construction cost varies more than fifteen percent from the bid estimated maximum allowable construction cost due to requested and approved changes in the scope by the public body, the percent fee shall be renegotiated.

             (6) All subcontract work shall be competitively bid with public bid openings. When critical to the successful completion of a subcontractor bid package and after publication of notice of intent to determine bidder eligibility in a legal newspaper of general circulation published in or as near as possible to that part of the county in which the public work will be done at least twenty days before requesting qualifications from interested subcontract bidders, the owner and general contractor/construction manager may determine subcontractor bidding eligibility using the following evaluation criteria:

             (a) Adequate financial resources or the ability to secure such resources;

             (b) History of successful completion of a contract of similar type and scope;

             (c) Project management and project supervision personnel with experience on similar projects and the availability of such personnel for the project;

             (d) Current and projected workload and the impact the project will have on the subcontractor's current and projected workload;

             (e) Ability to accurately estimate the subcontract bid package scope of work;

             (f) Ability to meet subcontract bid package shop drawing and other coordination procedures;

             (g) Eligibility to receive an award under applicable laws and regulations; and

             (h) Ability to meet subcontract bid package scheduling requirements.

             The owner and general contractor/construction manager shall weigh the evaluation criteria and determine a minimum acceptable score to be considered an eligible subcontract bidder.

             After publication of notice of intent to determine bidder eligibility, subcontractors requesting eligibility shall be provided the evaluation criteria and weighting to be used by the owner and general contractor/construction manager to determine eligible subcontract bidders. After the owner and general contractor/construction manager determine eligible subcontract bidders, subcontractors requesting eligibility shall be provided the results and scoring of the subcontract bidder eligibility determination.

             Subcontract bid packages shall be awarded to the responsible bidder submitting the low responsive bid. The requirements of RCW 39.30.060 apply to each subcontract bid package. All subcontractors who bid work over three hundred thousand dollars shall post a bid bond and all subcontractors who are awarded a contract over three hundred thousand dollars shall provide a performance and payment bond for their contract amount. All other subcontractors shall provide a performance and payment bond if required by the general contractor/construction manager. A low bidder who claims error and fails to enter into a contract is prohibited from bidding on the same project if a second or subsequent call for bids is made for the project. Except as provided for under subsection (7) of this section, bidding on subcontract work by the general contractor/construction manager or its subsidiaries is prohibited. The general contractor/construction manager may negotiate with the low-responsive bidder in accordance with RCW 39.10.080 or, if unsuccessful in such negotiations, rebid.

             (7) The general contractor/construction manager, or its subsidiaries, may bid on subcontract work if:

             (a) The work within the subcontract bid package is customarily performed by the general contractor/construction manager;

             (b) The bid opening is managed by the public body; and

             (c) Notification of the general contractor/construction manager's intention to bid is included in the public solicitation of bids for the bid package.

             In no event may the value of subcontract work performed by the general contractor/construction manager exceed thirty percent of the negotiated maximum allowable construction cost.

             (8) A public body may include an incentive clause in any contract awarded under this section for savings of either time or cost or both from that originally negotiated. No incentives granted may exceed five percent of the maximum allowable construction cost. If the project is completed for less than the agreed upon maximum allowable construction cost, any savings not otherwise negotiated as part of an incentive clause shall accrue to the public body. If the project is completed for more than the agreed upon maximum allowable construction cost, excepting increases due to any contract change orders approved by the public body, the additional cost shall be the responsibility of the general contractor/construction manager.

 

             Sec. 4. RCW 39.10.115 and 2000 c 209 s 4 are each amended to read as follows:

             (1) The school district project review board is established to review school district proposals submitted by school districts to use alternative public works contracting procedures. The board shall select and approve qualified projects based upon an evaluation of the information submitted by the school district under subsection (2) of this section. ((The membership of the board shall be selected by the independent oversight committee as established under RCW 39.10.110)) After July 1, 2001, any appointments for full terms or to fill a vacancy shall be made by the governor and shall include the following representatives, each having experience with public works or commercial construction: One representative from the office of the superintendent of public instruction; one representative from the office of financial management; two representatives from the construction industry, one of whom works for a construction company with gross annual revenues of twenty million dollars or less; one representative from the specialty contracting industry; one representative from organized labor; one representative from the design industry; one representative from a public body previously authorized under this chapter to use an alternative public works contracting procedure who has experience using such alternative contracting procedures; one representative from school districts with ten thousand or more annual average full-time equivalent pupils; and one representative from school districts with fewer than ten thousand average full-time equivalent pupils. Each member shall be appointed for a term of three years, with the first three-year term commencing after June 8, 2000. Any member of the school district project review board who is directly affiliated with any applicant before the board must recuse him or herself from consideration of the application.

             (2) A school district seeking to use alternative contracting procedures authorized under this chapter shall file an application with the school district project review board. The application form shall require the district to submit a detailed statement of the proposed project, including the school district's name; student population based upon October full-time equivalents; the current projected total budget for the project, including the estimated construction costs, costs for professional services, equipment and furnishing costs, off-site costs, contract administration costs, and other related project costs; the anticipated project design and construction schedule; a summary of the school district's construction activity for the preceding six years; and an explanation of why the school district believes the use of an alternative contracting procedure is in the public interest and why the school district is qualified to use an alternative contracting procedure, including a summary of the relevant experience of the school district's management team. The applicant shall also provide in a timely manner any other information concerning implementation of projects under this chapter requested by the school district project review board to assist in its consideration.

             (3) Any school district whose application is approved by the school district project review board shall comply with the public notification and review requirements in RCW 39.10.030.

             (4) Any school district whose application is approved by the school district project review board shall not use as an evaluation factor whether a contractor submitting a bid for the approved project has had prior general contractor/construction manager procedure experience.

             (((5) The school district project review board shall prepare and issue a report reviewing the use of the alternative public works contracting procedures by school districts. The board shall report to the independent oversight committee at least sixty days before the oversight committee is required to report to the legislature under RCW 39.10.110(4).))

 

             Sec. 5. RCW 39.10.120 and 1997 c 376 s 7 and 1997 c 220 s 404 are each reenacted and amended to read as follows:

             (1) Except as provided in subsections (2) and (3) of this section, the alternative public works contracting procedures authorized under this chapter are limited to public works contracts signed before July 1, ((2001)) 2007. Methods of public works contracting authorized by RCW 39.10.050 and 39.10.060 or sections 2 and 3 of this act shall remain in full force and effect until completion of contracts signed before July 1, ((2001)) 2007.

             (2) For the purposes of a baseball stadium as defined in RCW 82.14.0485, the design-build contracting procedures under RCW 39.10.050 shall remain in full force and effect until completion of contracts signed before December 31, 1997.

             (3) For the purposes of a stadium and exhibition center, as defined in RCW 36.102.010, the design-build contracting procedures under RCW 39.10.050 or section 2 of this act shall remain in full force and effect until completion of contracts signed before December 31, 2002.

             (4) A public authority chartered by a city that is a public body may utilize an alternative public works contracting procedure under this chapter only after receiving specific authorization on a project-by-project basis from the governing body of the city. For purposes of public authorities authorized to use alternative public works contracting procedures under this chapter, the city chartering any such public authority shall itself comply with RCW 39.10.030 on behalf of the public authority.

 

             Sec. 6. RCW 39.10.902 and 1997 c 376 s 8 are each amended to read as follows:

             The following acts or parts of acts, as now existing or hereafter amended, are each repealed, effective July 1, ((2001)) 2007:

             (1) RCW 39.10.010 and 1994 c 132 s 1;

             (2) RCW 39.10.020 and section 1 of this act, 2000 c 209 s 1, 1997 c 376 s 1, & 1994 c 132 s 2;

             (3) RCW 39.10.030 and 1997 c 376 s 2 & 1994 c 132 s 3;

             (4) RCW 39.10.040 and 1994 c 132 s 4;

             (5) ((RCW 39.10.050 and 1994 c 132 s 5)) Section 2 of this act;

             (6) ((RCW 39.10.060 and 1994 c 132 s 6)) Section 3 of this act;

             (7) RCW 39.10.065 and 1997 c 376 s 5;

             (8) RCW 39.10.067 and 2000 c 209 s 3;

             (9) RCW 39.10.070 and 1994 c 132 s 7;

             (((9))) (10) RCW 39.10.080 and 1994 c 132 s 8;

             (((10))) (11) RCW 39.10.090 and 1994 c 132 s 9;

             (((11))) (12) RCW 39.10.100 and 1994 c 132 s 10;

             (((12) RCW 39.10.110 and 1994 c 132 s 11;))

             (13) RCW 39.10.115 and section 4 of this act & 2000 c 209 s 4;

             (14) RCW 39.10.900 and 1994 c 132 s 13; and

             (((14))) (15) RCW 39.10.901 and 1994 c 132 s 14((; and

             (15) RCW 39.10.902 and 1994 c 132 s 15)).

 

             NEW SECTION. Sec. 7. The following acts or parts of acts are each repealed:

             (1) RCW 39.10.050 (Design-build procedure--Which public bodies may use) and 1997 c 376 s 3 & 1994 c 132 s 5;

             (2) RCW 39.10.060 (General contractor/construction manager procedure--Which public bodies may use--Limitations) and 2000 c 209 s 2, 2000 c 194 s 1, 1997 c 376 s 4, 1996 c 18 s 6, & 1994 c 132 s 6; and

             (3) RCW 39.10.110 (Temporary independent oversight committee) and 1997 c 376 s 6 & 1994 c 132 s 11.

 

             NEW SECTION. Sec. 8. 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 July 1, 2001."

 

             Correct the title.

 

Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert and McDermott.

 

             Voting yea: Representatives Haigh, Lambert, McDermott, McMorris, Miloscia, Romero, and Schindler.

             Voting nay: Representative Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5061            Prime Sponsor, Senator Winsley: Awarding contracts for building engineering systems. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass. Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives Haigh, Lambert, McDermott, McMorris, Miloscia, Romero, Schindler and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5063            Prime Sponsor, Senator Patterson: Authorizing a limited public works process. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 39.04.155 and 2000 c 138 s 101 are each amended to read as follows:

             (1) This section provides uniform small works roster provisions to award contracts for construction, building, renovation, remodeling, alteration, repair, or improvement of real property that may be used by state agencies and by any local government that is expressly authorized to use these provisions. These provisions may be used in lieu of other procedures to award contracts for such work with an estimated cost of two hundred thousand dollars or less. The small works roster process includes the limited public works process authorized under subsection (3) of this section and any local government authorized to award contracts using the small works roster process under this section may award contracts using the limited public works process under subsection (3) of this section.

             (2)(a) A state agency or authorized local government may create a single general small works roster, or may create a small works roster for different specialties or categories of anticipated work. Where applicable, small works rosters may make distinctions between contractors based upon different geographic areas served by the contractor. The small works roster or rosters shall consist of all responsible contractors who have requested to be on the list, and where required by law are properly licensed or registered to perform such work in this state. A state agency or local government establishing a small works roster or rosters may require eligible contractors desiring to be placed on a roster or rosters to keep current records of any applicable licenses, certifications, registrations, bonding, insurance, or other appropriate matters on file with the state agency or local government as a condition of being placed on a roster or rosters. At least once a year, the state agency or local government shall publish in a newspaper of general circulation within the jurisdiction a notice of the existence of the roster or rosters and solicit the names of contractors for such roster or rosters. In addition, responsible contractors shall be added to an appropriate roster or rosters at any time they submit a written request and necessary records. Master contracts may be required to be signed that become effective when a specific award is made using a small works roster.

             (((3))) (b) A state agency establishing a small works roster or rosters shall adopt rules implementing this ((section)) subsection. A local government establishing a small works roster or rosters shall adopt an ordinance or resolution implementing this ((section)) subsection. Procedures included in rules adopted by the department of general administration in implementing this ((section)) subsection must be included in any rules providing for a small works roster or rosters that is adopted by another state agency, if the authority for that state agency to engage in these activities has been delegated to it by the department of general administration under chapter 43.19 RCW. An interlocal contract or agreement between two or more state agencies or local governments establishing a small works roster or rosters to be used by the parties to the agreement or contract must clearly identify the lead entity that is responsible for implementing the provisions of this ((section)) subsection.

             (((4))) (c) Procedures shall be established for securing telephone, written, or electronic quotations from contractors on the appropriate small works roster to assure that a competitive price is established and to award contracts to the lowest responsible bidder, as defined in RCW 43.19.1911. Invitations for quotations shall include an estimate of the scope and nature of the work to be performed as well as materials and equipment to be furnished. However, detailed plans and specifications need not be included in the invitation. This ((section)) subsection does not eliminate other requirements for architectural or engineering approvals as to quality and compliance with building codes. Quotations may be invited from all appropriate contractors on the appropriate small works roster. As an alternative, quotations may be invited from at least five contractors on the appropriate small works roster who have indicated the capability of performing the kind of work being contracted, in a manner that will equitably distribute the opportunity among the contractors on the appropriate roster. However, if the estimated cost of the work is from one hundred thousand dollars to two hundred thousand dollars, a state agency or local government, other than a port district, that chooses to solicit bids from less than all the appropriate contractors on the appropriate small works roster must also notify the remaining contractors on the appropriate small works roster that quotations on the work are being sought. The government has the sole option of determining whether this notice to the remaining contractors is made by: (((a))) (i) Publishing notice in a legal newspaper in general circulation in the area where the work is to be done; (((b))) (ii) mailing a notice to these contractors; or (((c))) (iii) sending a notice to these contractors by facsimile or other electronic means. For purposes of this subsection (2)(c), "equitably distribute" means that a state agency or local government soliciting bids may not favor certain contractors on the appropriate small works roster over other contractors on the appropriate small works roster who perform similar services.

             (((5))) (d) A contract awarded from a small works roster under this section need not be advertised.

             (((6))) (e) Immediately after an award is made, the bid quotations obtained shall be recorded, open to public inspection, and available by telephone inquiry.

             (((7))) (3) In lieu of awarding contracts under subsection (2) of this section, a state agency or authorized local government may award a contract for work, construction, alteration, repair, or improvement project estimated to cost less than thirty-five thousand dollars using the limited public works process provided under this subsection. Public works projects awarded under this subsection are exempt from the other requirements of the small works roster process provided under subsection (2) of this section and are exempt from the requirement that contracts be awarded after advertisement as provided under RCW 39.04.010.

             For limited public works projects, a state agency or authorized local government shall solicit electronic or written quotations from a minimum of three contractors from the appropriate small works roster and shall award the contract to the lowest responsible bidder as defined under RCW 43.19.1911. After an award is made, the quotations shall be open to public inspection and available by electronic request. A state agency or authorized local government shall attempt to distribute opportunities for limited public works projects equitably among contractors willing to perform in the geographic area of the work. A state agency or authorized local government shall maintain a list of the contractors contacted and the contracts awarded during the previous twenty-four months under the limited public works process, including the name of the contractor, the contractor's registration number, the amount of the contract, a brief description of the type of work performed, and the date the contract was awarded. For limited public works projects, a state agency or authorized local government may waive the payment and performance bond requirements of chapter 39.08 RCW and the retainage requirements of chapter 60.28 RCW, thereby assuming the liability for the contractor's nonpayment of laborers, mechanics, subcontractors, materialmen, suppliers, and taxes imposed under Title 82 RCW that may be due from the contractor for the limited public works project, however the state agency or authorized local government shall have the right of recovery against the contractor for any payments made on the contractor's behalf.

             (4) The breaking of any project into units or accomplishing any projects by phases is prohibited if it is done for the purpose of avoiding the maximum dollar amount of a contract that may be let using the small works roster process or limited public works process.

             (((8))) (5) As used in this section, "state agency" means the department of general administration, the state parks and recreation commission, the department of natural resources, the department of fish and wildlife, the department of transportation, any institution of higher education as defined under RCW 28B.10.016, and any other state agency delegated authority by the department of general administration to engage in construction, building, renovation, remodeling, alteration, improvement, or repair activities."

 

             Correct the title.

 

Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives Haigh, Lambert, McDermott, McMorris, Miloscia, Romero, Schindler and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5070          Prime Sponsor, Senate Committee on Judiciary: Restricting the length of the term of jury service. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, beginning on line 28, strike everything through "assigned" on line 31 and insert "extend beyond the end of the jury term, and may not exceed two weeks, except to complete a trial to which the juror was assigned during the two week period. However, once a juror has completed a trial or has served at least two days of jury service, the court may for good cause excuse that juror from any remaining period of the jury term"

 

Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Esser and Lovick.

 

MINORITY recommendation: Do not pass. Signed by Representatives Dickerson and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Esser and Lovick.

             Voting nay: Representatives Dickerson and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5077          Prime Sponsor, Senate Committee on State & Local Government: Modifying the provisional employment of sheriff's employees. Reported by Committee on Local Government & Housing

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 25, after "period" strike all material through "testing" on line 26 and insert "up to one year if the commission continues to advertise and test"

 

Signed by Representatives Dunshee, Democratic Co-Chair; Mulliken, Republican Co-Chair; Edwards, Democratic Vice Chair; Mielke, Republican Vice Chair; Berkey; Crouse; DeBolt; Dunn; Edmonds; Hatfield; Jarrett and Kirby.

 

             Voting yea: Representatives Berkey, Crouse, DeBolt, Dunn, Dunshee, Edmonds, Edwards, Hatfield, Jarrett, Mielke, and Mulliken.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5093            Prime Sponsor, Senator T. Sheldon: Modifying provisions concerning the unlawful dumping of solid waste. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 70.93.060 and 2000 c 154 s 2 are each amended to read as follows:

             (1) It is a violation of this section to abandon a junk vehicle upon any property ((located in an unincorporated area of a county)). In addition, no person shall throw, drop, deposit, discard, or otherwise dispose of litter upon any public property in the state or upon private property in this state not owned by him or her or in the waters of this state whether from a vehicle or otherwise including but not limited to any public highway, public park, beach, campground, forest land, recreational area, trailer park, highway, road, street, or alley except:

             (a) When the property is designated by the state or its agencies or political subdivisions for the disposal of garbage and refuse, and the person is authorized to use such property for that purpose;

             (b) Into a litter receptacle in a manner that will prevent litter from being carried away or deposited by the elements upon any part of ((said)) the private or public property or waters.

             (2)(a) Except as provided in subsection (4) of this section, it is a class 3 civil infraction as provided in RCW 7.80.120 for a person to litter in an amount less than or equal to one cubic foot.

             (b) ((It is a class 1 civil infraction as provided in RCW 7.80.120 for a person to litter in an amount greater than one cubic foot in an incorporated area of a county. Unless suspended or modified by a court, the person shall also pay a litter cleanup fee of twenty-five dollars per cubic foot of litter. The court may, in addition to or in lieu of part or all of the cleanup fee, order the person to pick up and remove litter from the property, with prior permission of the legal owner or, in the case of public property, of the agency managing the property.

             (c))) It is a misdemeanor for a person to litter in an amount greater than one cubic foot but less than one cubic yard ((in an unincorporated area of a county)). The person shall also pay a litter cleanup restitution payment equal to twice the actual cost of cleanup, or fifty dollars per cubic foot of litter, whichever is greater. The court shall distribute one-half of the restitution payment to the landowner and one-half of the restitution payment to the law enforcement agency investigating the incident. The court may, in addition to or in lieu of part or all of the cleanup restitution payment, order the person to pick up and remove litter from the property, with prior permission of the legal owner or, in the case of public property, of the agency managing the property. The court may suspend or modify the litter cleanup restitution payment for a first-time offender under this section, if the person cleans up and properly disposes of the litter.

             (((d))) (c) It is a gross misdemeanor for a person to litter in an amount of one cubic yard or more ((in an unincorporated area of a county)). The person shall also pay a litter cleanup restitution payment equal to twice the actual cost of cleanup, or one hundred dollars per cubic foot of litter, whichever is greater. The court shall distribute one-half of the restitution payment to the landowner and one-half of the restitution payment to the law enforcement agency investigating the incident. The court may, in addition to or in lieu of part or all of the cleanup restitution payment, order the person to pick up and remove litter from the property, with prior permission of the legal owner or, in the case of public property, of the agency managing the property. The court may suspend or modify the litter cleanup restitution payment for a first-time offender under this section, if the person cleans up and properly disposes of the litter.

             (((e))) (d) If a junk vehicle is abandoned in violation of this section, RCW 46.55.230 governs the vehicle's removal, disposal, and sale, and the penalties that may be imposed against the person who abandoned the vehicle.

             (3) If the violation occurs in a state park, the court shall, in addition to any other penalties assessed, order the person to perform twenty-four hours of community service in the state park where the violation occurred if the state park has stated an intent to participate as provided in RCW 79A.05.050.

             (4) It is a class 1 civil infraction as provided in RCW 7.80.120 for a person to discard, in violation of this section, a cigarette, cigar, or other tobacco product that is capable of starting a fire.

 

             Sec. 2. RCW 70.95.240 and 2000 c 154 s 3 are each amended to read as follows:

             (1) After the adoption of regulations or ordinances by any county, city, or jurisdictional board of health providing for the issuance of permits as provided in RCW 70.95.160, it shall be unlawful for any person to dump or deposit or permit the dumping or depositing of any solid waste onto or under the surface of the ground or into the waters of this state except at a solid waste disposal site for which there is a valid permit. This section does not:

             (a) Prohibit a person from dumping or depositing solid waste resulting from his or her own activities onto or under the surface of ground owned or leased by him or her when such action does not violate statutes or ordinances, or create a nuisance;

             (b) Apply to a person using a waste-derived soil amendment that has been approved by the department under RCW 70.95.205; or

             (c) Apply to the application of commercial fertilizer that has been registered with the department of agriculture as provided in RCW 15.54.325, and that is applied in accordance with the standards established in RCW 15.54.800(3).

             (2)(a) It is a class 3 civil infraction as defined in RCW 7.80.120 for a person to litter in an amount less than or equal to one cubic foot.

             (b) ((It is a class 1 civil infraction as defined in RCW 7.80.120 for a person to litter in an amount greater than one cubic foot in an unincorporated area of a county. Unless suspended or modified by a court, the person shall also pay a litter cleanup fee of twenty-five dollars per cubic foot of litter. The court may, in addition to or in lieu of part or all of the cleanup fee, order the person to pick up and remove litter from the property, with prior permission of the legal owner or, in the case of public property, of the agency managing the property.

             (c))) It is a misdemeanor for a person to litter in an amount greater than one cubic foot but less than one cubic yard ((in an unincorporated area of a county)). The person shall also pay a litter cleanup restitution payment equal to twice the actual cost of cleanup, or fifty dollars per cubic foot of litter, whichever is greater. The court shall distribute one-half of the restitution payment to the landowner and one-half of the restitution payment to the jurisdictional health department investigating the incident. The court may, in addition to or in lieu of part or all of the cleanup restitution payment, order the person to pick up and remove litter from the property, with prior permission of the legal owner or, in the case of public property, of the agency managing the property. The court may suspend or modify the litter cleanup restitution payment for a first-time offender under this section, if the person cleans up and properly disposes of the litter.

             (((d))) (c) It is a gross misdemeanor for a person to litter in an amount of one cubic yard or more ((in an unincorporated area of a county)). The person shall also pay a litter cleanup restitution payment equal to twice the actual cost of cleanup, or one hundred dollars per cubic foot of litter, whichever is greater. The court shall distribute one-half of the restitution payment to the landowner and one-half of the restitution payment to the jurisdictional health department investigating the incident. The court may, in addition to or in lieu of part or all of the cleanup restitution payment, order the person to pick up and remove litter from the property, with prior permission of the legal owner or, in the case of public property, of the agency managing the property. The court may suspend or modify the litter cleanup restitution payment for a first-time offender under this section, if the person cleans up and properly disposes of the litter.

             (((e))) (d) If a junk vehicle is abandoned in violation of this chapter, RCW 46.55.230 governs the vehicle's removal, disposal, and sale, and the penalties that may be imposed against the person who abandoned the vehicle.

 

             Sec. 3. RCW 46.55.230 and 2000 c 154 s 4 are each amended to read as follows:

             (1) Notwithstanding any other provision of law, any law enforcement officer having jurisdiction, or any employee or officer of a jurisdictional health department acting pursuant to RCW 70.95.240, or any person authorized by the director shall inspect and may authorize the disposal of an abandoned junk vehicle. The person making the inspection shall record the make and vehicle identification number or license number of the vehicle if available, and shall also verify that the approximate value of the junk vehicle is equivalent only to the approximate value of the scrap in it.

             (2) The law enforcement officer or department representative shall provide information on the vehicle's registered and legal owner to the landowner.

             (3) Upon receiving information on the vehicle's registered and legal owner, the landowner shall mail a notice to the registered and legal owners shown on the records of the department. The notification shall describe the redemption procedure and the right to arrange for the removal of the vehicle.

             (4) If the vehicle remains unclaimed more than fifteen days after the landowner has mailed notification to the registered and legal owner, the landowner may dispose of the vehicle or sign an affidavit of sale to be used as a title document.

             (5) If no information on the vehicle's registered and legal owner is found in the records of the department, the landowner may immediately dispose of the vehicle or sign an affidavit of sale to be used as a title document.

             (6)(((a) It is a class 1 civil infraction as defined in RCW 7.80.120 for a person to abandon a junk vehicle on property located in an incorporated area. If a junk vehicle is abandoned in an incorporated area, the landowner of the property upon which the junk vehicle is located is entitled to recover from the vehicle's registered owner any costs incurred in the removal of the junk vehicle.

             (b))) It is a gross misdemeanor for a person to abandon a junk vehicle on property ((located in an unincorporated area)). If a junk vehicle is abandoned ((in an unincorporated area)), the vehicle's registered owner shall also pay a cleanup restitution payment equal to twice the costs incurred in the removal of the junk vehicle. The court shall distribute one-half of the restitution payment to the landowner of the property upon which the junk vehicle is located, and one-half of the restitution payment to the law enforcement agency or jurisdictional health department investigating the incident.

             (7) For the purposes of this section, the term "landowner" includes a legal owner of private property, a person with possession or control of private property, or a public official having jurisdiction over public property.

             (8) A person complying in good faith with the requirements of this section is immune from any liability arising out of an action taken or omission made in the compliance."

 

             Correct the title.

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5101          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Protecting consumers in contractor transactions. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 18.27.010 and 1997 c 314 s 2 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Contractor" means any person, firm, or corporation who or which, in the pursuit of an independent business undertakes to, or offers to undertake, or submits a bid to, construct, alter, repair, add to, subtract from, improve, move, wreck or demolish, for another, any building, highway, road, railroad, excavation or other structure, project, development, or improvement attached to real estate or to do any part thereof including the installation of carpeting or other floor covering, the erection of scaffolding or other structures or works in connection therewith or who installs or repairs roofing or siding; or, who, to do similar work upon his or her own property, employs members of more than one trade upon a single job or project or under a single building permit except as otherwise provided herein. "Contractor" includes any person, firm, ((or)) corporation, or other entity covered by this subsection, whether or not registered as required under this chapter.

             (2) "Department" means the department of labor and industries.

             (3) "Director" means the director of the department of labor and industries or designated representative employed by the department.

             (4) "General contractor" means a contractor whose business operations require the use of more than two unrelated building trades or crafts whose work the contractor shall superintend or do in whole or in part. "General contractor" shall not include an individual who does all work personally without employees or other "specialty contractors" as defined in this section. The terms "general contractor" and "builder" are synonymous.

             (((3))) (5) "Partnership" means a business formed under Title 25 RCW.

             (6) "Registration cancellation" means a written notice from the department that a contractor's action is in violation of this chapter and that the contractor's registration has been revoked.

             (7) "Registration suspension" means a written notice from the department that a contractor's action is a violation of this chapter and that the contractor's registration has been suspended for a specified time, or until the contractor shows evidence of compliance with this chapter.

             (8) "Residential homeowner" means an individual person or persons owning or leasing real property:

             (a) Upon which one single-family residence is to be built and in which the owner or lessee intends to reside upon completion of any construction; or

             (b) Upon which there is a single-family residence to which improvements are to be made and in which the owner or lessee intends to reside upon completion of any construction.

             (9) "Specialty contractor" means a contractor whose operations do not fall within the ((foregoing)) definition of "general contractor".

             (((4))) (10) "Unregistered contractor" means a person, firm, ((or)) corporation, or other entity doing work as a contractor without being registered in compliance with this chapter. "Unregistered contractor" includes contractors whose registration is expired ((for more than thirty days beyond the renewal date or has been)), revoked, or suspended. "Unregistered contractor" does not include a contractor who has maintained a valid bond and the insurance or assigned account required by RCW 18.27.050, and whose registration has lapsed for thirty or fewer days.

             (((5) "Department" means the department of labor and industries.

             (6) "Director" means the director of the department of labor and industries.

             (7))) (11) "Unsatisfied final judgment" means a judgment that has not been satisfied either through payment, court approved settlement, discharge in bankruptcy, or assignment under RCW 19.72.070.

             (12) "Verification" means the receipt and duplication by the city, town, or county of a contractor registration card that is current on its face, checking the department's contractor registration data base, or calling the department to confirm that the contractor is registered.

 

             Sec. 2. RCW 18.27.030 and 1998 c 279 s 3 are each amended to read as follows:

             (1) An applicant for registration as a contractor shall submit an application under oath upon a form to be prescribed by the director and which shall include the following information pertaining to the applicant:

             (a) Employer social security number.

             (b) Unified business identifier number, if required by the department of revenue.

             (c) Evidence of workers' compensation coverage for the applicant's employees working in Washington, as follows:

             (i) The applicant's industrial insurance account number issued by the department;

             (ii) The applicant's self-insurer number issued by the department; or

             (iii) For applicants domiciled in a state or province of Canada subject to an agreement entered into under RCW 51.12.120(7), as permitted by the agreement, filing a certificate of coverage issued by the agency that administers the workers' compensation law in the applicant's state or province of domicile certifying that the applicant has secured the payment of compensation under the other state's or province's workers' compensation law.

             (((c))) (d) Employment security department number.

             (((d))) (e) State excise tax registration number.

             (((e))) (f) Unified business identifier (UBI) account number may be substituted for the information required by (((b))) (c) of this subsection if the applicant will not employ employees in Washington, and by (((c))) (d) and (((d))) (e) of this subsection.

             (((f))) (g) Type of contracting activity, whether a general or a specialty contractor and if the latter, the type of specialty.

             (((g))) (h) The name and address of each partner if the applicant is a firm or partnership, or the name and address of the owner if the applicant is an individual proprietorship, or the name and address of the corporate officers and statutory agent, if any, if the applicant is a corporation or the name and address of all members of other business entities. The information contained in such application is a matter of public record and open to public inspection.

             (2) The department may verify the workers' compensation coverage information provided by the applicant under subsection (1)(((b))) (c) of this section, including but not limited to information regarding the coverage of an individual employee of the applicant. If coverage is provided under the laws of another state, the department may notify the other state that the applicant is employing employees in Washington.

             (3)(a) The department shall deny an application for registration if: (i) The applicant has been previously ((registered)) performing work subject to this chapter as a sole proprietor, partnership, ((or)) corporation, or other entity and the department has notice that the applicant has an unsatisfied final judgment against him or her in an action based on this chapter ((that was incurred during a previous registration under this chapter)) or the applicant owes the department money for penalties assessed or fees due under this chapter as a result of a final judgment; (ii) the applicant was a principal or officer of a partnership, corporation, or other entity that either has an unsatisfied final judgment against it in an action that was incurred for work performed subject to this chapter or owes the department money for penalties assessed or fees due under this chapter as a result of a final judgment; or (iii) the applicant does not have a valid unified business identifier number, if required by the department of revenue.

             (b) The department shall suspend an active registration if (i) the department has notice that the registrant is a sole proprietor or a principal or officer of a registered contractor that has an unsatisfied final judgment against it for work within the scope of this chapter; or (ii) the applicant does not maintain a valid unified business identifier number, if required by the department of revenue.

             (4) The department shall not deny an application or suspend a registration because of an unsatisfied final judgment if the applicant's or registrant's unsatisfied final judgment was determined by the director to be the result of the fraud or negligence of another party.

 

             Sec. 3. RCW 18.27.040 and 1997 c 314 s 5 are each amended to read as follows:

             (1) Each applicant shall file with the department a surety bond issued by a surety insurer who meets the requirements of chapter 48.28 RCW in the sum of ((six)) twelve thousand dollars if the applicant is a general contractor and ((four)) six thousand dollars if the applicant is a specialty contractor. If no valid bond is already on file with the department at the time the application is filed, a bond must accompany the registration application. The bond shall have the state of Washington named as obligee with good and sufficient surety in a form to be approved by the department. The bond shall be continuous and may be canceled by the surety upon the surety giving written notice to the director ((of its intent to cancel the bond)). A cancellation or revocation of the bond or withdrawal of the surety from the bond automatically suspends the registration issued to the registrant until a new bond or reinstatement notice has been filed and approved as provided in this section. The bond shall be conditioned that the applicant will pay all persons performing labor, including employee benefits, for the contractor, will pay all taxes and contributions due to the state of Washington, and will pay all persons furnishing labor or material or renting or supplying equipment to the contractor and will pay all amounts that may be adjudged against the contractor by reason of breach of contract including negligent or improper work in the conduct of the contracting business. A change in the name of a business or a change in the type of business entity shall not impair a bond for the purposes of this section so long as one of the original applicants for such bond maintains partial ownership in the business covered by the bond.

             (2) ((Any contractor registered as of July 1, 1997, who maintains such registration in accordance with this chapter shall be in compliance with this chapter until the next annual renewal of the contractor's certificate of registration. At that time)) At the time of initial registration or renewal, the contractor shall provide a bond((, cash deposit,)) or other security deposit as required by this chapter and comply with all of the other provisions of this chapter before the department shall issue or renew the contractor's certificate of registration. Any contractor registered as of July 1, 2001, who maintains that registration in accordance with this chapter is in compliance with this chapter until the next renewal of the contractor's certificate of registration.

             (3) Any person, firm, or corporation having a claim against the contractor for any of the items referred to in this section may bring suit upon the bond or deposit in the superior court of the county in which the work was done or of any county in which jurisdiction of the contractor may be had. The surety issuing the bond shall be named as a party to any suit upon the bond. Action upon the bond or deposit ((shall be commenced by filing the summons and complaint with the clerk of the appropriate superior court within one year from the date of expiration of the certificate of registration in force at the time)) brought by a residential homeowner for breach of contract by a party to the construction contract shall be commenced by filing the summons and complaint with the clerk of the appropriate superior court within two years from the date the claimed contract work was substantially completed or abandoned. Action upon the bond or deposit brought by any other authorized party shall be commenced by filing the summons and complaint with the clerk of the appropriate superior court within one year from the date the claimed labor was performed and benefits accrued, taxes and contributions owing the state of Washington became due, materials and equipment were furnished, or the claimed contract work was substantially completed or abandoned. Service of process in an action against the contractor, the contractor's bond, or the deposit shall be exclusively by service upon the department. Three copies of the summons and complaint and a fee ((of ten)) adopted by rule of not less than twenty dollars to cover the ((handling)) costs shall be served by registered or certified mail, or other delivery service requiring notice of receipt, upon the department at the time suit is started and the department shall maintain a record, available for public inspection, of all suits so commenced. Service is not complete until the department receives the ((ten-dollar)) fee and three copies of the summons and complaint. The service shall constitute service on the registrant and the surety for suit upon the bond or deposit and the department shall transmit the summons and complaint or a copy thereof to the registrant at the address listed in the registrant's application and to the surety within ((forty-eight hours)) two days after it shall have been received.

             (4) The surety upon the bond shall not be liable in an aggregate amount in excess of the amount named in the bond nor for any monetary penalty assessed pursuant to this chapter for an infraction. The liability of the surety shall not cumulate where the bond has been renewed, continued, reinstated, reissued or otherwise extended. The surety upon the bond may, upon notice to the department and the parties, tender to the clerk of the court having jurisdiction of the action an amount equal to the claims thereunder or the amount of the bond less the amount of judgments, if any, previously satisfied therefrom and to the extent of such tender the surety upon the bond shall be exonerated but if the actions commenced and pending at any one time exceed the amount of the bond then unimpaired, claims shall be satisfied from the bond in the following order:

             (a) Employee labor and claims of laborers, including employee benefits;

             (b) Claims for breach of contract by a party to the construction contract;

             (c) Registered or licensed subcontractors, material, and equipment;

             (d) Taxes and contributions due the state of Washington;

             (e) Any court costs, interest, and attorney's fees plaintiff may be entitled to recover. The surety is not liable for any amount in excess of the penal limit of its bond.

             A payment made by the surety in good faith exonerates the bond to the extent of any payment made by the surety.

             (5) The total amount paid from a bond or deposit required of a general contractor by this section to claimants other than residential homeowners must not exceed one-half of the bond amount. The total amount paid from a bond or deposit required of a specialty contractor by this section to claimants other than residential homeowners must not exceed one-half of the bond amount or four thousand dollars, whichever is greater.

             (6) The prevailing party in an action filed under this section against the contractor and contractor's bond or deposit, for breach of contract by a party to a construction contract, is entitled to costs, interest, and reasonable attorneys' fees. The surety upon the bond is not liable in an aggregate amount in excess of the amount named in the bond nor for any monetary penalty assessed pursuant to this chapter for an infraction.

             (7) If a final judgment impairs the liability of the surety upon the bond so furnished that there ((shall not be)) is not in effect a bond ((undertaking)) in the full amount prescribed in this section, ((the department shall suspend)) the registration of the contractor is automatically suspended until the bond liability in the required amount unimpaired by unsatisfied judgment claims is furnished. ((If the bond becomes fully impaired, a new bond must be furnished at the rates prescribed by this section.

             (6))) (8) In lieu of the surety bond required by this section the contractor may file with the department a deposit consisting of cash or other security acceptable to the department.

             (((7))) (9) Any person having filed and served a summons and complaint as required by this section having an unsatisfied final judgment against the registrant for any items referred to in this section may execute upon the security held by the department by serving a certified copy of the unsatisfied final judgment by registered or certified mail upon the department within one year of the date of entry of such judgment. Upon the receipt of service of such certified copy the department shall pay or order paid from the deposit, through the registry of the superior court which rendered judgment, towards the amount of the unsatisfied judgment. The priority of payment by the department shall be the order of receipt by the department, but the department shall have no liability for payment in excess of the amount of the deposit.

             (((8))) (10) The director may require an applicant applying to renew or reinstate a registration or applying for a new registration to file a bond of up to three times the normally required amount, if the director determines that an applicant, or a previous registration of a corporate officer, owner, or partner of a current applicant, has had in the past five years a total of six final judgments in actions under this chapter involving a residential single-family dwelling on two or more different structures.

             (11) The director may adopt rules necessary for the proper administration of the security.

 

             Sec. 4. RCW 18.27.050 and 1987 c 303 s 1 are each amended to read as follows:

             (1) At the time of registration and subsequent reregistration, the applicant shall furnish insurance or financial responsibility in the form of an assigned account in the amount of ((twenty)) fifty thousand dollars for injury or damages to property, and ((fifty)) one hundred thousand dollars for injury or damage including death to any one person, and ((one)) two hundred thousand dollars for injury or damage including death to more than one person ((or financial responsibility to satisfy these amounts)).

             (2) ((Failure to maintain insurance or financial responsibility relative to the contractor's activities shall be cause to suspend or deny the contractor his or her or their registration.)) An expiration, cancellation, or revocation of the insurance policy or withdrawal of the insurer from the insurance policy automatically suspends the registration issued to the registrant until a new insurance policy or reinstatement notice has been filed and approved as provided in this section.

             (3)(a) Proof of financial responsibility authorized in this section may be given by providing, in the amount required by subsection (1) of this section, an assigned account acceptable to the department. The assigned account shall be held by the department to satisfy any execution on a judgment issued against the contractor for damage to property or injury or death to any person occurring in the contractor's contracting operations, according to the provisions of the assigned account agreement. The department shall have no liability for payment in excess of the amount of the assigned account.

             (b) The assigned account filed with the director as proof of financial responsibility shall be canceled at the expiration of three years after:

             (i) The contractor's registration has expired or been revoked; or

             (ii) The contractor has furnished proof of insurance as required by subsection (1) of this section;

if, in either case, no legal action has been instituted against the contractor or on the account at the expiration of the three-year period.

             (c) If a contractor chooses to file an assigned account as authorized in this section, the contractor shall, on any contracting project, notify each person with whom the contractor enters into a contract or to whom the contractor submits a bid that the contractor has filed an assigned account in lieu of insurance and that recovery from the account for any claim against the contractor for property damage or personal injury or death occurring in the project requires the claimant to obtain a court judgment.

 

             Sec. 5. RCW 18.27.060 and 1997 c 314 s 6 and 1997 c 58 s 817 are each reenacted and amended to read as follows:

             (1) A certificate of registration shall be valid for ((one)) two years and shall be renewed on or before the expiration date. The department shall issue to the applicant a certificate of registration upon compliance with the registration requirements of this chapter.

             (2) If the department approves an application, it shall issue a certificate of registration to the applicant. ((The certificate shall be valid for:

             (a) One year;

             (b) Until the bond expires; or

             (c) Until the insurance expires, whichever comes first. The department shall place the expiration date on the certificate.

             (3) A contractor may supply a short-term bond or insurance policy to bring its registration period to the full one year.

             (4))) (3) If a contractor's surety bond or other security has an unsatisfied judgment against it or is canceled, or if the contractor's insurance policy is canceled, the contractor's registration shall be automatically suspended on the effective date of the impairment or cancellation. The department shall mail notice of the suspension to the contractor's address on the certificate of registration by certified and by first class mail within ((forty-eight hours)) two days after suspension.

             (((5))) (4) Renewal of registration is valid on the date the department receives the required fee and proof of bond and liability insurance, if sent by certified mail or other means requiring proof of delivery. The receipt or proof of delivery shall serve as the contractor's proof of renewed registration until he or she receives verification from the department.

             (((6))) (5) The department shall immediately suspend the certificate of registration of a contractor who has been certified by the department of social and health services as a person who is not in compliance with a support order or a residential or visitation order as provided in RCW 74.20A.320. The certificate of registration shall not be reissued or renewed unless the person provides to the department a release from the department of social and health services stating that he or she is in compliance with the order and the person has continued to meet all other requirements for certification during the suspension.

 

             NEW SECTION. Sec. 6. A new section is added to chapter 18.27 RCW to read as follows:

             (1) If an unregistered contractor defaults in a payment, penalty, or fine due to the department, the director or the director's designee may issue a notice of assessment certifying the amount due. The notice must be served upon the unregistered contractor by mailing the notice to the unregistered contractor by certified mail to the unregistered contractor's last known address or served in the manner prescribed for the service of a summons in a civil action.

             (2) A notice of assessment becomes final thirty days from the date the notice was served upon the unregistered contractor unless a written request for reconsideration is filed with the department or an appeal is filed in a court of competent jurisdiction in the manner specified in RCW 34.05.510 through 34.05.598. The request for reconsideration must set forth with particularity the reason for the unregistered contractor's request. The department, within thirty days after receiving a written request for reconsideration, may modify or reverse a notice of assessment, or may hold a notice of assessment in abeyance pending further investigation. If a final decision of a court in favor of the department is not appealed within the time allowed by law, then the amount of the unappealed assessment, or such amount of the assessment as is found due by the final decision of the court, is final.

             (3) The director or the director's designee may file with the clerk of any county within the state, a warrant in the amount of the notice of assessment, plus interest, penalties, and a filing fee of twenty dollars. The clerk of the county in which the warrant is filed shall immediately designate a superior court cause number for the warrant, and the clerk shall cause to be entered in the judgment docket under the superior court cause number assigned to the warrant, the name of the unregistered contractor mentioned in the warrant, the amount of payment, penalty, fine due on it, or filing fee, and the date when the warrant was filed. The aggregate amount of the warrant as docketed shall become a lien upon the title to, and interest in, all real and personal property of the unregistered contractor against whom the warrant is issued, the same as a judgment in a civil case docketed in the office of the clerk. The sheriff shall proceed upon the warrant in all respects and with like effect as prescribed by law with respect to execution or other process issued against rights or property upon judgment in a court of competent jurisdiction. The warrant so docketed is sufficient to support the issuance of writs of garnishment in favor of the state in a manner provided by law in case of judgment, wholly or partially unsatisfied. The clerk of the court is entitled to a filing fee which will be added to the amount of the warrant. A copy of the warrant shall be mailed to the unregistered contractor within three days of filing with the clerk.

             (4) The director or the director's designee may issue to any person, firm, corporation, other entity, municipal corporation, political subdivision of the state, a public corporation, or any agency of the state, a notice and order to withhold and deliver property of any kind whatsoever when he or she has reason to believe that there is in the possession of the person, firm, corporation, other entity, municipal corporation, political subdivision of the state, public corporation, or agency of the state, property that is or will become due, owing, or belonging to an unregistered contractor upon whom a notice of assessment has been served by the department for payments, penalties, or fines due to the department. The effect of a notice and order is continuous from the date the notice and order is first made until the liability out of which the notice and order arose is satisfied or becomes unenforceable because of lapse of time. The department shall release the notice and order when the liability out of which the notice and order arose is satisfied or becomes unenforceable by reason of lapse of time and shall notify the person against whom the notice and order was made that the notice and order has been released.

             The notice and order to withhold and deliver must be served by the sheriff of the county or by the sheriff's deputy by certified mail, return receipt requested, or by an authorized representative of the director. A person, firm, corporation, other entity, municipal corporation, political subdivision of the state, public corporation, or agency of the state upon whom service has been made shall answer the notice within twenty days exclusive of the day of service, under oath and in writing, and shall make true answers to the matters inquired of in the notice and order. Upon service of the notice and order, if the party served possesses any property that may be subject to the claim of the department, the party shall promptly deliver the property to the director or the director's authorized representative. The director shall hold the property in trust for application on the unregistered contractor's indebtedness to the department, or for return without interest, in accordance with a final determination of a petition for review. In the alternative, the party shall furnish a good and sufficient surety bond satisfactory to the director conditioned upon final determination of liability. If a party served and named in the notice fails to answer the notice within the time prescribed in this section, the court may render judgment by default against the party for the full amount claimed by the director in the notice, together with costs. If a notice is served upon an unregistered contractor and the property subject to it is wages, the unregistered contractor may assert in the answer all exemptions provided for by chapter 6.27 RCW to which the wage earner is entitled.

             (5) In addition to the procedure for collection of a payment, penalty, or fine due to the department as set forth in this section, the department may recover civil penalties imposed under this chapter in a civil action in the name of the department brought in a court of competent jurisdiction of the county where the violation is alleged to have occurred.

 

             Sec. 7. RCW 18.27.090 and 1997 c 314 s 8 are each amended to read as follows:

             The registration provisions of this chapter ((does)) do not apply to:

             (1) An authorized representative of the United States government, the state of Washington, or any incorporated city, town, county, township, irrigation district, reclamation district, or other municipal or political corporation or subdivision of this state;

             (2) Officers of a court when they are acting within the scope of their office;

             (3) Public utilities operating under the regulations of the utilities and transportation commission in construction, maintenance, or development work incidental to their own business;

             (4) Any construction, repair, or operation incidental to the discovering or producing of petroleum or gas, or the drilling, testing, abandoning, or other operation of any petroleum or gas well or any surface or underground mine or mineral deposit when performed by an owner or lessee;

             (5) The sale or installation of any finished products, materials, or articles of merchandise ((which)) that are not actually fabricated into and do not become a permanent fixed part of a structure;

             (6) Any construction, alteration, improvement, or repair of personal property((, except this chapter shall apply to all mobile/manufactured housing. A mobile/manufactured home may be installed, set up, or repaired by the registered or legal owner by a contractor registered under this chapter)) performed by the registered or legal owner, or by a mobile/manufactured home retail dealer or manufacturer licensed under chapter 46.70 RCW who shall warranty service and repairs under chapter 46.70 RCW;

             (7) Any construction, alteration, improvement, or repair carried on within the limits and boundaries of any site or reservation under the legal jurisdiction of the federal government;

             (8) Any person who only furnished materials, supplies, or equipment without fabricating them into, or consuming them in the performance of, the work of the contractor;

             (9) Any work or operation on one undertaking or project by one or more contracts, the aggregate contract price of which for labor and materials and all other items is less than five hundred dollars, such work or operations being considered as of a casual, minor, or inconsequential nature. The exemption prescribed in this subsection does not apply in any instance wherein the work or construction is only a part of a larger or major operation, whether undertaken by the same or a different contractor, or in which a division of the operation is made into contracts of amounts less than five hundred dollars for the purpose of evasion of this chapter or otherwise. The exemption prescribed in this subsection does not apply to a person who advertises or puts out any sign or card or other device which might indicate to the public that he or she is a contractor, or that he or she is qualified to engage in the business of contractor;

             (10) Any construction or operation incidental to the construction and repair of irrigation and drainage ditches of regularly constituted irrigation districts or reclamation districts; or to farming, dairying, agriculture, viticulture, horticulture, or stock or poultry raising; or to clearing or other work upon land in rural districts for fire prevention purposes; except when any of the above work is performed by a registered contractor;

             (11) An owner who contracts for a project with a registered contractor, except that this exemption shall not deprive the owner of the protections of this chapter against registered and unregistered contractors;

             (12) Any person working on his or her own property, whether occupied by him or her or not, and any person working on his or her personal residence, whether owned by him or her or not but this exemption shall not apply to any person otherwise covered by this chapter who constructs an improvement on his or her own property with the intention and for the purpose of selling the improved property;

             (13) Owners of commercial properties who use their own employees to do maintenance, repair, and alteration work in or upon their own properties;

             (14) A licensed architect or civil or professional engineer acting solely in his or her professional capacity, an electrician licensed under the laws of the state of Washington, or a plumber licensed under the laws of the state of Washington or licensed by a political subdivision of the state of Washington while operating within the boundaries of such political subdivision. The exemption provided in this subsection is applicable only when the licensee is operating within the scope of his or her license;

             (15) Any person who engages in the activities herein regulated as an employee of a registered contractor with wages as his or her sole compensation or as an employee with wages as his or her sole compensation;

             (16) Contractors on highway projects who have been prequalified as required by RCW 47.28.070, with the department of transportation to perform highway construction, reconstruction, or maintenance work;

             (17) A mobile/manufactured home dealer or manufacturer who subcontracts the installation, set-up, or repair work to actively registered contractors. This exemption only applies to the installation, set-up, or repair of the mobile/manufactured homes that were manufactured or sold by the mobile/manufactured home dealer or manufacturer.

 

             Sec. 8. RCW 18.27.100 and 1997 c 314 s 9 are each amended to read as follows:

             (1) Except as provided in RCW 18.27.065 for partnerships and joint ventures, no person who has registered under one name as provided in this chapter shall engage in the business, or act in the capacity, of a contractor under any other name unless such name also is registered under this chapter.

             (2) All advertising and all contracts, correspondence, cards, signs, posters, papers, and documents which show a contractor's name or address shall show the contractor's name or address as registered under this chapter.

             (3)(a) All advertising that shows the contractor's name or address shall show the contractor's current registration number. The registration number may be omitted in an alphabetized listing of registered contractors stating only the name, address, and telephone number: PROVIDED, That signs on motor vehicles subject to RCW 46.16.010 and on-premise signs shall not constitute advertising as provided in this section. All materials used to directly solicit business from retail customers who are not businesses shall show the contractor's current registration number. A contractor shall not use a false or expired registration number in purchasing or offering to purchase an advertisement for which a contractor registration number is required. Advertising by airwave transmission shall not be subject to this subsection (3)(a).

             (b) The director may issue a subpoena to any person or entity selling any advertising subject to this section for the name, address, and telephone number provided to the seller of the advertising by the purchaser of the advertising. The subpoena must have enclosed a stamped, self-addressed envelope and blank form to be filled out by the seller of the advertising. If the seller of the advertising has the information on file, the seller shall, within a reasonable time, return the completed form to the department. The subpoena must be issued ((before forty-eight hours)) no more than two days after the expiration of the issue or publication containing the advertising or after the broadcast of the advertising. The good-faith compliance by a seller of advertising with a written request of the department for information concerning the purchaser of advertising shall constitute a complete defense to any civil or criminal action brought against the seller of advertising arising from such compliance. Advertising by airwave or electronic transmission is subject to this subsection (3)(b).

             (4) No contractor shall advertise that he or she is bonded and insured because of the bond required to be filed and sufficiency of insurance as provided in this chapter.

             (5) A contractor shall not falsify a registration number and use it, or use an expired registration number, in connection with any solicitation or identification as a contractor. All individual contractors and all partners, associates, agents, salesmen, solicitors, officers, and employees of contractors shall use their true names and addresses at all times while engaged in the business or capacity of a contractor or activities related thereto.

             (6) Any advertising by a person, firm, or corporation soliciting work as a contractor when that person, firm, or corporation is not registered pursuant to this chapter is a violation of this chapter.

             (7)(a) The finding of a violation of this section by the director at a hearing held in accordance with the Administrative Procedure Act, chapter 34.05 RCW, shall subject the person committing the violation to a penalty of not more than ((five)) ten thousand dollars as determined by the director.

             (b) Penalties under this section shall not apply to a violation determined to be an inadvertent error.

 

             Sec. 9. RCW 18.27.114 and 1997 c 314 s 12 are each amended to read as follows:

             (1) Any contractor agreeing to perform any contracting project: (a) For the repair, alteration, or construction of four or fewer residential units or accessory structures on such residential property when the bid or contract price totals one thousand dollars or more; or (b) for the repair, alteration, or construction of a commercial building when the bid or contract price totals one thousand dollars or more but less than sixty thousand dollars, must provide the customer with the following disclosure statement in substantially the following form using lower case and upper case twelve-point and bold type where appropriate, prior to starting work on the project:

"NOTICE TO CUSTOMER

((This contractor is registered with the state of Washington, registration no. . . . ., as a general/specialty contractor and has posted with the state a bond or cash deposit of $6,000/$4,000 for the purpose of satisfying claims against the contractor for negligent or improper work or breach of contract in the conduct of the contractor's business. The expiration date of this contractor's registration is . . . . . . This bond or cash deposit may not be sufficient to cover a claim which might arise from the work done under your contract. If any supplier of materials used in your construction project or any employee of the contractor or subcontractor is not paid by the contractor or subcontractor on your job, your property may be liened to force payment. If you wish additional protection, you may request the contractor to provide you with original "lien release" documents from each supplier or subcontractor on your project. The contractor is required to provide you with further information about lien release documents if you request it. General information is also available from the department of labor and industries."))

This contractor is registered with the state of Washington, registration no. . . ., and has posted with the state a bond or deposit of . . . . . for the purpose of satisfying claims against the contractor for breach of contract including negligent or improper work in the conduct of the contractor's business. The expiration date of this contractor's registration is . . . . ..

THIS BOND OR DEPOSIT MIGHT NOT BE SUFFICIENT TO COVER A CLAIM THAT MIGHT ARISE FROM THE WORK DONE UNDER YOUR CONTRACT.

This bond or deposit is not for your exclusive use because it covers all work performed by this contractor. The bond or deposit is intended to pay valid claims up to . . . . . that you and other customers, suppliers, subcontractors, or taxing authorities may have.

FOR GREATER PROTECTION YOU MAY WITHHOLD A PERCENTAGE OF YOUR CONTRACT.

You may withhold a contractually defined percentage of your construction contract as retainage for a stated period of time to provide protection to you and help insure that your project will be completed as required by your contract.

YOUR PROPERTY MAY BE LIENED.

If a supplier of materials used in your construction project or an employee or subcontractor of your contractor or subcontractors is not paid, your property may be liened to force payment and you could pay twice for the same work.

FOR ADDITIONAL PROTECTION, YOU MAY REQUEST THE CONTRACTOR TO PROVIDE YOU WITH ORIGINAL "LIEN RELEASE" DOCUMENTS FROM EACH SUPPLIER OR SUBCONTRACTOR ON YOUR PROJECT.

The contractor is required to provide you with further information about lien release documents if you request it. General information is also available from the state Department of Labor and Industries."

             (2) A contractor subject to this section shall notify any consumer to whom notice is required under subsection (1) of this section if the contractor's registration has expired or is revoked or suspended by the department prior to completion or other termination of the contract with the consumer.

             (3) No contractor subject to this section may bring or maintain any lien claim under chapter 60.04 RCW based on any contract to which this section applies without alleging and proving that the contractor has provided the customer with a copy of the disclosure statement as required in subsection (1) of this section.

             (4) This section does not apply to contracts authorized under chapter 39.04 RCW or to contractors contracting with other contractors.

             (5) Failure to comply with this section shall constitute an infraction under the provisions of this chapter.

             (6) The department shall produce model disclosure statements, and public service announcements detailing the information needed to assist contractors and contractors' customers to comply under this section. As necessary, the department shall periodically update these education materials.

 

             Sec. 10. RCW 18.27.310 and 1993 c 454 s 10 are each amended to read as follows:

             (1) The administrative law judge shall conduct contractors' notice of infraction cases pursuant to chapter 34.05 RCW.

             (2) The burden of proof is on the department to establish the commission of the infraction by a preponderance of the evidence. The notice of infraction shall be dismissed if the defendant establishes that, at the time the ((notice was issued)) work was performed, the defendant was registered by the department, without suspension, or was exempt from registration.

             (3) After consideration of the evidence and argument, the administrative law judge shall determine whether the infraction was committed. If it has not been established that the infraction was committed, an order dismissing the notice shall be entered in the record of the proceedings. If it has been established that the infraction was committed, the administrative law judge shall issue findings of fact and conclusions of law in its decision and order determining whether the infraction was committed.

             (4) An appeal from the administrative law judge's determination or order shall be to the superior court. The decision of the superior court is subject only to discretionary review pursuant to Rule 2.3 of the Rules of Appellate Procedure.

 

             Sec. 11. RCW 18.27.320 and 1993 c 454 s 11 are each amended to read as follows:

             The administrative law judge shall dismiss the notice of infraction at any time upon written notification from the department that the contractor named in the notice of infraction was registered, without suspension, at the time the ((notice of infraction was issued)) work was performed.

 

             NEW SECTION. Sec. 12. A new section is added to chapter 18.27 RCW to read as follows:

             (1) The department shall use reasonable means, including working cooperatively with construction industry, financial institution, local government, consumer, media, and other interested organizations and individuals, to increase:

             (a) Consumer awareness of the requirements of this chapter and the methods available to consumers to protect themselves against loss; and

             (b) Contractor awareness of the obligations imposed on contractors by this chapter.

             (2) The department shall accomplish the tasks listed in this section within existing resources, including but not limited to fees charged under RCW 18.27.075.

 

             NEW SECTION. Sec. 13. A new section is added to chapter 18.27 RCW to read as follows:

             (1) The legislature finds that it is contrary to public policy to allow unregistered contractors to continue doing business illegally.

             (2) The department of labor and industries, the employment security department, and the department of revenue shall establish an unregistered contractors enforcement team. The team shall develop a written plan to coordinate the activities of the participating agencies to enforce the state's contractor registration laws and rules and other state laws and rules deemed appropriate by the team. In developing the plan, the team shall seek the input and advice of interested stakeholders who support the work of the team.

             (3) The director or the director's designee shall call the initial meeting of the unregistered contractors enforcement team by September 1, 2001. The team shall complete the plan and forward it to the appropriate standing committees of the legislature and to the departments that contribute members to the team by December 1, 2001.

             (4) The department of labor and industries, the employment security department, and the department of revenue shall accomplish the tasks listed in this section within existing resources, including but not limited to fees charged under RCW 18.27.075.

 

             Sec. 14. RCW 18.27.075 and 1983 c 74 s 2 are each amended to read as follows:

             The department ((may not set)) shall charge a fee ((higher than fifty)) of one hundred dollars for issuing or renewing a certificate of registration during the 2001-2003 biennium. The department shall revise this amount at least once every two years for the purpose of recognizing economic changes as reflected by the fiscal growth factor under chapter 43.135 RCW."

 

             Correct the title.

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

SB 5108            Prime Sponsor, Senator T. Sheldon: Modifying provisions relating to the growing of short-rotation hardwood trees on agricultural land. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass. Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer Ericksen, Jackley, Murray and Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 27, 2001

SSB 5114          Prime Sponsor, Senate Committee on Transportation: Modifying motorcycle provisions. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Reardon; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Edmonds, Ericksen, Fisher, Hankins, Hatfield, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Reardon, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, and Woods.

             Excused: Representatives Cooper, Haigh, Hurst, Jackley, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5118          Prime Sponsor, Senate Committee on Ways & Means: Enacting the interstate compact for adult offender supervision. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Kagi; Kirby and Morell.

 

MINORITY recommendation: Do not pass. Signed by Representative Cairnes.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Kagi, Kirby and Morell.

             Voting nay: Representative Cairnes.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SB 5121            Prime Sponsor, Senator Regala: Correcting references to the former office of marine safety. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

ESSB 5122       Prime Sponsor, Senate Committee on Human Services & Corrections: Revising procedures and standards for commitment of sexually violent predators. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass as amended.

 

             On page 13, line 23, after "also have" insert "the right to a jury trial and"

 

             On page 14, after line 6, strike all of section 10 and insert the following:

             "NEW SECTION. Sec. 10. The department shall, in consultation with interested stakeholders, develop recommendations for improving the procedures used to notify victims when a sexually violent predator is conditionally released to a less restrictive alternative under chapter 71.09 RCW, while at the same time maintaining the confidentiality of victim information."

 

             Correct the title.

 

Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5123          Prime Sponsor, Senate Committee on Human Services & Corrections: Revising the crime of escape as it relates to persons committed to the department of social and health services. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SB 5127            Prime Sponsor, Senator Prentice: Determining the number of unclassified personnel in the sheriff's office. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass. Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESB 5143         Prime Sponsor, Senator Long: Modifying the Washington state patrol retirement system retirement and survivor benefits. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 43.43.040 and 1998 c 194 s 1 are each amended to read as follows:

             (1) The chief of the Washington state patrol shall relieve from active duty Washington state patrol officers who, while in the performance of their official duties, or while on standby or available for duty, have been or hereafter may be injured or incapacitated to such an extent as to be mentally or physically incapable of active service: PROVIDED, That:

             (a) Any officer disabled while performing line duty who is found by the chief to be physically incapacitated shall be placed on disability leave for a period not to exceed six months from the date of injury or the date incapacitated. During this period, the officer shall be entitled to all pay, benefits, insurance, leave, and retirement contributions awarded to an officer on active status, less any compensation received through the department of labor and industries. No such disability leave shall be approved until an officer has been unavailable for duty for more than forty consecutive work hours. Prior to the end of the six-month period, the chief shall either place the officer on disability status or return the officer to active status.

             For the purposes of this section, "line duty" is active service which encompasses the traffic law enforcement duties and/or other law enforcement responsibilities of the state patrol. These activities encompass all enforcement practices of the laws, accident and criminal investigations, or actions requiring physical exertion or exposure to hazardous elements.

             The chief shall define by rule the situations where a disability has occurred during line duty;

             (b) Benefits under this section for a disability that is incurred while in other employment will be reduced by any amount the officer receives or is entitled to receive from workers' compensation, social security, group insurance, other pension plan, or any other similar source provided by another employer on account of the same disability;

             (c) An officer injured while engaged in willfully tortious or criminal conduct shall not be entitled to disability benefits under this section; and

             (d) For members commissioned prior to January 1, 2003, should a disability beneficiary whose disability was not incurred in line of duty, prior to attaining age fifty, engage in a gainful occupation, the chief shall reduce the amount of his retirement allowance to an amount which when added to the compensation earned by him in such occupation shall not exceed the basic salary currently being paid for the rank the retired officer held at the time he was disabled. All such disability beneficiaries under age fifty shall file with the chief every six months a signed and sworn statement of earnings and any person who shall knowingly swear falsely on such statement shall be subject to prosecution for perjury. Should the earning capacity of such beneficiary be further altered, the chief may further alter his disability retirement allowance as indicated above. The failure of any officer to file the required statement of earnings shall be cause for cancellation of retirement benefits.

             (2) ((Officers)) (a) Members commissioned prior to January 1, 2003, on disability status shall receive one-half of their compensation at the existing wage, during the time the disability continues in effect, less any compensation received through the department of labor and industries. They shall be subject to mental or physical examination at any state institution or otherwise under the direction of the chief of the patrol at any time during such relief from duty to ascertain whether or not they are able to resume active duty.

             (b) Members commissioned on or after January 1, 2003, on disability status as a result of a line duty disability shall receive a line duty disability allowance of one-half of their compensation at the existing wage, during the time the disability continues in effect, less any compensation received through the department of labor and industries, and any retirement allowance under section 2 of this act. They shall be subject to such comprehensive medical examinations as required by the chief of the patrol at any time during such relief from duty. If these medical examinations reveal that a member has recovered from the incapacitating disability and the member is offered reemployment by the chief at a comparable compensation, the member shall cease to be eligible for this line duty disability allowance.

 

             NEW SECTION. Sec. 2. (1) A member of the retirement system commissioned on or after January 1, 2003, who becomes totally incapacitated for continued employment by an employer as determined by the department upon recommendation of the department shall be eligible to receive an allowance under RCW 43.43.260. The member shall receive a monthly disability allowance computed as provided for in RCW 43.43.260 and shall have this allowance actuarially reduced to reflect the difference in the number of years between age at disability and the attainment of age fifty-five or from when the member could have attained twenty-five years of service, whichever is less.

             Any member who receives an allowance under the provisions of this section shall be subject to comprehensive medical examinations as required by the department. If these medical examinations reveal that a member has recovered from the incapacitating disability and the member is offered reemployment by the chief at a comparable compensation, the member shall cease to be eligible for the allowance.

             (2) If the recipient of a monthly retirement allowance under this section dies before the total of the retirement allowance paid to the recipient equals the amount of the accumulated contributions at the date of retirement, then the balance shall be paid to the member's estate, or the person or persons, trust, or organization as the recipient has nominated by written designation duly executed and filed with the director, or if there is no designated person or persons still living at the time of the recipient's death, then to the surviving spouse, or if there is no designated person or persons still living at the time of his or her death nor a surviving spouse, then to his or her legal representative.

 

             Sec. 3. RCW 43.43.120 and 1999 c 74 s 1 are each amended to read as follows:

             As used in the following sections, unless a different meaning is plainly required by the context:

             (1) "Retirement system" means the Washington state patrol retirement system.

             (2) "Retirement fund" means the Washington state patrol retirement fund.

             (3) "State treasurer" means the treasurer of the state of Washington.

             (4) "Member" means any person included in the membership of the retirement fund.

             (5) "Employee" means any commissioned employee of the Washington state patrol.

             (6)(a) "Cadet," for a person who became a member of the retirement system after June 12, 1980, is a person who has passed the Washington state patrol's entry-level oral, written, physical performance, and background examinations and is, thereby, appointed by the chief as a candidate to be a commissioned officer of the Washington state patrol.

             (b) "Cadet," for a person who became a member of the retirement system before June 12, 1980, is a trooper cadet, patrol cadet, or employee of like classification, employed for the express purpose of receiving the on-the-job training required for attendance at the state patrol academy and for becoming a commissioned trooper. "Like classification" includes: Radio operators or dispatchers; persons providing security for the governor or legislature; patrolmen; drivers' license examiners; weighmasters; vehicle safety inspectors; central wireless operators; and warehousemen.

             (7) "Beneficiary" means any person in receipt of retirement allowance or any other benefit allowed by this chapter.

             (8) "Regular interest" means interest compounded annually at such rates as may be determined by the director.

             (9) "Retirement board" means the board provided for in this chapter.

             (10) "Insurance commissioner" means the insurance commissioner of the state of Washington.

             (11) "Lieutenant governor" means the lieutenant governor of the state of Washington.

             (12) "Service" shall mean services rendered to the state of Washington or any political subdivisions thereof for which compensation has been paid. Full time employment for seventy or more hours in any given calendar month shall constitute one month of service. An employee who is reinstated in accordance with RCW 43.43.110 shall suffer no loss of service for the period reinstated subject to the contribution requirements of this chapter. Only months of service shall be counted in the computation of any retirement allowance or other benefit provided for herein. Years of service shall be determined by dividing the total number of months of service by twelve. Any fraction of a year of service as so determined shall be taken into account in the computation of such retirement allowance or benefit.

             (13) "Prior service" shall mean all services rendered by a member to the state of Washington, or any of its political subdivisions prior to August 1, 1947, unless such service has been credited in another public retirement or pension system operating in the state of Washington.

             (14) "Current service" shall mean all service as a member rendered on or after August 1, 1947.

             (15)(a) "Average final salary," for members commissioned prior to January 1, 2003, shall mean the average monthly salary received by a member during the member's last two years of service or any consecutive two-year period of service, whichever is the greater, as an employee of the Washington state patrol; or if the member has less than two years of service, then the average monthly salary received by the member during the member's total years of service.

             (b) "Average final salary," for members commissioned on or after January 1, 2003, shall mean the average monthly salary received by a member for the highest consecutive sixty service credit months; or if the member has less than sixty months of service, then the average monthly salary received by the member during the member's total months of service.

             (16) "Actuarial equivalent" shall mean a benefit of equal value when computed upon the basis of such mortality table as may be adopted and such interest rate as may be determined by the director.

             (17) Unless the context expressly indicates otherwise, words importing the masculine gender shall be extended to include the feminine gender and words importing the feminine gender shall be extended to include the masculine gender.

             (18) "Director" means the director of the department of retirement systems.

             (19) "Department" means the department of retirement systems created in chapter 41.50 RCW.

             (20) "State actuary" or "actuary" means the person appointed pursuant to RCW 44.44.010(2).

             (21) "Contributions" means the deduction from the compensation of each member in accordance with the contribution rates established under ((RCW 43.43.300)) chapter 41.45 RCW.

             (22) "Annual increase" means as of July 1, 1999, seventy-seven cents per month per year of service which amount shall be increased each subsequent July 1st by three percent, rounded to the nearest cent.

             (23)(a) "Salary," for members commissioned prior to July 1, 2001, shall exclude any overtime earnings related to RCW 47.46.040, or any voluntary overtime, earned on or after July 1, 2001.

             (b) "Salary," for members commissioned on or after July 1, 2001, shall exclude any overtime earnings related to RCW 47.46.040 or any voluntary overtime, lump sum payments for deferred annual sick leave, unused accumulated vacation, unused accumulated annual leave, holiday pay, or any form of severance pay.

             (24) "Plan 2" means the Washington state patrol retirement system plan 2, providing the benefits and funding provisions covering commissioned employees who first become members of the system on or after January 1, 2003.

 

             Sec. 4. RCW 43.43.260 and 1994 c 197 s 34 are each amended to read as follows:

             Upon retirement from service as provided in RCW 43.43.250, a member shall be granted a retirement allowance which shall consist of:

             (1) A prior service allowance which shall be equal to two percent of the member's average final salary multiplied by the number of years of prior service rendered by the member.

             (2) A current service allowance which shall be equal to two percent of the member's average final salary multiplied by the number of years of service rendered while a member of the retirement system.

             (3)(a) Any member commissioned prior to January 1, 2003, with twenty-five years service in the Washington state patrol may have the member's service in the armed forces credited as a member whether or not the individual left the employ of the Washington state patrol to enter such armed forces: PROVIDED, That in no instance shall military service in excess of five years be credited: AND PROVIDED FURTHER, That in each instance, a member must restore all withdrawn accumulated contributions, which restoration must be completed on the date of the member's retirement, or as provided under RCW 43.43.130, whichever occurs first: AND PROVIDED FURTHER, That this section shall not apply to any individual, not a veteran within the meaning of RCW 41.06.150, as now or hereafter amended: AND PROVIDED FURTHER, That in no instance shall military service be credited to any member who is receiving full military retirement benefits pursuant to Title 10 United States Code, as now or hereafter amended.

             (b) A member who leaves the Washington state patrol to enter the armed forces of the United States shall be entitled to retirement system service credit for up to five years of military service. This subsection shall be administered in a manner consistent with the requirements of the federal uniformed services employment and reemployment rights act.

             (i) The member qualifies for service credit under this subsection if:

             (A) Within ninety days of the member's honorable discharge from the United States armed forces, the member applies for reemployment with the employer who employed the member immediately prior to the member entering the United States armed forces; and

             (B) The member makes the employee contributions required under section 11 of this act and RCW 41.45.067 within five years of resumption of service or prior to retirement, whichever comes sooner; or

             (C) Prior to retirement and not within ninety days of the member's honorable discharge or five years of resumption of service the member pays the amount required under RCW 41.50.165(2).

             (ii) Upon receipt of member contributions under (b)(i)(B) of this subsection, the department shall establish the member's service credit and shall bill the employer for its contribution required under RCW 41.45.060 for the period of military service, plus interest as determined by the department.

             (iii) The contributions required under (b)(i)(B) of this subsection shall be based on the compensation the member would have earned if not on leave, or if that cannot be estimated with reasonable certainty, the compensation reported for the member in the year prior to when the member went on military leave.

             (4) In no event shall the total retirement benefits from subsections (1), (2), and (3) of this section, of any member exceed seventy-five percent of the member's average final salary.

             (5) ((A yearly increase in retirement allowance which shall amount to two percent of the retirement allowance computed at the time of retirement. This yearly increase shall be added to the retirement allowance on July 1st of each calendar year.)) Beginning July 1, 2001, and every year thereafter, the department shall determine the following information for each retired member or beneficiary whose retirement allowance has been in effect for at least one year:

             (a) The original dollar amount of the retirement allowance;

             (b) The index for the calendar year prior to the effective date of the retirement allowance, to be known as "index A";

             (c) The index for the calendar year prior to the date of determination, to be known as "index B"; and

             (d) The ratio obtained when index B is divided by index A.

             The value of the ratio obtained shall be the annual adjustment to the original retirement allowance and shall be applied beginning with the July payment. In no event, however, shall the annual adjustment:

             (i) Produce a retirement allowance which is lower than the original retirement allowance;

             (ii) Exceed three percent in the initial annual adjustment; or

             (iii) Differ from the previous year's annual adjustment by more than three percent.

             For the purposes of this section, "index" means, for any calendar year, that year's average consumer price index for the Seattle-Tacoma-Bremerton Washington area for urban wage earners and clerical workers, all items, compiled by the bureau of labor statistics, United States department of labor.

             The provisions of this section shall apply to all members presently retired and to all members who shall retire in the future.

 

             NEW SECTION. Sec. 5. (1) A member commissioned on or after January 1, 2003, upon retirement for service as prescribed in RCW 43.43.250 or disability retirement under RCW 43.43.040, shall elect to have the retirement allowance paid pursuant to the following options, calculated so as to be actuarially equivalent to each other.

             (a) Standard allowance. A member electing this option shall receive a retirement allowance payable throughout the member's life. However, if the retiree dies before the total of the retirement allowance paid to the retiree equals the amount of the retiree's accumulated contributions at the time of retirement, then the balance shall be paid to the member's estate, or such person or persons, trust, or organization as the retiree shall have nominated by written designation duly executed and filed with the department; or if there be no such designated person or persons still living at the time of the retiree's death, then to the surviving spouse; or if there be neither such designated person or persons still living at the time of death nor a surviving spouse, then to the retiree's legal representative.

             (b) The department shall adopt rules that allow a member to select a retirement option that pays the member a reduced retirement allowance and upon death, such portion of the member's reduced retirement allowance as the department by rule designates shall be continued throughout the life of and paid to a designated person. Such person shall be nominated by the member by written designation duly executed and filed with the department at the time of retirement. The options adopted by the department shall include, but are not limited to, a joint and one hundred percent survivor option and a joint and fifty percent survivor option.

             (2)(a) A member, if married, must provide the written consent of his or her spouse to the option selected under this section, except as provided in (b) of this subsection. If a member is married and both the member and member's spouse do not give written consent to an option under this section, the department will pay the member a joint and fifty percent survivor benefit and record the member's spouse as the beneficiary. This benefit shall be calculated to be actuarially equivalent to the benefit options available under subsection (1) of this section unless spousal consent is not required as provided in (b) of this subsection.

             (b) If a copy of a dissolution order designating a survivor beneficiary under RCW 41.50.790 has been filed with the department at least thirty days prior to a member's retirement:

             (i) The department shall honor the designation as if made by the member under subsection (1) of this section; and

             (ii) The spousal consent provisions of (a) of this subsection do not apply.

             (3) No later than January 1, 2003, the department shall adopt rules that allow a member additional actuarially equivalent survivor benefit options, and shall include, but are not limited to:

             (a)(i) A retired member who retired without designating a survivor beneficiary shall have the opportunity to designate their spouse from a postretirement marriage as a survivor during a one-year period beginning one year after the date of the postretirement marriage provided the retirement allowance payable to the retiree is not subject to periodic payments pursuant to a property division obligation as provided for in RCW 41.50.670.

             (ii) A member who entered into a postretirement marriage prior to the effective date of the rules adopted pursuant to this subsection and satisfies the conditions of (a)(i) of this subsection shall have one year to designate their spouse as a survivor beneficiary following the adoption of the rules.

             (b) A retired member who elected to receive a reduced retirement allowance under this section and designated a nonspouse as survivor beneficiary shall have the opportunity to remove the survivor designation and have their future benefit adjusted.

             (c) The department may make an additional charge, if necessary, to ensure that the benefits provided under this subsection remain actuarially equivalent.

 

             Sec. 6. RCW 43.43.270 and 1989 c 108 s 1 are each amended to read as follows:

             For members commissioned prior to January 1, 2003:

             (1) The normal form of retirement allowance shall be an allowance which shall continue as long as the member lives.

             (2) If a member should die while in service the member's lawful spouse shall be paid an allowance which shall be equal to fifty percent of the average final salary of the member. If the member should die after retirement the member's lawful spouse shall be paid an allowance which shall be equal to the retirement allowance then payable to the member or fifty percent of the final average salary used in computing the member's retirement allowance, whichever is less. The allowance paid to the lawful spouse shall continue as long as the spouse lives: PROVIDED, That if a surviving spouse who is receiving benefits under this subsection marries another member of this retirement system who subsequently predeceases such spouse, the spouse shall then be entitled to receive the higher of the two survivors' allowances for which eligibility requirements were met, but a surviving spouse shall not receive more than one survivor's allowance from this system at the same time under this subsection. To be eligible for an allowance the lawful surviving spouse of a retired member shall have been married to the member prior to the member's retirement and continuously thereafter until the date of the member's death or shall have been married to the retired member at least two years prior to the member's death.

             (3) If a member should die, either while in service or after retirement, the member's surviving unmarried children under the age of eighteen years shall be provided for in the following manner:

             (a) If there is a surviving spouse, each child shall be entitled to a benefit equal to five percent of the final average salary of the member or retired member. The combined benefits to the surviving spouse and all children shall not exceed sixty percent of the final average salary of the member or retired member; and

             (b) If there is no surviving spouse or the spouse should die, the child or children shall be entitled to a benefit equal to thirty percent of the final average salary of the member or retired member for one child and an additional ten percent for each additional child. The combined benefits to the children under this subsection shall not exceed sixty percent of the final average salary of the member or retired member. Payments under this subsection shall be prorated equally among the children, if more than one.

             (4) If a member should die in the line of duty while employed by the Washington state patrol, the member's surviving children under the age of twenty years and eleven months if attending any high school, college, university, or vocational or other educational institution accredited or approved by the state of Washington shall be provided for in the following manner:

             (a) If there is a surviving spouse, each child shall be entitled to a benefit equal to five percent of the final average salary of the member. The combined benefits to the surviving spouse and all children shall not exceed sixty percent of the final average salary of the member;

             (b) If there is no surviving spouse or the spouse should die, the unmarried child or children shall be entitled to receive a benefit equal to thirty percent of the final average salary of the member or retired member for one child and an additional ten percent for each additional child. The combined benefits to the children under this subsection shall not exceed sixty percent of the final average salary. Payments under this subsection shall be prorated equally among the children, if more than one; and

             (c) If a beneficiary under this subsection reaches the age of twenty-one years during the middle of a term of enrollment the benefit shall continue until the end of that term.

             (5) The provisions of this section shall apply to members who have been retired on disability as provided in RCW 43.43.040 if the officer was a member of the Washington state patrol retirement system at the time of such disability retirement.

 

             NEW SECTION. Sec. 7. (1) For members commissioned on or after January 1, 2003, except as provided in RCW 11.07.010, if a member or a vested member who has not completed at least ten years of service dies, the amount of the accumulated contributions standing to such member's credit in the retirement system at the time of such member's death, less any amount identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670, shall be paid to the member's estate, or such person or persons, trust, or organization as the member shall have nominated by written designation duly executed and filed with the department. If there be no such designated person or persons still living at the time of the member's death, such member's accumulated contributions standing to such member's credit in the retirement system, less any amount identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670, shall be paid to the member's estate, or such person or persons, trust, or organization as the member shall have nominated by written designation duly executed and filed with the department. If there be no such designated person or persons still living at the time of the member's death, such member's accumulated contributions standing to such member's credit in the retirement system, less any amount identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670, shall be paid to the member's surviving spouse as if in fact such spouse had been nominated by written designation, or if there be no such surviving spouse, then to such member's legal representatives.

             (2) If a member who is eligible for retirement or a member who has completed at least ten years of service dies, the surviving spouse or eligible child or children shall elect to receive either:

             (a) A retirement allowance computed as provided for in RCW 43.43.260, actuarially reduced by the amount of any lump sum benefit identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670 and actuarially adjusted to reflect a joint and one hundred percent survivor option under RCW 43.43.278 and if the member was not eligible for normal retirement at the date of death a further reduction from age fifty-five or when the member could have attained twenty-five years of service, whichever is less; if a surviving spouse who is receiving a retirement allowance dies leaving a child or children of the member under the age of majority, then such child or children shall continue to receive an allowance in an amount equal to that which was being received by the surviving spouse, share and share alike, until such child or children reach the age of majority; if there is no surviving spouse eligible to receive an allowance at the time of the member's death, such member's child or children under the age of majority shall receive an allowance share and share alike calculated under this section making the assumption that the ages of the spouse and member were equal at the time of the member's death; or

             (b)(i) The member's accumulated contributions, less any amount identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670; or

             (ii) If the member dies, one hundred fifty percent of the member's accumulated contributions, less any amount identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670. Any accumulated contributions attributable to restorations made under RCW 41.50.165(2) shall be refunded at one hundred percent.

             (3) If a member who is eligible for retirement or a member who has completed at least ten years of service dies, and is not survived by a spouse or an eligible child, then the accumulated contributions standing to the member's credit, less any amount identified as owing to an obligee upon withdrawal of accumulated contributions pursuant to a court order filed under RCW 41.50.670, shall be paid:

             (a) To an estate, a person or persons, trust, or organization as the member shall have nominated by written designation duly executed and filed with the department; or

             (b) If there is no such designated person or persons still living at the time of the member's death, then to the member's legal representatives.

 

             Sec. 8. RCW 43.43.274 and 1999 c 74 s 3 are each amended to read as follows:

             Effective ((July 1, 1997)) January 1, 2003, the minimum retirement allowance under RCW 43.43.260 and 43.43.270(2) in effect on January 1, 2002, shall ((not be less than twenty dollars per month for each year of service. Effective July 1, 1999, and annually thereafter, the retirement allowance provided under this section shall be adjusted by the annual increase amount. If the member has elected to receive a reduced retirement allowance under RCW 43.43.280(2), the minimum retirement allowance under this section shall be reduced accordingly)) be increased by three percent. Each January 1st thereafter, the minimum retirement allowance of the preceding year shall be increased by three percent.

 

             Sec. 9. RCW 43.43.278 and 2000 c 186 s 9 are each amended to read as follows:

by July 1, 2000, the department of retirement systems shall adopt rules that allow a member to select an actuarially equivalent retirement option that pays the member a reduced retirement allowance and upon death shall be continued throughout the life of a lawful surviving spouse. The continuing allowance to the lawful surviving spouse shall be subject to the yearly increase provided by RCW 43.43.260(5) ((in lieu of the annual increase provided in RCW 43.43.272)). The allowance to the lawful surviving spouse under this section, and the allowance for an eligible child or children under RCW 43.43.270, shall not be subject to the limit for combined benefits under RCW 43.43.270.

 

             Sec. 10. RCW 41.45.060 and 2000 2nd sp.s. c 1 s 905 are each amended to read as follows:

             (1) The state actuary shall provide actuarial valuation results based on the assumptions adopted under RCW 41.45.030.

             (2) Not later than September 30, 1998, and every two years thereafter, consistent with the assumptions adopted under RCW 41.45.030, the council shall adopt and may make changes to:

             (a) A basic state contribution rate for the law enforcement officers' and fire fighters' retirement system;

             (b) Basic employer contribution rates for the public employees' retirement system, the teachers' retirement system, and the Washington state patrol retirement system to be used in the ensuing biennial period; and

             (c) A basic employer contribution rate for the school employees' retirement system for funding the public employees' retirement system plan 1.

             For the 1999-2001 fiscal biennium, the rates adopted by the council shall be effective for the period designated in section 902, chapter 1, Laws of 2000 2nd sp. sess. and RCW 41.45.0602.

             (3) The employer and state contribution rates adopted by the council shall be the level percentages of pay that are needed:

             (a) To fully amortize the total costs of the public employees' retirement system plan 1, the teachers' retirement system plan 1, and the law enforcement officers' and fire fighters' retirement system plan 1((, and the unfunded liability of the Washington state patrol retirement system)) not later than June 30, 2024, except as provided in subsection (5) of this section;

             (b) To also continue to fully fund the public employees' retirement system plans 2 and 3, the teachers' retirement system plans 2 and 3, the school employees' retirement system plans 2 and 3, and the law enforcement officers' and fire fighters' retirement system plan 2 in accordance with RCW 41.45.061, 41.45.067, and this section; and

             (c) For the law enforcement officers' and fire fighters' system plan 2 the rate charged to employers, except as provided in RCW 41.26.450, shall be thirty percent of the cost of the retirement system and the rate charged to the state shall be twenty percent of the cost of the retirement system.

             (4) The aggregate actuarial cost method shall be used to calculate a combined plan 2 and 3 employer contribution rate and a Washington state patrol retirement system contribution rate.

             (5) An amount equal to the amount of extraordinary investment gains as defined in RCW 41.31.020 shall be used to shorten the amortization period for the public employees' retirement system plan 1 and the teachers' retirement system plan 1.

             (6) The council shall immediately notify the directors of the office of financial management and department of retirement systems of the state and employer contribution rates adopted.

             (7) The director of the department of retirement systems shall collect those rates adopted by the council.

 

             NEW SECTION. Sec. 11. Beginning July 1, 2001, the required contribution rate for members of the Washington state patrol retirement system shall be two percent or equal to the employer rate adopted under RCW 41.45.060 and 41.45.070 for the Washington state patrol retirement system, whichever is greater.

 

             NEW SECTION. Sec. 12. The following acts or parts of acts are each repealed:

             (1) RCW 43.43.272 (Surviving spouse allowance--Annual adjustment) and 1999 c 74 s 2;

             (2) RCW 43.43.276 (Retirement and beneficiary allowances--Post-retirement adjustment--Minimum adjustment) and 1983 1st ex.s. c 56 s 5; and

             (3) RCW 43.43.300 (Contributions by members--State contributions remain in fund if member leaves patrol) and 2000 c 17 s 1 & 1965 c 8 s 43.43.300.

 

             NEW SECTION. Sec. 13. (1) Sections 2, 5, and 7 of this act are each added to chapter 43.43 RCW.

             (2) Section 11 of this act is added to chapter 41.45 RCW.

 

             NEW SECTION. Sec. 14. 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 July 1, 2001."

 

             On page 1, line 2 of the title, after "benefits;" strike the remainder of the title and insert "amending RCW 43.43.040, 43.43.120, 43.43.260, 43.43.270, 43.43.274, 43.43.278, and 41.45.060; adding new sections to chapter 43.43 RCW; adding a new section to chapter 41.45 RCW; repealing RCW 43.43.272, 43.43.276, and 43.43.300; providing an effective date; and declaring an emergency."

 

Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Lisk, Republican Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Lambert, Linville, Lisk, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Boldt, Gombosky, and Kessler.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5145            Prime Sponsor, Senator Long: Exempting trainers and trainees in housing authority resident training programs from membership in the public employees' retirement system. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass. Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Boldt, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Keiser, Kenney, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Gombosky, Kagi, Kessler, and Lisk.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5147            Prime Sponsor, Senator Winsley: Correcting statutes pertaining to the public employees' and school employees' retirement systems. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass. Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Boldt, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Gombosky, Kessler, and Lisk.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5151            Prime Sponsor, Senator Carlson: Increasing the number of hours that teachers' retirement system plan retirees may work in an eligible position to eight hundred forty without a reduction in their retirement benefits. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass. Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Boldt, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Gombosky, Kessler, and Lisk.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESB 5156         Prime Sponsor, Senator Hale: Creating an additional superior court position for the counties of Benton and Franklin jointly. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Boldt, Carrell, Casada, Dickerson, Esser, Hurst, Lambert, Lantz, Lovick, and McDermott.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SSB 5166          Prime Sponsor, Senate Committee on Higher Education: Allowing state financial aid to be used at Washington branch campuses of accredited out-of-state institutions of higher education. Reported by Committee on Higher Education

 

MAJORITY recommendation: Do pass. Signed by Representatives Cox, Republican Co-Chair; Kenney, Democratic Co-Chair; Gombosky, Democratic Vice Chair; Jarrett, Republican Vice Chair; Fromhold; Lantz and Skinner.

 

MINORITY recommendation: Do not pass. Signed by Representative Dunn.

 

             Voting yea: Representatives Cox, Kenney, Gombosky, Jarrett, Fromhold, Lantz and Skinner.

             Voting nay: Representative Dunn.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5182          Prime Sponsor, Senate Committee on Environment, Energy & Water: Ensuring a sustainable, comprehensive pipeline safety program in the state. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "NEW SECTION. Sec. 1. The intent of this act is to ensure a sustainable, comprehensive, pipeline safety program, to protect the health and safety of the citizens of the state of Washington, and maintain the quality of the state's environment. The legislature finds that public safety and the environment are best protected by securing permanent funding for this program through establishment of a regulatory fee imposed on hazardous liquids and gas pipelines.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 80.24 RCW to read as follows:

             (1)(a) Every gas company and every interstate gas pipeline company subject to inspection or enforcement by the commission shall pay an annual pipeline safety fee to the commission. The pipeline safety fees received by the commission shall be deposited in the pipeline safety account created in RCW 81.88.050.

             (b) The aggregate amount of fees set shall be sufficient to recover the reasonable costs of administering the pipeline safety program, taking into account federal funds used to offset the costs. The fees established under this section shall be designed to generate revenue not exceeding appropriated levels of funding for the current fiscal year. At a minimum, the fees established under this section shall be sufficient to adequately fund pipeline inspection personnel, the timely review of pipeline safety and integrity plans, the timely development of spill response plans, the timely development of accurate maps of pipeline locations, participation in federal pipeline safety efforts to the extent allowed by law, and the staffing of the citizens committee on pipeline safety.

             (c) Increases in the aggregate amount of fees over the immediately preceding fiscal year are subject to the requirements of RCW 43.135.055.

             (2) The commission shall by rule establish the methodology it will use to set the appropriate fee for each entity subject to this section. The methodology shall provide for an equitable distribution of program costs among all entities subject to the fee. The fee methodology shall provide for:

             (a) Direct assignment of average costs associated with annual standard inspections, including the average number of inspection days per year. In establishing these directly assignable costs, the commission shall consider the requirements and guidelines of the federal government, state safety standards, and good engineering practice; and

             (b) A uniform and equitable means of estimating and allocating costs of other duties relating to inspecting pipelines for safety that are not directly assignable, including but not limited to design review and construction inspections, specialized inspections, incident investigations, geographic mapping system design and maintenance, and administrative support.

             (3) The commission shall require reports from those entities subject to this section in the form and at such time as necessary to set the fees. After considering the reports supplied by the entities, the commission shall set the amount of the fee payable by each entity by general order entered before July 1st of each year.

             (4) For companies subject to RCW 80.24.010, the commission shall collect the pipeline safety fee as part of the fee specified in RCW 80.24.010. The commission shall allocate the moneys collected under RCW 80.24.010 between the pipeline safety program and for other regulatory purposes. The commission shall adopt rules that assure that fee moneys related to the pipeline safety program are maintained separately from other moneys collected by the commission under this chapter.

             (5) Any payment of the fee imposed by this section made after its due date must include a late fee of two percent of the amount due. Delinquent fees accrue interest at the rate of one percent per month.

             (6) The commission shall keep accurate records of the costs incurred in administering its gas pipeline safety program, and the records are open to inspection by interested parties. The records and data upon which the commission's determination is made shall be prima facie correct in any proceeding to challenge the reasonableness or correctness of any order of the commission fixing fees and distributing regulatory expenses.

             (7) If any entity seeks to contest the imposition of a fee imposed under this section, that entity shall pay the fee and request a refund within six months of the due date for the payment by filing a petition for a refund with the commission. The commission shall establish by rule procedures for handling refund petitions and may delegate the decisions on refund petitions to the secretary of the commission.

             (8) After establishing the fee methodology by rule as required in subsection (2) of this section, the commission shall create a regulatory incentive program for pipeline safety programs in collaboration with the citizens committee on pipeline safety. The regulatory incentive program created by the commission shall not shift costs among companies paying pipeline safety fees and shall not decrease revenue to pipeline safety programs. The regulatory incentive program shall not be implemented until after the review conducted according to section 4 of this act.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 81.24 RCW to read as follows:

             (1)(a) Every hazardous liquid pipeline company as defined in RCW 81.88.010 shall pay an annual pipeline safety fee to the commission. The pipeline safety fees received by the commission shall be deposited in the pipeline safety account created in RCW 81.88.050.

             (b) The aggregate amount of fees set shall be sufficient to recover the reasonable costs of administering the pipeline safety program, taking into account federal funds used to offset the costs. The fees established under this section shall be designed to generate revenue not exceeding appropriated levels of funding for the current fiscal year. At a minimum, the fees established under this section shall be sufficient to adequately fund pipeline inspection personnel, the timely review of pipeline safety and integrity plans, the timely development of spill response plans, the timely development of accurate maps of pipeline locations, participation in federal pipeline safety efforts to the extent allowed by law, and the staffing of the citizens committee on pipeline safety.

             (c) Increases in the aggregate amount of fees over the immediately preceding fiscal year are subject to the requirements of RCW 43.135.055.

             (2) The commission shall by rule establish the methodology it will use to set the appropriate fee for each entity subject to this section. The methodology shall provide for an equitable distribution of program costs among all entities subject to the fee. The fee methodology shall provide for:

             (a) Direct assignment of average costs associated with annual standard inspections, including the average number of inspection days per year. In establishing these directly assignable costs, the commission shall consider the requirements and guidelines of the federal government, state safety standards, and good engineering practice; and

             (b) A uniform and equitable means of estimating and allocating costs of other duties relating to inspecting pipelines for safety that are not directly assignable, including but not limited to design review and construction inspections, specialized inspections, incident investigations, geographic mapping system design and maintenance, and administrative support.

             (3) The commission shall require reports from those entities subject to this section in the form and at such time as necessary to set the fees. After considering the reports supplied by the entities, the commission shall set the amount of the fee payable by each entity by general order entered before July 1st of each year.

             (4) For companies subject to RCW 81.24.010, the commission shall collect the pipeline safety fee as part of the fee specified in RCW 81.24.010. The commission shall allocate the moneys collected under RCW 81.24.010 between the pipeline safety program and for other regulatory purposes. The commission shall adopt rules that assure that fee moneys related to the pipeline safety program are maintained separately from other moneys collected by the commission under this chapter.

             (5) Any payment of the fee imposed by this section made after its due date must include a late fee of two percent of the amount due. Delinquent fees accrue interest at the rate of one percent per month.

             (6) The commission shall keep accurate records of the costs incurred in administering its hazardous liquid pipeline safety program, and the records are open to inspection by interested parties. The records and data upon which the commission's determination is made shall be prima facie correct in any proceeding to challenge the reasonableness or correctness of any order of the commission fixing fees and distributing regulatory expenses.

             (7) If any entity seeks to contest the imposition of a fee imposed under this section, that entity shall pay the fee and request a refund within six months of the due date for the payment by filing a petition for a refund with the commission. The commission shall establish by rule procedures for handling refund petitions and may delegate the decisions on refund petitions to the secretary of the commission.

             (8) After establishing the fee methodology by rule as required in subsection (2) of this section, the commission shall create a regulatory incentive program for pipeline safety programs in collaboration with the citizens committee on pipeline safety. The regulatory incentive program created by the commission shall not shift costs among companies paying pipeline safety fees and shall not decrease revenue to pipeline safety programs. The regulatory incentive program shall not be implemented until after the review conducted according to section 4 of this act.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 81.88 RCW to read as follows:

             The joint legislative audit and review committee shall review staff use, inspection activity, fee methodology, and costs of the hazardous liquid and gas pipeline safety programs and report to the appropriate legislative committees by July 1, 2003. The report shall include a comparison of interstate and intrastate programs, including but not limited to the number and complexity of regular and specialized inspections, mapping requirements for each program, and allocation of administrative costs to each program.

 

             Sec. 5. RCW 19.122.055 and 2000 c 191 s 24 are each amended to read as follows:

             (1) Any person who fails to notify the one-number locator service and causes damage to a hazardous liquid or gas pipeline is subject to a civil penalty of not more than ten thousand dollars for each violation.

             (2) All civil penalties recovered under this section ((relating to hazardous liquid pipelines)) shall be deposited into the ((hazardous liquid)) pipeline safety account created in RCW 81.88.050. ((All civil penalties recovered under this section relating to gas pipelines shall be deposited in the general fund and expended for the purpose of enforcement of gas pipeline safety laws.))

 

             Sec. 6. RCW 81.88.010 and 2000 c 191 s 2 are each amended to read as follows:

             The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

             (1) "Commission" means the utilities and transportation commission.

             (2) (("Department" means the department of ecology.

             (3))) "Failsafe" means a design feature that will maintain or result in a safe condition in the event of malfunction or failure of a power supply, component, or control device.

             (((4))) (3) "Gas" means natural gas, flammable gas, or toxic or corrosive gas.

             (((5))) (4) "Gas pipeline" means all parts of a pipeline facility through which gas moves in transportation, including, but not limited to, line pipe, valves, and other appurtenances connected to line pipe, pumping units, fabricated assemblies associated with pumping units, metering and delivery stations and fabricated assemblies therein, and breakout tanks. "Gas pipeline" does not include process or transfer pipelines.

             (((6))) (5) "Gas pipeline company" means a person or entity constructing, owning, or operating a gas pipeline for transporting gas. A "gas pipeline company" does not include: (a) Distribution systems owned and operated under franchise for the sale, delivery, or distribution of natural gas at retail; or (b) excavation contractors or other contractors that contract with a gas pipeline company.

             (((7))) (6) "Hazardous liquid" means: (a) Petroleum, petroleum products, or anhydrous ammonia as those terms are defined in 49 C.F.R. Part 195 in effect March 1, 1998; and (b) carbon dioxide.

             (((8))) (7) "Local government" means a political subdivision of the state or a city or town.

             (((9))) (8) "Person" means an individual, partnership, franchise holder, association, corporation, a state, a city, a county, or any political subdivision or instrumentality of a state, and its employees, agents, or legal representatives.

             (((10))) (9) "Pipeline," "pipeline system," or "hazardous liquid pipeline" means all parts of a pipeline facility through which a hazardous liquid moves in transportation, including, but not limited to, line pipe, valves, and other appurtenances connected to line pipe, pumping units, fabricated assemblies associated with pumping units, metering and delivery stations and fabricated assemblies therein, and breakout tanks. "Pipeline" or "pipeline system" does not include process or transfer pipelines.

             (((11))) (10) "Pipeline company" or "hazardous liquid pipeline company" means a person or entity constructing, owning, or operating a pipeline for transporting hazardous liquid. A "pipeline company" does not include: (a) Distribution systems owned and operated under franchise for the sale, delivery, or distribution of natural gas at retail; or (b) excavation contractors or other contractors that contract with a pipeline company.

             (((12))) (11) "Reportable release" means a spilling, leaking, pouring, emitting, discharging, or any other uncontrolled escape of a hazardous liquid in excess of one barrel, or forty-two gallons.

             (((13))) (12) "Safety management systems" means management systems that include coordinated and interdisciplinary evaluations of the effect of significant changes to a pipeline system before such changes are implemented.

             (((14))) (13) "Transfer pipeline" means a buried or aboveground pipeline used to carry oil between a tank vessel or transmission pipeline and the first valve inside secondary containment at the facility provided that any discharge on the facility side of that first valve will not directly impact waters of the state. A transfer pipeline includes valves, and other appurtenances connected to the pipeline, pumping units, and fabricated assemblies associated with pumping units. A transfer pipeline does not include process pipelines, pipelines carrying ballast or bilge water, transmission pipelines, or tank vessel or storage tanks.

             (((15))) (14) "Transmission pipeline" means a gas pipeline that transports gas within a storage field, or transports gas from an interstate pipeline or storage facility to a distribution main or a large volume gas user, or operates at a hoop stress of twenty percent or more of the specified minimum yield strength.

 

             Sec. 7. RCW 81.88.050 and 2000 c 191 s 4 are each amended to read as follows:

             (1) The ((hazardous liquid)) pipeline safety account is created in the custody of the state treasurer. All fees received by the commission for the pipeline safety program according to sections 2 and 3 of this act and all receipts from the federal office of pipeline safety and any other state or federal funds provided for ((hazardous liquid)) pipeline safety ((must)) shall be deposited in the account, except as provided in subsection (2) of this section. Any fines collected under this chapter, or otherwise designated to this account must be deposited in the account. Moneys in the account may be spent only after appropriation. Expenditures from the account may be used only for funding pipeline safety.

             (2) Federal funds received before June 30, 2001, shall be treated as receipt of unanticipated funds and expended, without appropriation, for the designated purposes.

 

             Sec. 8. RCW 81.88.060 and 2000 c 191 s 5 are each amended to read as follows:

             (1) A comprehensive program of hazardous liquid pipeline safety is authorized by RCW 81.88.010, 81.88.040, 81.88.050, 81.88.090, 81.88.100, ((81.88.130,)) 48.48.160, and this section to be developed and implemented consistent with federal law. ((Except as provided in subsection (6) of this section,)) The commission shall administer and enforce all laws related to hazardous liquid pipeline safety.

             (2) The commission shall adopt rules for pipeline safety standards for hazardous liquid pipeline transportation that:

             (a) Require pipeline companies to design, construct, operate, and maintain their pipeline facilities so they are safe and efficient;

             (b) Require pipeline companies to rapidly locate and isolate all reportable releases from pipelines, that may include:

             (i) Installation of remote control shut-off valves; and

             (ii) Installation of remotely monitored pressure gauges and meters;

             (c) Require the training and certification of personnel who operate pipelines and the associated systems;

             (d) Require reporting of emergency situations, including emergency shutdowns and material defects or physical damage that impair the serviceability of a pipeline; and

             (e) Require pipeline companies to submit operations safety plans to the commission once every five years, as well as any amendments to the plan made necessary by changes to the pipeline system or its operation. The safety plan shall include emergency response procedures.

             (3) The commission shall approve operations safety plans if they have been deemed fit for service. A plan shall be deemed fit for service when it provides for pipelines that are designed, developed, constructed, operated, and periodically modified to provide for protection of public safety and the environment. Pipeline operations safety plans shall, at a minimum, include:

             (a) A schedule of inspection and testing within the pipeline distribution system of:

             (i) All mechanical components;

             (ii) All electronic components; and

             (iii) The structural integrity of all pipelines as determined through pressure testing, internal inspection tool surveys, or another appropriate technique;

             (b) Failsafe systems;

             (c) Safety management systems; and

             (d) Emergency management training for pipeline operators.

             (4) The commission shall coordinate information related to pipeline safety by providing technical assistance to local planning and siting authorities.

             (5) The commission shall evaluate, and consider adopting, proposals developed by the federal office of pipeline safety, the national transportation safety board, and other agencies and organizations related to methods and technologies for testing the integrity of pipeline structure, leak detection, and other elements of pipeline operation.

             (((6) The authorities of RCW 81.88.010, 81.88.040, 81.88.050, 81.88.090, 81.88.100, 81.88.130, 48.48.160, and this section relating to hazardous liquid pipeline safety shall be transferred from the commission to the department pursuant to RCW 81.88.130 upon the occurrence of either:

             (a) Amendments to federal pipeline safety laws to eliminate preemption of state authority to regulate safety requirements for such pipelines; or

             (b) The granting of federal authority to the state to enforce or adopt any safety requirements for interstate hazardous liquid pipelines.))

 

             Sec. 9. RCW 81.88.090 and 2000 c 191 s 9 are each amended to read as follows:

             (1) The commission ((and the department)) shall apply for federal delegation for the state's program for the purposes of enforcement of federal hazardous liquid pipeline safety requirements. If the secretary of transportation delegates inspection authority to the state as provided in this subsection, the ((department)) commission, at a minimum, shall do the following:

             (a) Inspect hazardous liquid pipelines periodically as specified in the inspection program;

             (b) Collect fees;

             (c) Order and oversee the testing of hazardous liquid pipelines as authorized by federal law and regulation; and

             (d) File reports with the United States secretary of transportation as required to maintain the delegated authority.

             (2) The commission ((and the department)) shall also seek federal authority to adopt safety standards related to the monitoring and testing of interstate hazardous liquid pipelines.

             (3) Upon delegation under subsection (1) of this section or under a grant of authority under subsection (2) of this section, to the extent authorized by federal law, the ((department)) commission shall adopt rules for interstate pipelines that are no less stringent than the state's laws and rules for intrastate hazardous liquid pipelines.

 

             Sec. 10. RCW 81.88.140 and 2000 c 191 s 14 are each amended to read as follows:

             (1) The citizens committee on pipeline safety is established to advise the state agencies and other appropriate federal and local government agencies and officials on matters relating to hazardous liquid and gas pipeline safety, routing, construction, operation, and maintenance. The committee shall serve as an advisory committee for the commission on matters relating to the commission's pipeline safety programs and activities. The commission shall consult with and provide periodic reports to the committee on matters related to the commission's pipeline safety programs and activities, including but not limited to the development and regular review of funding elements for pipeline safety programs and activities.

             (2) The committee shall have thirteen total members who shall be appointed by the governor to staggered three-year terms and shall consist of: (a) Nine members representing local government, including elected officials and the public; and (b) four nonvoting members, representing owners and operators of hazardous liquid and gas pipelines. All members of the committee, voting and nonvoting, may participate fully in the committee's meetings, activities, and deliberations and shall timely receive all notices and information related to committee business and decisions.

             (3) The committee shall review and comment on proposed rules and the operation of the state pipeline safety programs.

             (((2))) (4) The committee may create one or more technical advisory committees comprised of gas and hazardous liquid pipeline owners or operators, agency representatives, natural resource and environmental interests, or other interested parties.

             (((3))) (5) The committee established in ((subsection (1) of)) this section constitutes a class one group under RCW 43.03.220. Expenses for this group, as well as staff support, shall be provided by the utilities and transportation commission ((and, if additional pipeline authority is transferred to it, the department of ecology)).

 

             NEW SECTION. Sec. 11. RCW 81.88.130 (Transfer of powers, duties, and functions of commission to department--Delegation of federal authority--Determination by office of financial management) and 2000 c 191 s 13 are each repealed.

 

             NEW SECTION. Sec. 12. 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 July 1, 2001."

 

             Correct the title.

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives G. Chandler, Linville, Cooper, Mielke, B. Chandler, Delvin, Dunshee, Grant, Hunt, Quall, Roach, Schoesler and Sump.

             Excused: Representative Kirby.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5187          Prime Sponsor, Senate Committee on Judiciary: Updating creditor/debtor personal property exemptions. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass as amended.

 

             Beginning on page 3, line 37, strike everything through "agency." on page 4, line 3

 

Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Dickerson, Esser, Lovick and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5190          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Providing photo identification for private investigators. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 18.165.080 and 1995 c 277 s 26 are each amended to read as follows:

             (1) The director shall issue a private investigator license card to each licensed private investigator and an armed private investigator license card to each armed private investigator. License cards must include picture identification.

             (a) The license card may not be used as security clearance.

             (b) A private investigator shall carry the license card whenever he or she is performing the duties of a private investigator and shall exhibit the card upon request.

             (c) An armed private investigator shall carry the license card whenever he or she is performing the duties of an armed private investigator and shall exhibit the card upon request.

             (2) The director shall issue a license certificate to each licensed private investigator agency.

             (a) Within seventy-two hours after receipt of the license certificate, the licensee shall post and display the certificate in a conspicuous place in the principal office of the licensee within the state.

             (b) It is unlawful for any person holding a license certificate to knowingly and willfully post the license certificate upon premises other than those described in the license certificate or to materially alter a license certificate.

             (c) Every advertisement by a licensee that solicits or advertises business shall contain the name of the licensee, the address of record, and the license number as they appear in the records of the director.

             (d) The licensee shall notify the director within thirty days of any change in the licensee's officers or directors or any material change in the information furnished or required to be furnished to the director.

 

             NEW SECTION. Sec. 2. This act takes effect July 1, 2003."

 

             Correct the title.

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SB 5197            Prime Sponsor, Senator Winsley: Revising private activity bond provisions. Reported by Committee on Capital Budget

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, line 15, after "and in" strike "2003" and insert "2002"

 

Signed by Representatives Alexander, Republican Co-Chair; Murray, Democratic Co-Chair; Armstrong, Republican Vice Chair; Esser, Republican Vice Chair; McIntire, Democratic Vice Chair; Barlean; Bush; Casada; Hankins; Hunt; Lantz; O'Brien; Ogden; Poulsen; Reardon; Schoesler; Veloria and Woods.

 

             Voting yea: Representatives Alexander, Armstrong, Bush, Casada, Esser, Hankins, Hunt, Lantz, Murray, O'Brien, Veloria, and Woods.

             Excused: Representatives Barlean, McIntire, Ogden, Poulsen, Reardon, and Schoesler.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5205          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Requiring self-insurers and the department to provide information for independent medical examinations. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass. Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SB 5206            Prime Sponsor, Senator Gardner: Modifying geologist licensing provisions. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass. Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk, and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5211          Prime Sponsor, Senate Committee on Health & Long-Term Care: Requiring comparable mental health benefits. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine and Ruderman.

 

MINORITY recommendation: Do not pass. Signed by Representatives McMorris and Pennington.

 

             Voting yea: Representatives Cody, Campbell, Schual-Berke, Skinner, Alexander, Ballasiotes, Conway, Darneille, Marine and Ruderman.

             Voting nay: Representatives McMorris and Pennington.

             Excused: Representatives Edmonds and Edwards.

 

             Referred to Committee on Appropriations.

 

March 27, 2001

SB 5223            Prime Sponsor, Senator Gardner: Funding safety audits of rail fixed guideway systems. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Reardon; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Edmonds, Ericksen, Fisher, Hankins, Hatfield, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Reardon, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, and Woods.

             Excused: Representatives Cooper, Haigh, Hurst, Jackley, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 27, 2001

SSB 5224          Prime Sponsor, Senate Committee on Transportation: Redeveloping King Street railroad station. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Morell; Murray; Ogden; Reardon; Rockefeller; Simpson; Skinner; Sump and Woods.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Ahern; Anderson; Mielke and Schindler.

 

             Voting yea: Representatives Ahern, Armstrong, G. Chandler, Edmonds, Ericksen, Fisher, Hankins, Hatfield, Jarrett, Lovick, Marine, Mitchell, Morell, Murray, Ogden, Reardon, Rockefeller, Romero, Simpson, Skinner, Sump, and Woods.

             Voting nay: Representatives Anderson, Mielke, and Schindler.

             Excused: Representatives Cooper, Haigh, Hurst, Jackley, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5238       Prime Sponsor, Senate Committee on Human Services & Corrections: Modifying the board of commissioners of a water-sewer district. Reported by Committee on Local Government & Housing

 

MAJORITY recommendation: Do pass. Signed by Representatives Dunshee, Democratic Co-Chair; Mulliken, Republican Co-Chair; Edwards, Democratic Vice Chair; Mielke, Republican Vice Chair; Berkey; Crouse; DeBolt; Dunn; Edmonds; Hatfield; Jarrett and Kirby.

 

             Voting yea: Representatives Dunshee, Mulliken, Edwards, Mielke, Berkey, Crouse, DeBolt, Dunn, Edmonds, Harfield and Jarrett.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5255          Prime Sponsor, Senate Committee on Judiciary: Exempting certain information on criminal acts from public disclosure. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass. Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives McMorris, Romero, Miloscia, Schindler, Haigh, Lambert, McDermott and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5256            Prime Sponsor, Senator Kastama: Enacting the emergency management assistance compact. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass as amended.

 

             On page 7, line 34, after "authorization" insert "be"

 

Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives McMorris, Romero, Miloscia, Schindler, Haigh, Lambert, McDermott and Schmidt.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

SSB 5263          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Changing provisions relating to employment rights of members of reserve and national guard forces. Reported by Committee on Commerce & Labor

 

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 73.16 RCW to read as follows:

             (1) It is the intent of the legislature to guarantee employment rights of members of the reserve and national guard forces who are called to active duty. The federal uniformed services employment and reemployment rights act of 1994 protects all such federal personnel. The legislature intends that similar provisions should apply to all such state personnel. Therefore, the legislature intends for this act to ensure protections for state-activated personnel similar to those provided by federal law for federal-activated personnel.

             (2) The purposes of this chapter are to:

             (a) Encourage noncareer service in the uniformed services by eliminating or minimizing the disadvantages to civilian careers and employment that can result from such service;

             (b) Minimize the disruption to the lives of persons performing service in the uniformed services as well as to their employers, their fellow employees, and their communities by providing for the prompt reemployment of such persons upon their completion of such service; and

             (c) Prohibit discrimination against persons because of their service in the uniformed services.

             (3) Therefore, the legislature intends that the governmental agencies of the state of Washington, and all the political subdivisions thereof, should be model employers in carrying out the provisions of this chapter.

 

             Sec. 2. RCW 73.16.015 and 1951 c 29 s 2 are each amended to read as follows:

             Any veteran entitled to the benefits of RCW 73.16.010 may enforce his or her rights hereunder by civil action in ((the)) superior court((s)).

 

             Sec. 3. RCW 73.16.031 and 1953 c 212 s 1 are each amended to read as follows:

             ((As used in RCW 73.16.031 through 73.16.061, the term:

             "Resident" means any person residing in the state.)) The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

             (1) "Attorney general" means the attorney general of the state of Washington or any person designated by the attorney general to carry out a responsibility of the attorney general under this chapter.

             (2) "Benefit," "benefit of employment," or "rights and benefits" means any advantage, profit, privilege, gain, status, account, or interest (other than wages or salary for work performed) that accrues by reason of an employment contract or agreement or an employer policy, plan, or practice and includes rights and benefits under a pension plan, a health plan, an employee stock ownership plan, insurance coverage and awards, bonuses, severance pay, supplemental unemployment benefits, vacations, and the opportunity to select work hours or location of employment.

             (3) "Employee" means a person in a position of employment.

             (4) "Employer" means the person, firm, or corporation, the state, or any elected or appointed public official currently having control over the position that has been vacated.

             (5) "Health plan" means an insurance policy or contract, medical or hospital service agreement, membership or subscription contract, or other arrangement under which health services for individuals are provided or the expenses of such services are paid.

             (6) "Notice" means any written or verbal notification of an obligation or intention to perform service in the uniformed services provided to an employer by the employee who will perform such service or by the uniformed service in which such service is to be performed.

             (7) "Position of employment" means any position (other than temporary) wherein a person is engaged for a private employer, company, corporation, or the state((, municipality, or political subdivision thereof)).

             (8) "Qualified," with respect to an employment position, means having the ability to perform the essential tasks of the position.

             (9) "Rejectee" means a person rejected because he or she is not, physically or otherwise, qualified to enter the uniformed service.

             (10) "Resident" means any person residing in the state with the intent to remain other than on a temporary or transient basis.

             (11) "Seniority" means longevity in employment together with any benefits of employment which accrue with, or are determined by, longevity in employment.

             (12) "Service in the uniformed services" means the performance of duty on a voluntary or involuntary basis in a uniformed service under competent authority and includes active duty, active duty for training, initial active duty for training, inactive duty training, full-time national guard duty (including state-ordered active duty), and a period for which a person is absent from a position of employment for the purpose of an examination to determine the fitness of the person to perform any such duty.

             (13) "State" means the state of Washington, including the agencies and political subdivisions thereof.

             (14) "Temporary position" means a position of short duration which, after being vacated, ceases to exist and wherein the employee has been advised as to its temporary nature prior to his or her engagement.

             (("Employer" means the person, firm, corporation, state and any political subdivision thereof, or public official currently having control over the position which has been vacated.

             "Rejectee" means a person rejected because he is not, physically or otherwise, qualified to enter the service.))

             (15) "Undue hardship," in the case of actions taken by an employer, means actions requiring significant difficulty or expense when considered in light of:

             (a) The nature and cost of the action needed under this chapter;

             (b) The overall financial resources of the facility or facilities involved in the provision of the action; the number of persons employed at such facility; the effect on expenses and resources; or the impact otherwise of such action upon the operation of the facility; and

             (c) The type of operation or operations of the employer, including the composition, structure, and functions of the work force of such employer, the geographic separateness, administrative, or fiscal relationship of the facility or facilities in question to the employer.

             (16) "Uniformed services" means the armed forces, the army national guard, and the air national guard of any state, territory, commonwealth, possession, or district when engaged in active duty for training, inactive duty training, full-time national guard duty, or state active duty, the commissioned corps of the public health service, the coast guard, and any other category of persons designated by the president of the United States in time of war or national emergency.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 73.16 RCW to read as follows:

             (1) A person who is a member of, applies to be a member of, performs, has performed, applies to perform, or has an obligation to perform service in a uniformed service shall not be denied initial employment, retention in employment, promotion, or any benefit of employment by an employer on the basis of that membership, application for membership, performance of service, application for service, or obligation.

             (2) An employer may not discriminate in employment against or take any adverse employment action against any person because such person (a) has taken an action to enforce a protection afforded any person under this chapter, (b) has testified or otherwise made a statement in or in connection with any proceeding under this chapter, (c) has assisted or otherwise participated in an investigation under this chapter, or (d) has exercised a right provided for in this chapter. The prohibition in this subsection (2) applies with respect to a person regardless of whether that person has performed service in the uniformed services.

             (3) An employer shall be considered to have engaged in actions prohibited:

             (a) Under subsection (1) of this section, if the person's membership, application for membership, service, application for service, or obligation for service in the uniformed services is a motivating factor in the employer's action, unless the employer can prove that the action would have been taken in the absence of such membership, application for membership, service, application for service, or obligation for service; or

             (b) Under subsection (2) of this section if the person's (i) action to enforce a protection afforded any person under this chapter, (ii) testimony or making of a statement in or in connection with any proceeding under this chapter, (iii) assistance or other participation in an investigation under this chapter, or (iv) exercise of a right provided for in this chapter, is a motivating factor in the employer's action, unless the employer can prove that the action would have been taken in the absence of such person's enforcement action, testimony, statement, assistance, participation, or exercise of a right.

 

             Sec. 5. RCW 73.16.033 and 1953 c 212 s 2 are each amended to read as follows:

             Any person who is a resident of this state or is employed within this state, and who voluntarily or upon ((demand)) order from competent authority, vacates a position of employment ((to determine his physical fitness to enter, or, who actually does enter upon active duty or training in the Washington National Guard, the armed forces of the United States, or the United States public health service)) for service in the uniformed services, shall, provided he or she meets the requirements of RCW 73.16.035, be reemployed forthwith: PROVIDED, That the employer need not reemploy such person if circumstances have so changed ((as to make it impossible, unreasonable, or against the public interest for him to do so)) such that reemployment would be impossible or unreasonable due to a change in the employer's circumstances, or would impose an undue hardship on the employer: PROVIDED FURTHER, That this section shall not apply to a temporary position.

             If such person is still qualified to perform the duties of his or her former position, he or she shall be restored to that position or to a position of like seniority, status and pay. If he or she is not so qualified as a result of disability sustained during his or her service((, or during the determination of his fitness for service)) in the uniformed services, but is nevertheless qualified to perform the duties of another position, under the control of the same employer, he or she shall be reemployed in such other position: PROVIDED, That such position shall provide him or her with like seniority, status, and pay, or the nearest approximation thereto consistent with the circumstances of the case.

 

             Sec. 6. RCW 73.16.035 and 1969 c 16 s 1 are each amended to read as follows:

             (1) In order to be eligible for the benefits of ((RCW 73.16.031 through 73.16.061)) this chapter, an applicant must comply with the following requirements:

             (((1) He)) (a) The applicant must notify his or her employer as to his or her membership in the uniformed services within a reasonable time of accepting employment or becoming a member of the uniformed services. An employer may not take any action prohibited in section 4 of this act against a person because the person provided notice of membership in the uniformed services to the employer.

             (b) The applicant must furnish a receipt of an honorable, or under honorable conditions discharge, report of separation, certificate of satisfactory service, or other proof of having satisfactorily completed his or her service. Rejectees must furnish proof of orders for examination and rejection.

             (((2) He)) (c) The applicant must make written application to the employer or his or her representative ((within ninety days of the date of his separation or release from training and service. Rejectees must apply within thirty days from date of rejection)) as follows:

             (i) In the case of an applicant whose period of service in the uniformed services was less than thirty-one days by reporting to the employer:

             (A) Not later than the beginning of the first full regularly scheduled work period on the first full calendar day following the completion of the period of service and the expiration of eight hours after a period allowing for the safe transportation of the applicant from the place of that service to the applicant's residence; or

             (B) As soon as possible after the expiration of the eight-hour period in (c)(i)(A) of this subsection, if reporting within that period is impossible or unreasonable through no fault of the applicant;

             (ii) In the case of an applicant who is absent from a position of employment for a period of any length for the purposes of an examination to determine the applicant's fitness to perform service in the uniformed services by reporting in the manner and time referred to in (c)(i) of this subsection;

             (iii) In the case of an applicant whose period of service in the uniformed services was for more than thirty days but less than one hundred eighty-one days by submitting an application for reemployment with the employer not later than fourteen days after the completion of the period of service or if submitting such application within such period is impossible or unreasonable through no fault of the applicant, the next first full calendar day when submission of such application becomes possible;

             (iv) In the case of an applicant whose period of service in the uniformed services was for more than one hundred eighty days by submitting an application for reemployment with the employer not later than ninety days after the completion of the period of service;

             (v) In the case of an applicant who is hospitalized for, or convalescing from, an illness or injury incurred or aggravated during the performance of service in the uniformed services, at the end of the period that is necessary for the applicant to recover from such illness or injury, the applicant shall submit an application for reemployment with such employer. The period of recovery may not exceed two years. This two-year period shall be extended by the minimum time required to accommodate the circumstances beyond the applicant's control that make reporting within the two-year period impossible or unreasonable;

             (vi) In the case of an applicant who fails to report or apply for employment or reemployment within the appropriate period specified in this subsection (1)(c), the applicant does not automatically forfeit his or her entitlement to the rights and benefits conferred by this chapter, but is subject to the conduct rules, established policy, and general practices of the employer pertaining to explanations and discipline with respect to absence from scheduled work.

             (d) An applicant who submits an application for reemployment shall provide to the applicant's employer, upon the request of that employer, documentation to establish that:

             (i) The application is timely;

             (ii) The applicant has not exceeded the service limitations set forth in this section, except as permitted under (c)(v) of this subsection; and

             (iii) The applicant's entitlement to the benefits under this chapter has not been terminated pursuant to (e) of this subsection.

             (((3) If, due to the necessity of hospitalization, while on active duty, he is released or placed on inactive duty and remains hospitalized, he is eligible for the benefits of RCW 73.16.031 through 73.16.061: PROVIDED, That such hospitalization does not continue for more than one year from date of such release or inactive status: PROVIDED FURTHER, That he applies for his former position within ninety days after discharge from such hospitalization.

             (4) He)) (e) The applicant must return and reenter the office or position within ((three months)) the appropriate period specified in (c) of this subsection after serving four years or less in the uniformed services other than state-ordered active duty: PROVIDED, That any period of additional service imposed by law, from which one is unable to obtain orders relieving him or her from active duty, will not affect ((his)) reemployment rights.

             (f) The applicant must return and reenter the office or position within the appropriate period specified in (c) of this subsection after serving twelve weeks or less in a calendar year in state-ordered active duty: PROVIDED, That the governor, when declaring an emergency that necessitates a longer period of service, may extend the period of service in state-ordered active duty to up to twelve months after which the applicant is eligible for the benefits of this chapter.

             (2) The failure of an applicant to provide documentation that satisfies rules adopted pursuant to subsection (1)(c) of this section shall not be a basis for denying reemployment in accordance with the provisions of this chapter if the failure occurs because such documentation does not exist or is not readily available at the time of the request of the employer. If, after such reemployment, documentation becomes available that establishes that the applicant does not meet one or more of the requirements referred to in subsection (1)(d) of this section, that applicant's employer may terminate the employment of the person and the provision of any rights or benefits afforded the person under this chapter.

             (3) An employer may not delay or attempt to defeat a reemployment obligation by demanding documentation that does not then exist or is not then readily available.

             (4) The application in subsection (1) of this section is not required if the giving of such application is precluded by military necessity or, under all of the relevant circumstances, the giving of such notice is otherwise impossible or unreasonable. A determination of military necessity for the purposes of this subsection shall be made by the adjutant general of the state of Washington military department and is not subject to judicial review.

             (5) In any proceeding involving an issue of whether (a) reemployment is impossible or unreasonable because of a change in an employer's circumstances, (b) reemployment would impose an undue hardship on the employer, or (c) the employment is for a temporary position, the employer has the burden of proving the impossibility or unreasonableness, undue hardship, or the brief or nonrecurrent nature of the employment without a reasonable expectation of continuing indefinitely or for a significant period.

 

             Sec. 7. RCW 73.16.051 and 1953 c 212 s 5 are each amended to read as follows:

             Any person who is entitled to be restored to a position in accordance with ((the provisions of RCW 73.16.031, 73.16.033, 73.16.035, and 73.16.041)) this chapter shall be considered as having been on furlough or leave of absence, from his or her position of employment, during his or her period of active military duty or service, and he or she shall be so restored without loss of seniority. He or she shall further be entitled to participate in insurance, vacations, retirement pay, and other benefits offered by the employer pursuant to established rules and practices relating to employees on furlough or leave of absence in effect with the employer at the time such person was ordered into the service; and he or she shall not be discharged from such position without cause within one year after restoration((: PROVIDED, That no employer shall be required to make any payment to keep insurance or retirement rights current during such period of military service)).

 

             NEW SECTION. Sec. 8. A new section is added to chapter 73.16 RCW to read as follows:

             (1) If a person, or the person's dependents, have coverage under a health plan in connection with the person's position of state employment, and the person is absent from his or her position of state employment by reason of service in the uniformed services, the plan shall provide that the person may elect to continue the coverage as provided in this section. The maximum period of coverage of a person and person's dependents under such an election shall be the lesser of:

             (a) The eighteen-month period beginning on the date on which the person's absence begins; or

             (b) The day after the date on which the person fails to apply for or return to a position of state employment, as determined under RCW 73.16.035.

             (2) A person who elects to continue health plan coverage under this section may be required to pay not more than one hundred two percent of the full premium under the plan associated with the coverage for the state employer's other employees, except that in the case of a person who performs service in the uniformed services for less than thirty-one days, the person may not be required to pay more than the employee share, if any, for the coverage.

             (3) Except as provided in subsection (2) of this section, if a person's coverage under a health plan was terminated because of service in the uniformed services, an exclusion or waiting period may not be imposed in connection with the reinstatement of the coverage upon reemployment under this chapter if an exclusion or waiting period would not have been imposed under a health plan had coverage of the person by the plan not been terminated as a result of his or her service. This subsection applies to the person who is reemployed and to any dependent who is covered by the plan because of the reinstatement of the coverage of the person.

 

             NEW SECTION. Sec. 9. A new section is added to chapter 73.16 RCW to read as follows:

             (1)(a) In the case of a right provided under any state law governing pension benefits for state employees, the right to pension benefits of a person reemployed under this chapter shall be determined under this section.

             (b) A person reemployed under this chapter shall be treated as not having incurred a break in service with the state because of the person's period of service in the uniformed services.

             (c) Each period served by a person in the uniformed services shall, upon reemployment under this chapter, be deemed to constitute service with the state for the purpose of determining the nonforfeitability of the person's accrued benefits and for the purpose of determining the accrual of benefits under the plan.

             (2) When the state is reemploying a person under this chapter, the state is liable to an employee pension benefit plan for funding any obligation of the plan to provide the pension benefits described in this section and shall allocate the amounts of any employer contribution for the person in the same manner and to the same extent the allocation occurs for other employees during the period of service. For purposes of determining the amount of such liability and any obligation of the plan, earnings and forfeitures shall not be included. For purposes of determining the amount of such liability and purposes of a state law governing pension benefits for state employees, service in the uniformed services that is deemed under subsection (1) of this section to be service with the state shall be deemed to be service with the state under the terms of the plan or any applicable collective bargaining agreement.

             (3) A person reemployed by the state under this chapter is entitled to accrued benefits pursuant to subsection (1)(a) of this section that are contingent on the making of, or derived from, employee contributions or elective deferrals (as defined in section 402(g)(3) of the internal revenue code of 1986) only to the extent the person makes payment to the plan with respect to such contributions or deferrals. No such payment may exceed the amount the person would have been permitted or required to contribute had the person remained continuously employed by the state throughout the period of uniformed service. Any payment to the plan described in this subsection shall be made during the period beginning with the date of reemployment and whose duration is three times the period of the person's services, such payment period in the uniformed services, not to exceed five years.

             (4) For purposes of computing an employer's liability of the employee's contributions under subsection (2) of this section, the employee's compensation during the period of service shall be computed:

             (a) At the rate the employee would have received but for the period of service in subsection (1)(b) of this section; or

             (b) In the case that the determination of such rate is not reasonably certain, on the basis of the employee's average rate of compensation during the twelve-month period immediately preceding such period or if shorter, the period of employment immediately preceding such period.

 

             Sec. 10. RCW 73.16.061 and 1953 c 212 s 6 are each amended to read as follows:

             (1) In case any employer, his or her successor or successors fails or refuses to comply with the provisions of RCW 73.16.031 through 73.16.061 and sections 4, 8, 9, and 13 of this act, the ((prosecuting attorney of the county in which the employer is located)) attorney general shall bring action in the superior court in the county in which the employer is located or does business to obtain an order to specifically require such employer to comply with the provisions ((hereof)) of this chapter, and, as an incident thereto, to compensate such person for any loss of wages or benefits suffered by reason of such employer's unlawful act if:

             (a) The service in question was state duty not covered by the uniformed services employment and reemployment rights act of 1994, P.L. 103-353 (38 U.S.C. Sec. 4301 et seq.); and

             (b) The employer support for guard and reserve ombudsman, or his or her designee, has inquired in the matter and has been unable to resolve it.

             (2) If the conditions in subsection (1)(a) and (b) of this section are met, any such person who does not desire the services of the ((prosecuting)) attorney general may by private counsel, bring such action.

 

             Sec. 11. RCW 73.16.070 and 1941 c 201 s 5 are each amended to read as follows:

             The federal soldiers' and sailors' civil relief act of 1940, Public Act No. 861((, 76th congress)), is hereby specifically declared to apply in proper cases in all the courts of this state.

 

             NEW SECTION. Sec. 12. A new section is added to chapter 73.16 RCW to read as follows:

             An offset of any military pay for temporary service in the uniformed services in a particular week against the salary of a bona fide executive, administrative, or professional employee in a particular week shall not be a factor in determining whether the employee is exempt under RCW 49.46.010(5)(c).

 

             NEW SECTION. Sec. 13. A new section is added to chapter 73.16 RCW to read as follows:

             This chapter shall not supersede, nullify, or diminish any federal or state law, ordinance, rule, regulation, contract, agreement, policy, plan, practice, or other matter that establishes a right or benefit that is more beneficial to, or is in addition to, a right or benefit provided for such person in this chapter.

 

             NEW SECTION. Sec. 14. A new section is added to chapter 73.16 RCW to read as follows:

             The legislature declares that the public policies articulated in chapter ..., Laws of 2001 (this act) depend on the procedures established in chapter ..., Laws of 2001 (this act). No civil or criminal action may be maintained relying on the public policies articulated in chapter ..., Laws of 2001 (this act) without complying with the procedures in this chapter. To that end, all civil actions and civil causes of action for such injuries and all jurisdiction of the courts of this state over such causes are hereby abolished, except as provided in this chapter.

 

             NEW SECTION. Sec. 15. 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 immediately."

 

             Correct the title.

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5273            Prime Sponsor, Senator Gardner: Revising election filing dates. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass. Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives Haigh, Lambert, McDermott, McMorris, Miloscia, Romero, Schindler and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5274          Prime Sponsor, Senate Committee on Transportation: Revising the appointment of vehicle licensing subagents. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 46.01.140 and 1996 c 315 s 1 are each amended to read as follows:

             (1) The county auditor, if appointed by the director of licensing shall carry out the provisions of this title relating to the licensing of vehicles and the issuance of vehicle license number plates under the direction and supervision of the director and may with the approval of the director appoint assistants as special deputies and recommend subagents to accept applications and collect fees for vehicle licenses and transfers and to deliver vehicle license number plates.

             (2) A county auditor appointed by the director may request that the director appoint subagencies within the county.

             (a) Upon authorization of the director, the auditor shall ((advertise a request for proposals and use the process for soliciting vendors under RCW 39.04.190(2), except that the provision requiring the contract to be awarded to the lowest responsible bidder shall not apply)) use an open competitive process including, but not limited to, a written business proposal and oral interview to determine the qualifications of all interested applicants.

             (b) A subagent may recommend a successor who is either the subagent's sibling, spouse, or child, or a subagency employee, as long as the recommended successor participates in the open, competitive process used to select an applicant. In making successor recommendation and appointment determinations, the following provisions apply:

             (i) If a subagency is held by a partnership or corporate entity, the nomination must be submitted on behalf of, and agreed to by, all partners or corporate officers.

             (ii) No subagent may receive any direct or indirect compensation or remuneration from any party or entity in recognition of a successor nomination. A subagent may not receive any financial benefit from the transfer or termination of an appointment.

             (iii) (a) and (b) of this subsection are intended to assist in the efficient transfer of appointments in order to minimize public inconvenience. They do not create a proprietary or property interest in the appointment.

             (c) The auditor shall submit all proposals to the director, and shall recommend the appointment of one or more subagents who have applied through the ((request for proposal)) open competitive process. The auditor shall include in his or her recommendation to the director, not only the name of the successor who is a relative or employee, if applicable and if otherwise qualified, but also the name of one other applicant who is qualified and was chosen through the open competitive process. The director has final appointment authority.

             (3)(a) A county auditor who is appointed as an agent by the department shall enter into a standard contract provided by the director, developed with the advice of the title and registration advisory committee.

             (b) A subagent appointed under subsection (2) of this section shall enter into a standard contract with the county auditor, developed with the advice of the title and registration advisory committee. The director shall provide the standard contract to county auditors.

             (c) The contracts provided for in (a) and (b) of this subsection must contain at a minimum provisions that:

             (i) Describe the responsibilities, and where applicable, the liability, of each party relating to the service expectations and levels, equipment to be supplied by the department, and equipment maintenance;

             (ii) Require the specific type of insurance or bonds so that the state is protected against any loss of collected motor vehicle tax revenues or loss of equipment;

             (iii) Specify the amount of training that will be provided by the state, the county auditor, or subagents;

             (iv) Describe allowable costs that may be charged to vehicle licensing activities as provided for in (d) of this subsection;

             (v) Describe the causes and procedures for termination of the contract, which may include mediation and binding arbitration.

             (d) The department shall develop procedures that will standardize and prescribe allowable costs that may be assigned to vehicle licensing and vessel registration and title activities performed by county auditors.

             (e) The contracts may include any provision that the director deems necessary to ensure acceptable service and the full collection of vehicle and vessel tax revenues.

             (f) The director may waive any provisions of the contract deemed necessary in order to ensure that readily accessible service is provided to the citizens of the state.

             (4)(a) At any time any application is made to the director, the county auditor, or other agent pursuant to any law dealing with licenses, registration, or the right to operate any vehicle or vessel upon the public highways or waters of this state, excluding applicants already paying such fee under RCW 46.16.070 or 46.16.085, the applicant shall pay to the director, county auditor, or other agent a fee of three dollars for each application in addition to any other fees required by law.

             (b) Counties that do not cover the expenses of vehicle licensing and vessel registration and title activities may submit to the department a request for cost-coverage moneys. The request must be submitted on a form developed by the department. The department shall develop procedures to verify whether a request is reasonable. Payment shall be made on requests found to be allowable from the licensing services account.

             (c) Applicants for certificates of ownership, including applicants paying fees under RCW 46.16.070 or 46.16.085, shall pay to the director, county auditor, or other agent a fee of four dollars in addition to any other fees required by law.

             (d) The fees under (a) and (c) of this subsection, if paid to the county auditor as agent of the director, or if paid to a subagent of the county auditor, shall be paid to the county treasurer in the same manner as other fees collected by the county auditor and credited to the county current expense fund. If the fee is paid to another agent of the director, the fee shall be used by the agent to defray his or her expenses in handling the application.

             (e) Applicants required to pay the three-dollar fee established under (a) of this subsection, must pay an additional fifty cents, which must be collected and remitted to the state treasurer for deposit into the department of licensing services account of the motor vehicle fund. Revenue deposited into this account must be used for agent and subagent support, which is to include but not be limited to the replacement of department-owned equipment in the possession of agents and subagents.

             (5) A subagent shall collect a service fee of (a) ((seven)) eight dollars and fifty cents for changes in a certificate of ownership, with or without registration renewal, or verification of record and preparation of an affidavit of lost title other than at the time of the title application or transfer and (b) three dollars and fifty cents for registration renewal only, issuing a transit permit, or any other service under this section.

             (6) If the fee is collected by the state patrol as agent for the director, the fee so collected shall be certified to the state treasurer and deposited to the credit of the state patrol highway account. If the fee is collected by the department of transportation as agent for the director, the fee shall be certified to the state treasurer and deposited to the credit of the motor vehicle fund. All such fees collected by the director or branches of his office shall be certified to the state treasurer and deposited to the credit of the highway safety fund.

             (7) Any county revenues that exceed the cost of providing vehicle licensing and vessel registration and title activities in a county, calculated in accordance with the procedures in subsection (3)(d) of this section, shall be expended as determined by the county legislative authority during the process established by law for adoption of county budgets.

             (8) The director may adopt rules to implement this section."

 

Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Rockefeller; Schindler; Simpson; Skinner; Sump; Wood and Woods.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Ericksen, Republican Vice Chair; Romero.

 

             Voting yea: Representatives Fisher, Mitchell, Cooper, Lovick, Hankins, Ahern, Anderson, Armstrong, Edmonds, Haigh, Hatfield, Jackley, Jarrett, Marine, Mielke, Morell, Murray, Ogden, Rockefeller, Schindler, Simpson, Skinner, Sump, Wood and Woods.

             Voting nay: Representatives Ericksen and Romero.

             Excused: Representatives G. Chandler, Hurst and Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5275            Prime Sponsor, Senator Gardner: Clarifying procedures for absentee voting and mail ballots. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 31, strike "of" and insert "before"

 

             On page 4, beginning on line 33, strike "the secretary of state shall adopt rules prescribing the circumstances under which"

 

             On page 10, beginning on line 4, strike all of subsection (4)

 

             On page 11, beginning on line 1, strike all of section 14

 

             Renumber the following sections consecutively, correct references accordingly, and correct the title.

 

Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives Haigh, Lambert, McDermott, McMorris, Miloscia, Romero, Schindler and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESB 5289         Prime Sponsor, Senator T. Sheldon: Expanding the definition of "public facilities" for purposes of the use of certain revenues in rural counties. Reported by Committee on Trade & Economic Development

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 82.14.370 and 1999 c 311 s 101 are each amended to read as follows:

             (1) The legislative authority of a rural county may impose a sales and use tax in accordance with the terms of this chapter. The tax is in addition to other taxes authorized by law and shall be collected from those persons who are taxable by the state under chapters 82.08 and 82.12 RCW upon the occurrence of any taxable event within the county. The rate of tax shall not exceed 0.08 percent of the selling price in the case of a sales tax or value of the article used in the case of a use tax((, except that for rural counties with population densities between sixty and one hundred persons per square mile, the rate shall not exceed 0.04 percent before January 1, 2000)). No tax may be collected under this section by a county more than twenty-five years after the date that a tax is first imposed under this section.

             (2) The tax imposed under subsection (1) of this section shall be deducted from the amount of tax otherwise required to be collected or paid over to the department of revenue under chapter 82.08 or 82.12 RCW. The department of revenue shall perform the collection of such taxes on behalf of the county at no cost to the county.

             (3) Moneys collected under this section shall only be used for the purpose of private sector job creation or retention by financing the acquisition, construction, rehabilitation, alteration, expansion, or improvements and related costs of public facilities in rural counties. The public facility must be listed as an item in the officially adopted county overall economic development plan, or the economic development section of the county's comprehensive plan, or the comprehensive plan of a city or town located within the county for those counties planning under RCW 36.70A.040. For those counties that do not have an adopted overall economic development plan and do not plan under the growth management act, the public facility must be listed in the county's capital facilities plan or the capital facilities plan of a city or town located within the county. In implementing this section, the county shall consult with cities, towns, and port districts located within the county. ((For the purposes of))

             (4) The definitions in this subsection apply throughout this section((,)).

             (a) "Public facilities" means bridges, roads, domestic and industrial water facilities, sanitary sewer facilities, earth stabilization, storm sewer facilities, railroad, electricity, natural gas, buildings, structures, telecommunications infrastructure, transportation infrastructure, or commercial infrastructure, and port facilities in the state of Washington. "Public facilities" do not include electric generation or distribution facilities.

             (((4) No tax may be collected under this section before July 1, 1998. No tax may be collected under this section by a county more than twenty-five years after the date that a tax is first imposed under this section.

             (5) For purposes of this section,))

             (b) "Related costs" may include development of land and improvements for public facilities, project-specific environmental, capital facilities, land use, permitting, feasibility and marketing studies and plans, project design, site planning and analysis, and project debt and revenue impact analysis.

             (c) "Rural county" means a county with a population density of less than one hundred persons per square mile as determined by the office of financial management and published each year by the department for the period July 1st to June 30th."

 

             Correct the title.

 

Signed by Representatives Van Luven, Republican Co-Chair; Veloria, Democratic Co-Chair; Dunn, Republican Vice Chair; Eickmeyer, Democratic Vice Chair; Fromhold, Democratic Vice Chair; Ahern; Jackley; Mulliken; O'Brien; Pflug and Woods.

 

             Voting yea: Representatives Ahern, Dunn, Eickmeyer, Fromhold, Jackley, Mulliken, O'Brien, Pflug, Van Luven, Veloria, and Woods.

             Excused: Representative Gombosky.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5296            Prime Sponsor, Senator Thibaudeau: Limiting minors' access to tobacco. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, line 3, after "units." insert "For the purpose of this act, behind the counter shall also include non-self service displays or shelves located above or below the sales counter where only the store clerk has access to the tobacco products for sale."

 

             On page 2, beginning on line 5, strike "exclusively." and insert "predominantly. For the purpose of this act, predominantly shall mean fifty percent or more of their retail sales."

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

             Excused: Representatives Edmonds, and Edwards.

 

             Passed to Committee on Commerce & Labor.

 

March 29, 2001

SB 5305            Prime Sponsor, Senator Constantine: Correcting outdated references and double amendments. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Boldt, Carrell, Casada, Dickerson, Esser, Hurst, Lambert, Lantz, Lovick, and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5309          Prime Sponsor, Senate Committee on Ways & Means: Providing funding for local government criminal justice. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 3.62.090 and 1997 c 331 s 4 are each amended to read as follows:

             (1) There shall be assessed and collected in addition to any fines, forfeitures, or penalties assessed, other than for parking infractions by all courts organized under Title 3 or 35 RCW a public safety and education assessment equal to sixty percent of such fines, forfeitures, or penalties, which shall be remitted as provided in chapters 3.46, 3.50, 3.62, and 35.20 RCW. The assessment required by this section shall not be suspended or waived by the court.

             (2) There shall be assessed and collected in addition to any fines, forfeitures, or penalties assessed, other than for parking infractions and for fines levied under RCW 46.61.5055, and in addition to the public safety and education assessment required under subsection (1) of this section by all courts organized under Title 3 or 35 RCW, an additional public safety and education assessment equal to fifty percent of the public safety and education assessment required under subsection (1) of this section, which shall be remitted to the state treasurer and deposited as provided in RCW 43.08.250. The additional assessment required by this subsection shall not be suspended or waived by the court.

             (3) This section does not apply to the fee imposed under RCW ((43.63.110(6))) 46.63.110(6) or the penalty imposed under RCW 46.63.110(7).

 

              Sec. 2. RCW 46.63.110 and 1997 c 331 s 3 are each amended to read as follows:

             (1) A person found to have committed a traffic infraction shall be assessed a monetary penalty. No penalty may exceed two hundred and fifty dollars for each offense unless authorized by this chapter or title.

             (2) The supreme court shall prescribe by rule a schedule of monetary penalties for designated traffic infractions. This rule shall also specify the conditions under which local courts may exercise discretion in assessing fines and penalties for traffic infractions. The legislature respectfully requests the supreme court to adjust this schedule every two years for inflation.

             (3) There shall be a penalty of twenty-five dollars for failure to respond to a notice of traffic infraction except where the infraction relates to parking as defined by local law, ordinance, regulation, or resolution or failure to pay a monetary penalty imposed pursuant to this chapter. A local legislative body may set a monetary penalty not to exceed twenty-five dollars for failure to respond to a notice of traffic infraction relating to parking as defined by local law, ordinance, regulation, or resolution. The local court, whether a municipal, police, or district court, shall impose the monetary penalty set by the local legislative body.

             (4) Monetary penalties provided for in chapter 46.70 RCW which are civil in nature and penalties which may be assessed for violations of chapter 46.44 RCW relating to size, weight, and load of motor vehicles are not subject to the limitation on the amount of monetary penalties which may be imposed pursuant to this chapter.

             (5) Whenever a monetary penalty is imposed by a court under this chapter it is immediately payable. If the person is unable to pay at that time the court may, in its discretion, grant an extension of the period in which the penalty may be paid. If the penalty is not paid on or before the time established for payment the court shall notify the department of the failure to pay the penalty, and the department shall suspend the person's driver's license or driving privilege until the penalty has been paid and the penalty provided in subsection (3) of this section has been paid.

             (6) In addition to any other penalties imposed under this section and not subject to the limitation of subsection (1) of this section, a person found to have committed a traffic infraction shall be assessed a fee of five dollars per infraction. Under no circumstances shall this fee be reduced or waived. Revenue from this fee shall be forwarded to the state treasurer for deposit in the emergency medical services and trauma care system trust account under RCW 70.168.040.

             (7)(a) In addition to any other penalties imposed under this section and not subject to the limitation of subsection (1) of this section, a person found to have committed a traffic infraction other than of RCW 46.61.527 shall be assessed an additional penalty of ten dollars. The court may not reduce, waive, or suspend the additional penalty unless the court finds the offender to be indigent. If a community service program for offenders is available in the jurisdiction, the court shall allow offenders to offset all or a part of the penalty due under this subsection (7) by participation in the community service program.

             (b) Revenue from the additional penalty must be remitted under chapters 2.08, 3.46, 3.50, 3.62, 10.82, and 35.20 RCW. Money remitted under this subsection to the state treasurer must be deposited as provided in RCW 43.08.250. The balance of the revenue received by the county or city treasurer under this subsection must be deposited into the county or city current expense fund. Moneys retained by the city or county under this subsection shall constitute reimbursement for any liabilities under RCW 43.135.060.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 46.64 RCW to read as follows:

             (1) In addition to any other penalties imposed for conviction of a violation of this title that is a misdemeanor, gross misdemeanor, or felony, the court shall impose an additional penalty of fifty dollars. The court may not reduce, waive, or suspend the additional penalty unless the court finds the offender to be indigent. If a community service program for offenders is available in the jurisdiction, the court shall allow offenders to offset all or a part of the penalty due under this section by participation in the community service program.

             (2) Revenue from the additional penalty must be remitted under chapters 2.08, 3.46, 3.50, 3.62, 10.82, and 35.20 RCW. Money remitted under this section to the state treasurer must be deposited as provided in RCW 43.08.250. The balance of the revenue received by the county or city treasurer under this section must be deposited into the county or city current expense fund. Moneys retained by the city or county under this subsection shall constitute reimbursement for any liabilities under RCW 43.135.060.

 

             Sec. 4. RCW 43.08.250 and 2000 2nd sp.s. c 1 s 911 are each amended to read as follows:

             The money received by the state treasurer from fees, fines, forfeitures, penalties, reimbursements or assessments by any court organized under Title 3 or 35 RCW, or chapter 2.08 RCW, shall be deposited in the public safety and education account which is hereby created in the state treasury. The legislature shall appropriate the funds in the account to promote traffic safety education, highway safety, criminal justice training, crime victims' compensation, judicial education, the judicial information system, civil representation of indigent persons, winter recreation parking, drug court operations, and state game programs. During the fiscal biennium ending June 30, 2001, the legislature may appropriate moneys from the public safety and education account for purposes of appellate indigent defense and other operations of the office of public defense, the criminal litigation unit of the attorney general's office, the treatment alternatives to street crimes program, crime victims advocacy programs, justice information network telecommunication planning, sexual assault treatment, operations of the office of administrator for the courts, security in the common schools, alternative school start-up grants, programs for disruptive students, criminal justice data collection, Washington state patrol criminal justice activities, drug court operations, department of ecology methamphetamine-related activities, financial assistance to local jurisdictions for extraordinary costs incurred in the adjudication of criminal cases, domestic violence treatment and related services, the department of corrections' costs in implementing chapter 196, Laws of 1999, reimbursement of local governments for costs associated with implementing criminal and civil justice legislation, and the replacement of the department of corrections' offender-based tracking system."

 

             Correct the title.

 

Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Benson; Boldt and Lambert.

 

             Voting yea: Representatives Sehlin, Sommers, Barlean, Doumit, Alexander, Buck, Clements, Cody, Cox, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Kessler, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Talcott and Tokuda.

             Voting nay: Representatives Benson, Boldt and Lambert.

             Excused: Representatives Lisk and Gombosky.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5315            Prime Sponsor, Senator Fraser: Including drinking water accounts in interest-bearing accounts. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5319          Prime Sponsor, Senate Committee on State & Local Government: Changing provisions relating to the municipal research council. Reported by Committee on Local Government & Housing

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, beginning on line 26, strike all of section 2

 

             Renumber the remaining section consecutively and correct the title and any internal references accordingly.

 

Signed by Representatives Dunshee, Democratic Co-Chair; Mulliken, Republican Co-Chair; Edwards, Democratic Vice Chair; Mielke, Republican Vice Chair; Berkey; Crouse; DeBolt; Dunn; Edmonds; Hatfield; Jarrett and Kirby.

 

             Voting yea: Representatives Dunshee, Mulliken Edwards, Mielke, Berkey, Crouse, DeBolt, Dunn, Edmonds, Hatfield and Jarrett.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5333            Prime Sponsor, Senator Honeyford: Concerning preliminary permits for water closed to diversions due to a federal moratorium. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 90.03.290 and 1994 c 264 s 84 are each amended to read as follows:

             (1) When an application complying with the provisions of this chapter and with the rules ((and regulations)) of the department has been filed, the same shall be placed on record with the department, and it shall be its duty to investigate the application, and determine what water, if any, is available for appropriation, and find and determine to what beneficial use or uses it can be applied. If it is proposed to appropriate water for irrigation purposes, the department shall investigate, determine and find what lands are capable of irrigation by means of water found available for appropriation. If it is proposed to appropriate water for the purpose of power development, the department shall investigate, determine and find whether the proposed development is likely to prove detrimental to the public interest, having in mind the highest feasible use of the waters belonging to the public.

             (2)(a) If the application does not contain, and the applicant does not promptly furnish sufficient information on which to base such findings, the department may issue a preliminary permit, for a period of not to exceed three years, requiring the applicant to make such surveys, investigations, studies, and progress reports, as in the opinion of the department may be necessary. If the applicant fails to comply with the conditions of the preliminary permit, it and the application or applications on which it is based shall be automatically canceled and the applicant so notified. If the holder of a preliminary permit shall, before its expiration, file with the department a verified report of expenditures made and work done under the preliminary permit, which, in the opinion of the department, establishes the good faith, intent, and ability of the applicant to carry on the proposed development, the preliminary permit may, with the approval of the governor, be extended, but not to exceed a maximum period of five years from the date of the issuance of the preliminary permit.

             (b) For any application for which a preliminary permit was issued and for which the availability of water was directly affected by a moratorium on further diversions from the Columbia river during the years from 1990 to 1998, the preliminary permit is extended through June 30, 2002. If such an application and preliminary permit were canceled during the moratorium, the application and preliminary permit shall be reinstated until June 30, 2002, if the application and permit: (i) Are for providing regional water supplies in more than one urban growth area designated under chapter 36.70A RCW and in one or more areas near such urban growth areas, or the application and permit are modified for providing such supplies, and (ii) provide or are modified to provide such regional supplies through the use of existing intake or diversion structures. The authority to modify such a canceled application and permit to accomplish the objectives of (b)(i) and (ii) of this subsection is hereby granted.

             (3) The department shall make and file as part of the record in the matter, written findings of fact concerning all things investigated, and if it shall find that there is water available for appropriation for a beneficial use, and the appropriation thereof as proposed in the application will not impair existing rights or be detrimental to the public welfare, it shall issue a permit stating the amount of water to which the applicant shall be entitled and the beneficial use or uses to which it may be applied: PROVIDED, That where the water applied for is to be used for irrigation purposes, it shall become appurtenant only to such land as may be reclaimed thereby to the full extent of the soil for agricultural purposes. But where there is no unappropriated water in the proposed source of supply, or where the proposed use conflicts with existing rights, or threatens to prove detrimental to the public interest, having due regard to the highest feasible development of the use of the waters belonging to the public, it shall be duty of the department to reject such application and to refuse to issue the permit asked for.

             (4) If the permit is refused because of conflict with existing rights and such applicant shall acquire same by purchase or condemnation under RCW 90.03.040, the department may thereupon grant such permit. Any application may be approved for a less amount of water than that applied for, if there exists substantial reason therefor, and in any event shall not be approved for more water than can be applied to beneficial use for the purposes named in the application. In determining whether or not a permit shall issue upon any application, it shall be the duty of the department to investigate all facts relevant and material to the application. After the department approves said application in whole or in part and before any permit shall be issued thereon to the applicant, such applicant shall pay the fee provided in RCW 90.03.470: PROVIDED FURTHER, That in the event a permit is issued by the department upon any application, it shall be its duty to notify the director of fish and wildlife of such issuance."

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5335          Prime Sponsor, Senate Committee on Economic Development & Telecommunications: Revising the authority of the statewide enhanced 911 program to support the statewide enhanced 911 system. Reported by Committee on Technology, Telecommunications & Energy

 

MAJORITY recommendation: Do pass. Signed by Representatives Crouse, Republican Co-Chair; Poulsen, Democratic Co-Chair; Casada, Republican Vice Chair; Ruderman, Democratic Vice Chair; Anderson; Berkey; Bush; B. Chandler; Cooper; DeBolt; Esser; Hunt; Linville; Mielke; Morris; Pflug; Simpson and Wood.

 

             Voting yea: Representatives Crouse, Poulsen, Casada, Ruderman, Anderson, Berkey, Bush, B. Chandler, Cooper, DeBolt, Esser, Hunt, Linville, Mielke, Morris, Pflug, Simpson and Wood.

             Excused: Representatives Delvin and Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

ESSB 5336       Prime Sponsor, Senate Committee on Higher Education: Creating the public interest attorney loan repayment program. Reported by Committee on Higher Education

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 14, after "Washington." insert "The board may adopt rules necessary to implement this chapter."

 

             On page 3, line 15, after "program." insert "Administrative costs incurred prior to establishment of the fund may be reimbursed."

 

             On page 3, line 35, strike "public" and insert "non-state"

 

             On page 4, line 24, after " from the" strike all words through "interest" on line 26

 

             On page 6, line 7, after "consist of" insert "non-state and"

 

             On page 6, beginning on line 11, strike entire subsection (3)

 

             Renumber the subsections consecutively and correct internal references accordingly.

 

              On page 6, line 21, after "account" insert ", except for purposes of program administration,"

 

             On page 6, line 30, after "money in the" insert "public interest attorney loan repayment endowment"

 

Signed by Representatives Cox, Republican Co-Chair; Kenney, Democratic Co-Chair; Gombosky, Democratic Vice Chair; Jarrett, Republican Vice Chair; Fromhold; Lantz and Skinner.

 

             MINORITY recommendation: Without recommendation. Signed by Representative Dunn.

 

             Voting yea: Representatives Cox, Kenney, Gombosky, Jarrett, Fromhold, Lantz and Skinner.

             Voting nay: Representative Dunn.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

SB 5348            Prime Sponsor, Senator Costa: Updating the uniform child custody jurisdiction and enforcement act. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Dickerson, Esser Lovick and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5364       Prime Sponsor, Senate Committee on Transportation: Modifying drivers' license and identicard provisions. 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 46.20 RCW to read as follows:

             Any contract entered into between the department and a private vendor in which the vendor provides services involving drivers' licenses or identicards must contain the following language: "Drivers' licenses and identicards must not contain: (1) Driver social security numbers in either visible or machine readable form; or (2) driver fingerprints or thumbprints."

 

             Sec. 2. RCW 26.23.140 and 1998 c 160 s 6 are each amended to read as follows:

             The federal personal responsibility and work opportunity reconciliation act of 1996, P.L. 104-193, requires states to collect social security numbers as part of the application process for professional licenses, driver's licenses, occupational licenses, and recreational licenses. The legislature finds that if social security numbers are accessible to the public, it will be relatively easy for someone to use another's social security number fraudulently to assume that person's identity and gain access to bank accounts, credit services, billing information, driving history, and other sources of personal information. ((Public Law 104-193 could compound and exacerbate the disturbing trend of social security number-related fraud. In order to prevent fraud and curtail invasions of privacy, the governor, through the department of social and health services, shall seek a waiver to the federal mandate to record social security numbers on applications for professional, driver's, occupational, and recreational licenses. If a waiver is not granted, the licensing agencies shall collect and disclose social security numbers as required under RCW 26.23.150.))

 

             Sec. 3. RCW 26.23.150 and 1999 c 138 s 2 are each amended to read as follows:

             In order to assist in child support enforcement as required by federal law, all applicants for an original, replacement, or renewal of a professional license, ((commercial)) driver's license, occupational license, or recreational license must furnish the licensing agency with the applicant's social security number, which shall be recorded on the application. ((No applicant for an original, replacement, or renewal noncommercial driver's license is required to furnish the licensing agency with the applicant's social security number for purposes of assisting in child support enforcement prior to the time necessary to comply with the federal deadline.)) The licensing agencies collecting social security numbers shall not display the social security number on the license document. Social security numbers collected by licensing agencies shall not be disclosed except as required by state or federal law or under RCW 26.23.120."

 

Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Morell; Murray; Ogden; Rockefeller; Romero; Simpson; Skinner and Woods.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Ericksen, Republican Vice Chair; Armstrong; G. Chandler; Mielke; Schindler and Sump.

 

             Voting yea: Representatives Ahern, Anderson, Cooper, Edmonds, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mitchell, Morell, Murray, Rockefeller, Romero, Simpson, Skinner, Wood, and Woods.

             Voting nay: Representatives Armstrong, G. Chandler, Ericksen, Mielke, Schindler and Sump.

             Excused: Representatives Ogden, and Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5372       Prime Sponsor, Senate Committee on Ways & Means: Authorizing cooperative agreements concerning the taxation of cigarette sales on Indian lands. Reported by Committee on Finance

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "NEW SECTION. Sec. 1. The legislature intends to further the government-to-government relationship between the state of Washington and Indians in the state of Washington by authorizing the governor to enter into contracts concerning the sale of cigarettes. The legislature finds that these cigarette tax contracts will provide a means to promote economic development, provide needed revenues for tribal governments and Indian persons, and enhance enforcement of the state's cigarette tax law, ultimately saving the state money and reducing conflict. In addition, it is the intent of the legislature that the negotiations and the ensuing contracts shall have no impact on the state's share of the proceeds under the master settlement agreement entered into on November 23, 1998 by the state. This act does not constitute a grant of taxing authority to any Indian tribe nor does it provide precedent for the taxation of non-Indians on fee land.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 43.06 RCW to read as follows:

             (1) The governor may enter into cigarette tax contracts concerning the sale of cigarettes. All cigarette tax contracts shall meet the requirements for cigarette tax contracts under this section. Except for cigarette tax contracts under section 3 of this act, the rates, revenue sharing, and exemption terms of a cigarette tax contract are not effective unless authorized in a bill enacted by the legislature.

             (2) Cigarette tax contracts shall be in regard to retail sales in which Indian retailers make delivery and physical transfer of possession of the cigarettes from the seller to the buyer within Indian Country, and are not in regard to transactions by non-Indian retailers. In addition, contracts shall provide that retailers shall not sell or give, or permit to be sold or given, cigarettes to any person under the age of eighteen years.

             (3) A cigarette tax contract with a tribe shall provide for a tribal cigarette tax in lieu of all state cigarette taxes and state and local sales and use taxes on sales of cigarettes in Indian Country by Indian retailers. The tribe may allow an exemption for sales to tribal members.

             (4) Cigarette tax contracts shall provide that all cigarettes possessed or sold by a retailer shall bear a cigarette stamp obtained by wholesalers from a bank or other suitable stamp vendor and applied to the cigarettes. The procedures to be used by the tribe in obtaining tax stamps must include a means to assure that the tribal tax will be paid by the wholesaler obtaining such cigarettes. Tribal stamps must have serial numbers or some other discrete identification so that each stamp can be traced to its source.

             (5) Cigarette tax contracts shall provide that retailers shall purchase cigarettes only from:

             (a) Wholesalers or manufacturers licensed to do business in the state of Washington;

             (b) Out-of-state wholesalers or manufacturers who, although not licensed to do business in the state of Washington, agree to comply with the terms of the cigarette tax contract, are certified to the state as having so agreed, and who do in fact so comply. However, the state may in its sole discretion exercise its administrative and enforcement powers over such wholesalers or manufacturers to the extent permitted by law;

             (c) A tribal wholesaler that purchases only from a wholesaler or manufacturer described in (a), (b), or (d) of this subsection; and

             (d) A tribal manufacturer.

             (6) Cigarette tax contracts shall be for renewable periods of no more than eight years. A renewal may not include a renewal of the phase-in period.

             (7) Cigarette tax contracts shall include provisions for compliance, such as transport and notice requirements, inspection procedures, stamping requirements, recordkeeping, and audit requirements.

             (8) Tax revenue retained by a tribe must be used for essential government services. Use of tax revenue for subsidization of cigarette and food retailers is prohibited.

             (9) The cigarette tax contract may include provisions to resolve disputes using a nonjudicial process, such as mediation.

             (10) The governor may delegate the power to negotiate cigarette tax contracts to the department of revenue. The department of revenue shall consult with the liquor control board during the negotiations.

             (11) Information received by the state or open to state review under the terms of a contract is subject to the provisions of RCW 82.32.330.

             (12) It is the intent of the legislature that the liquor control board and the department of revenue continue the division of duties and shared authority under chapter 82.24 RCW and therefore the liquor control board is responsible for enforcement activities that come under the terms of chapter 82.24 RCW.

             (13) Each cigarette tax contract shall include a procedure for notifying the other party that a violation has occurred, a procedure for establishing whether a violation has in fact occurred, an opportunity to correct such violation, and a provision providing for termination of the contract should the violation fail to be resolved through this process, such termination subject to mediation should the terms of the contract so allow. A contract shall provide for termination of the contract if resolution of a dispute does not occur within twenty-four months from the time notification of a violation has occurred. Intervening violations do not extend this time period. In addition, the contract shall include provisions delineating the respective roles and responsibilities of the tribe, the department of revenue, and the liquor control board.

             (14) For purposes of this section and sections 3 through 6 of this act:

             (a) "Essential government services" means services such as tribal administration, public facilities, fire, police, public health, education, job services, sewer, water, environmental and land use, transportation, utility services, and economic development;

             (b) "Indian retailer" or "retailer" means (i) a retailer wholly owned and operated by an Indian tribe, (ii) a business wholly owned and operated by a tribal member and licensed by the tribe, or (iii) a business owned and operated by the Indian person or persons in whose name the land is held in trust; and

             (c) "Indian tribe" or "tribe" means a federally recognized Indian tribe located within the geographical boundaries of the state of Washington.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 43.06 RCW to read as follows:

             (1) The governor is authorized to enter into cigarette tax contracts with the Squaxin Island Tribe, the Nisqually Tribe, Tulalip Tribes, the Muckleshoot Indian Tribe, the Quinault Nation, the Jamestown S'Klallam Indian Tribe, the Port Gamble S'Klallam Tribe, the Stillaguamish Tribe, the Sauk-Suiattle Tribe, the Skokomish Indian Tribe, the Nooksack Indian Tribe, the Lummi Nation, the Chehalis Confederated Tribes, and the Upper Skagit Tribe. Each contract adopted under this section shall provide that the tribal cigarette tax rate be one hundred percent of the state cigarette and state and local sales and use taxes within three years of enacting the tribal tax and shall be set no lower than eighty percent of the state cigarette and state and local sales and use taxes during the three-year phase-in period. The three-year phase-in period shall be shortened by three months each quarter the number of cartons of nontribal manufactured cigarettes is at least ten percent or more than the quarterly average number of cartons of nontribal manufactured cigarettes from the six-month period preceding the imposition of the tribal tax under the contract. Sales at a retailer operation not in existence as of the date a tribal tax under this section is imposed are subject to the full rate of the tribal tax under the contract. The tribal cigarette tax is in lieu of the state cigarette and state and local sales and use taxes, as provided in section 2(3) of this act.

             (2) A cigarette tax contract under this section is subject to section 2 of this act.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 82.08 RCW to read as follows:

             The tax levied by RCW 82.08.020 does not apply to sales of cigarettes by an Indian retailer during the effective period of a cigarette tax contract subject to section 2 of this act.

 

             NEW SECTION. Sec. 5. A new section is added to chapter 82.12 RCW to read as follows:

             The provisions of this chapter shall not apply in respect to the use of cigarettes sold by an Indian retailer during the effective period of a cigarette tax contract subject to section 2 of this act.

 

             NEW SECTION. Sec. 6. A new section is added to chapter 82.24 RCW to read as follows:

             (1) The taxes imposed by this chapter do not apply to the sale, use, consumption, handling, possession, or distribution of cigarettes by an Indian retailer during the effective period of a cigarette tax contract subject to section 2 of this act.

             (2) Effective July 1, 2002, wholesalers and retailers subject to the provisions of this chapter shall be allowed compensation for their services in affixing the stamps required under this chapter a sum computed at the rate of six dollars per one thousand stamps purchased or affixed by them.

 

             NEW SECTION. Sec. 7. RCW 82.24.070 (Compensation of dealers), as now or hereafter amended, and 1987 c 496 s 5, 1987 c 80 s 2, 1971 ex.s. c 299 s 14, 1965 ex.s. c 173 s 24, 1961 ex.s. c 24 s 4, & 1961 c 15 s 82.24.070 are each repealed.

 

             Sec. 8. RCW 82.24.510 and 1986 c 321 s 5 are each amended to read as follows:

             (1) The licenses issuable under this chapter are as follows:

             (a) A wholesaler's license.

             (b) A retailer's license.

             (2) Application for the licenses shall be made through the master license system under chapter 19.02 RCW. The department of revenue shall adopt rules regarding the regulation of the licenses. The department of revenue may refrain from the issuance of any license under this chapter if the department has reasonable cause to believe that the applicant has wilfully withheld information requested for the purpose of determining the eligibility of the applicant to receive a license, or if the department has reasonable cause to believe that information submitted in the application is false or misleading or is not made in good faith. In addition, for the purpose of reviewing an application for a wholesaler's license and for considering the denial, suspension, or revocation of any such license, the department may consider criminal convictions of the applicant related to the selling of cigarettes within the previous five years in any state, tribal, or federal jurisdiction in the United States, its territories, or possessions, and the provisions of RCW 9.95.240 and chapter 9.96A RCW shall not apply to such cases. The department may, in its discretion, grant or refuse the wholesaler's license, subject to the provisions of RCW 82.24.550.

             (3) No person may qualify for a wholesaler's license under this section without first undergoing a criminal background check. The background check shall be performed by the liquor control board and must disclose any criminal convictions related to the selling of cigarettes within the previous five years in any state, tribal, or federal jurisdiction in the United States, its territories, or possessions. A person who possesses a valid license on the effective date of this section is subject to this subsection and subsection (2) of this section beginning on the date of the person's master license expiration, and thereafter. If the applicant or licensee also has a license issued under chapter 66.24 RCW, the background check done under the authority of chapter 66.24 RCW satisfies the requirements of this section.

             (4) Each such license shall expire on the master license expiration date, and each such license shall be continued annually if the licensee has paid the required fee and complied with all the provisions of this chapter and the rules of the department of revenue made pursuant thereto.

 

             NEW SECTION. Sec. 9. Section 7 of this act takes effect July 1, 2002."

 

             Correct the title.

 

Signed by Representatives Cairnes, Republican Co-Chair; Morris, Democratic Co-Chair; Berkey, Democratic Vice Chair; Roach, Republican Vice Chair; Carrell; Conway; Santos; Van Luven and Veloria.

 

             Voting yea: Representatives Berkey, Cairnes, Carrell, Conway, Morris, Roach, Santos, Van Luven, and Veloria.

             Excused: Representative Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

ESB 5374         Prime Sponsor, Senator Constantine: Imposing criminal penalties and sanctions for the unauthorized sale of baby food, infant formula, cosmetics, personal care products, nonprescription drugs, or medical devices. (REVISED FOR ENGROSSED: Imposing criminal penalties and sanctions for the unauthorized sale of baby food, infant formula, cosmetics, nonprescription drugs, or medical devices.) Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, beginning on line 9, strike all of subsection (i) and insert the following:

             "(i) At which two or more persons offer personal property for sale or exchange and at which (A) these persons are charged a fee for sale or exchange of personal property or (B) prospective buyers are charged a fee for admission to the area at which personal property is offered or displayed for sale or exchange; or"

 

             On page 2, line 25, after "or" strike "less" and insert "fewer"

 

             On page 2, line 31, after "(4)" strike all material through "means" and insert ""Nonprescription drug," which may also be referred to as an over-the-counter drug, means"

 

             On page 2, line 34, after "and" strike "should" and insert "required to"

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5376          Prime Sponsor, Senate Committee on Transportation: Restricting telephone service for household goods carriers operating without a permit. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Morell; Ogden; Rockefeller; Romero; Simpson; Sump and Woods.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Mielke and Schindler.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mitchell, Morell, Rockefeller, Romero, Simpson, Skinner, Sump, and Woods.

             Voting nay: Representatives Mielke, and Schindler.

             Excused: Representatives Murray, Ogden, Reardon, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5377            Prime Sponsor, Senator Gardner: Marking the gross weight on certain vehicles. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Hatfield; Jackley; Jarrett; Marine; Mielke; Morell; Ogden; Romero; Schindler; Simpson; Skinner; Sump and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, and Woods.

             Excused: Representatives Murray, Ogden, Reardon, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5390            Prime Sponsor, Senator Constantine: Clarifying tax exemptions for sale or use of orthotic devices. Reported by Committee on Finance

 

MAJORITY recommendation: Do pass. Signed by Representatives Cairnes, Republican Co-Chair; Morris, Democratic Co-Chair; Berkey, Democratic Vice Chair; Roach, Republican Vice Chair; Carrell; Conway; Santos; Van Luven and Veloria.

 

             Voting yea: Representatives Berkey, Cairnes, Carrell, Conway, Morris, Roach, Santos, Van Luven, and Veloria.

             Excused: Representative Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5392            Prime Sponsor, Senator Long: Changing provisions relating to emancipation of minors. Reported by Committee on Juvenile Justice

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, at the beginning of line 6, insert "(1)"

 

             On page 1, line 8, after "whether:" strike "(1)" and insert "(((1))) (a)"

 

             On page 1, line 10, after "responsibilities;" strike "(2)" and insert "(((2))) (b)"

 

             On page 1, after line 12, insert the following:

 

             "(2) For the purposes of this section, the term "judicial officer" means: (a) a judge; (b) a superior court commissioner of a unified family court if the county operates a unified family court; or (c) any superior court commissioner if the county does not operate a unified family court. The term does not include a judge pro tempore."

 

Signed by Representatives Delvin, Republican Co-Chair; Dickerson, Democratic Co-Chair; Eickmeyer, Democratic Vice Chair; Marine, Republican Vice Chair; Armstrong; Carrell; Darneille and Tokuda.

 

             Voting yea: Representatives Armstrong, Carrell, Darneille, Delvin, Dickerson, Eickmeyer, Marine, and Tokuda.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5393            Prime Sponsor, Senator Long: Revising provisions relating to truancy records. Reported by Committee on Juvenile Justice

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, line 16, after "address," strike "sex" and insert "gender"

 

Signed by Representatives Delvin, Republican Co-Chair; Dickerson, Democratic Co-Chair; Eickmeyer, Democratic Vice Chair; Marine, Republican Vice Chair; Armstrong; Carrell; Darneille and Tokuda.

 

             Voting yea: Representatives Armstrong, Carrell, Darneille, Delvin, Dickerson, Eickmeyer, Marine, and Tokuda.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

ESB 5394         Prime Sponsor, Senator Kline: Revising provisions concerning the use of judges pro tempore. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, beginning on line 6, strike all material through "judge." on line 10 and insert "A case in the superior court of any county may be tried by a judge pro tempore((, who must be)) either (1) with the agreement of the parties if the judge pro tempore is a member of the bar, who is agreed upon in writing by the parties litigant((,)) or their attorneys of record, and who is approved by the court((,)) and sworn to try the case; ((and his)) or (2) without the agreement of the parties if the judge pro tempore is a sitting elected judge and is acting as a judge pro tempore pursuant to supreme court rule. The supreme court rule must require assignments of judges pro tempore based on the judges' experience and must provide for the right, exercisable once during a case, to a change of judge pro tempore. Such right shall be in addition to any other right provided under RCW 4.12.050."

 

Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Dickerson, Esser, Lovick and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5400          Prime Sponsor, Senate Committee on Economic Development & Telecommunications: Clarifying that the community economic revitalization board may make loans and grants to federally recognized Indian tribes. Reported by Committee on Trade & Economic Development

 

MAJORITY recommendation: Do pass. Signed by Representatives Van Luven, Republican Co-Chair; Veloria, Democratic Co-Chair; Dunn, Republican Vice Chair; Eickmeyer, Democratic Vice Chair; Fromhold, Democratic Vice Chair; Jackley and O'Brien.

 

MINORITY recommendation: Do not pass. Signed by Representatives Ahern; Mulliken; Pflug and Woods.

 

             Voting yea: Representatives Van Luven, Veloria, Dunn, Eickmeyer, Fromhold, Jackley and O'Brien.

             Voting nay: Representatives Ahern, Mulliken, Pflug and Woods.

             Excused: Representative Gombosky.

 

             Referred to Committee on Capital Budget.

 

March 28, 2001

SSB 5401          Prime Sponsor, Senate Committee on State & Local Government: Eliminating boards and commissions. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, beginning on line 20 strike all of subsection (3)

 

On page 6, beginning on line 37, strike all of section 402

 

             Renumber the following sections consecutively, correct internal references accordingly, and correct the title.

 

On page 8, after line 5, insert:

             "NEW SECTION. Sec. 1001. It is the intent of the legislature that the department of social and health services and the department of ecology, in consultation with affected constituent groups, continue appropriate public involvement and outreach mechanisms designed to provide cost-effective public input on their programs and policies."

 

             Renumber the following sections consecutively and correct the title.

 

Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives McMorris, Romero, Miloscia, Schindler, Haigh, Lambert, McDermott and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5407          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Allowing more simulcast horse racing. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass. Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5433          Prime Sponsor, Senate Committee on Health & Long-Term Care: Providing for establishment of parent and child relationship for children born through alternative reproductive medical technology. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Cody, Campbell, Schual-Berke, Skinner, Alexander, Ballasiotes, Conway, Darneille, Marine, McMorris, Pennington and Ruderman.

             Excused: Representatives Edmonds and Edwards.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5434       Prime Sponsor, Senate Committee on Transportation: Removing the photo requirement for special identification cards for persons issued disabled parking permits. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump; Wood and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, Wood, and Woods.

             Excused: Representative Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5437            Prime Sponsor, Senator Oke: Requiring holders of fish and wildlife licenses purchased over the internet or telephone to provide enforcement officers with photo identification. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 77.15.080 and 2000 c 107 s 233 are each amended to read as follows:

             Based upon articulable facts that a person is engaged in fishing or hunting activities, 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 and wildlife in possession as well as the equipment being used to ensure compliance with the requirements of this title. For licenses purchased over the internet or telephone, fish and wildlife officers may require the person, if age eighteen or older, to exhibit a driver's license or other photo identification.

 

             Sec. 2. RCW 77.32.420 and 2000 c 107 s 272 are each amended to read as follows:

             Recreational licenses are not transferable. Upon request of a fish and wildlife officer, ex officio fish and wildlife officer, or authorized fish and wildlife employee, a person hunting for game animals and furbearers, digging for, fishing for, or possessing shellfish, or seaweed or fishing for or possessing food fish or game fish for personal use shall exhibit the required recreational license and write his or her signature for comparison with the signature on the license. A person who has purchased a license over the internet or by telephone may be required to also exhibit a valid driver's license, or other photo identification, if age eighteen or older. Failure to comply with the request is prima facie evidence that the person does not have a license or is not the person named on the license."

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Buck, G. Chandler, Doumit, Edwards, Eickmeyer, Ericksen, Jackley, Murray, Pearson, Pennington, Rockefeller, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SB 5439            Prime Sponsor, Senator Jacobsen: Modifying provisions concerning the licensing of fishing guides. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 77.65.010 and 1998 c 190 s 93 are each amended to read as follows:

             (1) Except as otherwise provided by this title, a person may not engage in any of the following activities without a license or permit issued by the director:

             (a) Commercially fish for or take food fish or shellfish;

             (b) Deliver food fish or shellfish taken in offshore waters;

             (c) Operate a charter boat or commercial fishing vessel engaged in a fishery;

             (d) Engage in processing or wholesaling food fish or shellfish; or

             (e) Act as a fishing guide ((for salmon for personal use)) in freshwater rivers and streams, other than that part of the Columbia river below the bridge at Longview.

             (2) No person may engage in the activities described in subsection (1) of this section unless the licenses or permits required by this title are in the person's possession, and the person is the named license holder or an alternate operator designated on the license and the person's license is not suspended.

             (3) A valid Oregon license that is equivalent to a license under this title is valid in the concurrent waters of the Columbia river if the state of Oregon recognizes as valid the equivalent Washington license. The director may identify by rule what Oregon licenses are equivalent.

             (4) No license or permit is required for the production or harvesting of private sector cultured aquatic products as defined in RCW 15.85.020 or for the delivery, processing, or wholesaling of such aquatic products. However, if a means of identifying such products is required by rules adopted under RCW 15.85.060, the exemption from licensing or permit requirements established by this subsection applies only if the aquatic products are identified in conformance with those rules.

 

             Sec. 2. RCW 77.65.150 and 2000 c 107 s 36 are each amended to read as follows:

             (1) The director shall issue the charter licenses and angler permits listed in this section according to the requirements of this title. The licenses and permits and their annual fees and surcharges are:

 

License or Permit

Annual Fee

(RCW 77.95.090 Surcharge)

Governing

Section

 

Resident

Nonresident

 

(a) Nonsalmon charter

$225

$375

 

(b) Salmon charter

$380

(plus $100)

$685

(plus $100)

RCW 77.70.050

(c) Salmon angler

$ 0

$ 0

RCW 77.70.060

(d) Salmon roe

$ 95

$ 95

RCW 77.65.350

              

             (2) A salmon charter license designating a vessel is required to operate a charter boat to take salmon, other food fish, and shellfish. The director may issue a salmon charter license only to a person who meets the qualifications of RCW 77.70.050.

             (3) A nonsalmon charter license designating a vessel is required to operate a charter boat to take food fish other than salmon and shellfish. As used in this subsection, "food fish" does not include salmon.

             (4) "Charter boat" means a vessel from which persons may, for a fee, fish for food fish, game fish, or shellfish for personal use, and that brings food fish or shellfish into state ports or brings food fish or shellfish taken from state waters into United States ports. The director may specify by rule when a vessel is a "charter boat" within this definition. "Charter boat" does not mean a vessel used by a guide for clients fishing for food fish or game fish for personal use in freshwater rivers, streams, and lakes, other than Lake Washington or that part of the Columbia River below the bridge at Longview.

             (5) A charter boat licensed in Oregon may fish without a Washington charter license under the same rules as Washington charter boat operators in ocean waters within the jurisdiction of Washington state from the southern border of the state of Washington to Leadbetter Point, as long as the Oregon vessel does not land at any Washington port with the purpose of taking on or discharging passengers. The provisions of this subsection shall be in effect as long as the state of Oregon has reciprocal laws and regulations.

             (6) A salmon charter license under subsection (1)(b) of this section may be renewed if the license holder notifies the department by May 1st of that year that he or she will not participate in the fishery during that calendar year. The license holder must pay the one hundred-dollar enhancement surcharge, plus a fifteen-dollar handling charge, in order to be considered a valid renewal and eligible to renew the license the following year.

 

             Sec. 3. RCW 77.65.370 and 1998 c 190 s 98 are each amended to read as follows:

             (1) A natural person shall not offer or perform the services of a professional ((salmon)) fishing guide in the taking of ((salmon)) game fish and food fish for personal use in freshwater rivers and streams, other than in that part of the Columbia river below the bridge at Longview, without a professional ((salmon)) fishing guide license.

             (2) Only an individual at least sixteen years of age may hold a professional ((salmon)) fishing guide license. No individual may hold more than one professional ((salmon)) fishing guide license. No individual may hold a professional fishing guide license unless they can demonstrate to the department's satisfaction that they have a current first aid card and a current cardiopulmonary resuscitation card, a Washington state business license, and adequate liability insurance. For purposes of this subsection, "adequate liability insurance" means general liability insurance coverage that extends to both the guide and employees in an amount of at least three hundred thousand dollars for occurrences of bodily injury and property damage in any one accident.

             (3) The director may specify by rule the requirements for identifying boats engaged in professional fish guiding.

 

             Sec. 4. RCW 77.65.440 and 2000 c 107 s 55 are each amended to read as follows:

             The director shall issue the personal licenses listed in this section according to the requirements of this title. The licenses and their annual fees are:

 

Personal License

Annual Fee

(RCW 77.95.090 Surcharge)

Governing

Section

 

Resident

Nonresident

 

(1) Alternate Operator

$ 35

$ 35

RCW 77.65.130

(2) Geoduck Diver

$185

$295

RCW 77.65.410

(3) ((Salmon Guide))

        Fishing Guide

(($130))

$175

(plus $20)

(($630))

$620

(plus $100)

RCW 77.65.370

 

             Sec. 5. RCW 77.65.480 and 1991 sp.s. c 7 s 4 are each amended to read as follows:

             (1) A taxidermy license allows the holder to practice taxidermy for profit. The fee for this license is one hundred eighty dollars.

             (2) A fur dealer's license allows the holder to purchase, receive, or resell raw furs for profit. The fee for this license is one hundred eighty dollars.

             (3) ((A fishing guide license allows the holder to offer or perform the services of a professional guide in the taking of game fish. The fee for this license is one hundred eighty dollars for a resident and six hundred dollars for a nonresident.

             (4))) A game farm license allows the holder to operate a game farm to acquire, breed, grow, keep, and sell wildlife under conditions prescribed by the rules adopted pursuant to this title. The fee for this license is seventy-two dollars for the first year and forty-eight dollars for each following year.

             (((5))) (4) A game fish stocking permit allows the holder to release game fish into the waters of the state as prescribed by rule of the commission. The fee for this permit is twenty-four dollars.

             (((6))) (5) A fishing or field trial permit allows the holder to promote, conduct, hold, or sponsor a fishing or field trial contest in accordance with rules of the commission. The fee for a fishing contest permit is twenty-four dollars. The fee for a field trial contest permit is twenty-four dollars.

             (((7))) (6) An anadromous game fish buyer's license allows the holder to purchase or sell steelhead trout and other anadromous game fish harvested by Indian ((fishermen)) fishers lawfully exercising fishing rights reserved by federal statute, treaty, or executive order, under conditions prescribed by rule of the director. The fee for this license is one hundred eighty dollars."

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; Edwards; Jackley; Murray and Pennington.

 

MINORITY recommendation: Without recommendation. Signed by Representatives G. Chandler; Eickmeyer and Ericksen.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, Edwards, Jackley, Murray and Pennington.

             Voting nay: Representatives G. Chandler, Eickmeyer and Ericksen.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5442          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Allowing the use of certain salmon fishing gear with an experimental fishery permit. Reported by Committee on Natural Resources

 

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 77.50 RCW to read as follows:

             It is the intent of the legislature to ensure that a sustainable level of salmon is made available for harvest for commercial fishers in the state. Maintaining consistent harvest levels has become increasingly difficult with the listing of salmonid species under the federal endangered species act. Without a stable level of harvest, fishers cannot develop niche markets that maximize the economic value of the harvest. New tools and approaches are needed by fish managers to bring increased stability to the fishing industry.

             In the short term, it is the legislature's intent to provide managers with tools to assure that commercial harvest of targeted stocks can continue and expand under the constraints of the federal endangered species act. There are experimental types of commercial fishing gear that could allow fishers to stabilize harvest levels by selectively targeting healthy salmon stocks.

             For the longer term, the department of fish and wildlife shall proceed with changes to the operation of certain hatcheries in order to stabilize harvest levels by allowing naturally spawning and hatchery origin fish to be managed as a single run. Scientific information from such hatcheries would guide the department's approach to reducing the need to mass mark hatchery origin salmon where appropriate.

 

             Sec. 2. RCW 77.50.030 and 1998 c 190 s 77 are each amended to read as follows:

             (1) A person shall not use, operate, or maintain a gill net which exceeds ((1500)) one thousand five hundred feet in length or a drag seine in the waters of the Columbia river for catching salmon.

             (2) A person shall not construct, install, use, operate, or maintain within state waters a pound net, round haul net, lampara net, fish trap, fish wheel, scow fish wheel, set net, weir, or fixed appliance for catching salmon or steelhead except under the authority of a trial or experimental fishery permit, when an emerging commercial fishery has been designated allowing use of one or more of these gear types. The director must consult with the commercial fishing interests that would be affected by the trial or experimental fishery permit. The director may authorize the use of this gear for scientific investigations.

             (3) The department, in coordination with the Oregon department of fish and wildlife, shall adopt rules to regulate the use of monofilament in gill net webbing on the Columbia river.

 

             Sec. 3. RCW 77.70.180 and 1993 c 340 s 43 are each amended to read as follows:

             (1) Within five years after adopting rules to govern the number and qualifications of participants in an emerging commercial fishery, the director shall provide to the appropriate senate and house of representatives committees a report which outlines the status of the fishery and a recommendation as to whether a separate commercial fishery license, license fee, or limited harvest program should be established for that fishery.

             (2) For any emerging commercial fishery designated under RCW 77.50.030, the report must also include:

             (a) Information on the extent of the program, including to what degree mass marking and supplementation programs have been utilized in areas where emerging commercial fisheries using selective fishing gear have been authorized;

             (b) Information on the benefit provided to commercial fishers including information on the effectiveness of emerging commercial fisheries using selective fishing gear in providing expanded fishing opportunity within mixed stocks of salmon;

             (c) Information on the effectiveness of selective fishing gear in minimizing postrelease mortality for nontarget stocks, harvesting fish so that they are not damaged by the gear, and aiding the creation of niche markets; and

             (d) Information on the department's efforts at operating hatcheries in an experimental fashion by managing wild and hatchery origin fish as a single run as an alternative to mass marking and the utilization of selective fishing gear. The department shall consult with commercial fishers, recreational fishers, federally recognized treaty tribes with a fishing right, regional fisheries enhancement groups, and other affected parties to obtain their input in preparing the report under this subsection (2)."

 

             Correct the title.

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer, Ericksen, Jackley, Murray and Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5443          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Changing required renewal dates in order to validly renew certain commercial fishing licenses. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 77.65.160 and 2000 c 107 s 37 are each amended to read as follows:

             (1) The following commercial salmon fishery licenses are required for the license holder to use the specified gear to fish for salmon in state waters. Only a person who meets the qualifications of RCW 77.70.090 may hold a license listed in this subsection. The licenses and their annual fees and surcharges under RCW 77.95.090 are:

 

Fishery License

Resident

Fee

Nonresident

Fee

Surcharge

(a) Salmon Gill Net--Grays

         Harbor-Columbia river

$380

$685

plus $100

(b) Salmon Gill Net--Puget Sound

$380

$685

plus $100

(c) Salmon Gill Net--Willapa Bay-

          Columbia river

$380

$685

plus $100

(d) Salmon purse seine

$530

$985

plus $100

(e) Salmon reef net

$380

$685

plus $100

(f) Salmon troll

$380

$685

plus $100

 

             (2) A license issued under this section authorizes no taking or delivery of salmon or other food fish unless a vessel is designated under RCW 77.65.100.

             (3) Holders of commercial salmon fishery licenses may retain incidentally caught food fish other than salmon, subject to rules of the department.

             (4) A salmon troll license includes a salmon delivery license.

             (5) A salmon gill net license authorizes the taking of salmon only in the geographical area for which the license is issued. The geographical designations in subsection (1) of this section have the following meanings:

             (a) "Puget Sound" includes waters of the Strait of Juan de Fuca, Georgia Strait, Puget Sound and all bays, inlets, canals, coves, sounds, and estuaries lying easterly and southerly of the international boundary line and a line at the entrance to the Strait of Juan de Fuca projected northerly from Cape Flattery to the lighthouse on Tatoosh Island and then to Bonilla Point on Vancouver Island.

             (b) "Grays Harbor-Columbia river" includes waters of Grays Harbor and tributary estuaries lying easterly of a line projected northerly from Point Chehalis Light to Point Brown and those waters of the Columbia river and tributary sloughs and estuaries easterly of a line at the entrance to the Columbia river projected southerly from the most westerly point of the North jetty to the most westerly point of the South jetty.

             (c) "Willapa Bay-Columbia river" includes waters of Willapa Bay and tributary estuaries and easterly of a line projected northerly from Leadbetter Point to the Cape Shoalwater tower and those waters of the Columbia river and tributary sloughs described in (b) of this subsection.

             (6) A commercial salmon troll fishery license may be renewed under this section if the license holder notifies the department by May 1st of that year that he or she will not participate in the fishery during that calendar year. A commercial salmon gill net, reef net, or seine fishery license may be renewed under this section if the license holder notifies the department ((by August 1st)) before the third Monday in September of that year that he or she will not participate in the fishery during that calendar year. The license holder must pay the one hundred-dollar enhancement surcharge, plus a fifteen-dollar handling charge before the third Monday in September, in order to be considered a valid renewal and eligible to renew the license the following year.

             (7) Notwithstanding the annual license fees and surcharges established in subsection (1) of this section, a person who holds a resident commercial salmon fishery license shall pay an annual license fee of one hundred dollars without a surcharge if all of the following conditions are met:

             (a) The license holder is at least seventy-five years of age;

             (b) The license holder owns a fishing vessel and has fished with a resident commercial salmon fishery license for at least twenty years;

and

             (c) The commercial salmon fishery license is for a geographical area other than the Puget Sound.

             An alternate operator may not be designated for a license renewed at the one hundred dollar annual fee under this subsection (7).

 

             Sec. 2. RCW 77.65.030 and 1993 c 340 s 3 are each amended to read as follows:

             The application deadline for a commercial license or permit established in this chapter is December 31st of the calendar year for which the license or permit is sought. The department shall accept no license or permit applications after December 31st of the calendar year for which the license or permit is sought. The application deadline in this section does not apply to a license or permit that has not been renewed because of the death of the license or permit holder. The license or permit holder's surviving spouse, estate, or estate beneficiary must be given a reasonable opportunity to renew the license or permit.

 

             Sec. 3. RCW 77.65.070 and 1996 c 267 s 27 are each amended to read as follows:

             (1) A commercial license issued under this chapter permits the license holder to engage in the activity for which the license is issued in accordance with this title and the rules of the department.

             (2) No security interest or lien of any kind, including tax liens, may be created or enforced in a license issued under this chapter.

             (3) Unless otherwise provided in this title or rules of the department, commercial licenses and permits issued under this chapter expire at midnight on December 31st of the calendar year for which they are issued. In accordance with this title, licenses may be renewed annually upon application and payment of the prescribed license fees. In accordance with RCW 77.65.030, the department must provide a license or permit holder's surviving spouse, estate, or estate beneficiary a reasonable opportunity to renew the license or permit."

 

             Correct the title.

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer, Ericksen, Jackley, Murray and Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

ESSB 5449       Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Prohibiting identity theft. Reported by Committee on Financial Institutions & Insurance

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 4, strike "government issued" and insert "government-issued"

 

             On page 3, line 5, strike "government issued" and insert "government-issued"

 

             On page 3, line 9, after "(c)" strike "The" and insert "A"

 

             On page 3, line 28, after "judgment" insert ","

 

             On page 11, line 9, after "identification" insert ","

 

             On page 17, line 9, after "identification" insert ","

 

             On page 18, beginning on line 34, strike all of section 7 and insert the following:

             "NEW SECTION. Sec. 7. A new section is added to chapter 9.35 RCW to read as follows:

             The legislature finds that the practices covered by RCW 9.35.010 and 9.35.020 are matters vitally affecting the public interest for the purpose of applying the consumer protection act, chapter 19.86 RCW. Violations of RCW 9.35.010 or 9.35.020 are not reasonable in relation to the development and preservation of business. A violation of RCW 9.35.010 or 9.35.020 is an unfair or deceptive act in trade or commerce and an unfair method of competition for the purpose of applying the consumer protection act, chapter 19.86 RCW.

             Nothing in RCW 9.35.010 or 9.35.020 limits a victim's ability to receive treble damages under RCW 19.86.090."

 

             On page 11, line 26, after the word "batching" insert ",recording"

 

             On page 12, line 2, after "instruments;" strike "or"

 

             On page 12, line 4, after "or similar proceeding" insert ";or (v) the oral contact is made for the purpose of investigating , confirming, or authenticating the information received from the debtor, to provide additional information to the debtor, or to request additional information from the debtor needed by the licensee to accurately record the debtor’s information in the licensee’s records"

 

             On page 17, line 22, after the word "batching" insert ",recording"

 

             On page 17, line 37, after "instruments;" strike "or"

 

             On page 17, line 39, after "or similar proceeding" insert ";or (v) the oral contact is made for the purpose of investigating , confirming, or authenticating the information received from the debtor, to provide additional information to the debtor, or to request additional information from the debtor needed by the licensee to accurately record the debtor’s information in the licensee’s records"

 

Signed by Representatives Benson, Republican Co-Chair; Hatfield, Democratic Co-Chair; Bush, Republican Vice Chair; McIntire, Democratic Vice Chair; Barlean; Cairnes; DeBolt; Keiser; Miloscia; Roach; Santos and Simpson.

 

             Voting yea: Representatives Benson, Hatfield, Bush, McIntire, Barlean, Cairnes, DeBolt, Keiser, Miloscia, Roach, Santos and Simpson.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

ESSB 5465       Prime Sponsor, Senate Committee on Human Services & Corrections: Changing provisions relating to sex offender treatment providers. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 5, after "provision" strike "is limited by" and insert "does not eliminate"

 

             On page 3, line 9, after "victims." insert "This limited liability provision applies only to the conduct of the certified sex offender treatment provider and not the conduct of the state."

 

Signed by: Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5472          Prime Sponsor, Senate Committee on Judiciary: Changing provisions relating to termination of municipal courts and service contracts. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Dickerson, Esser, Lovick and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5474          Prime Sponsor, Senate Committee on Ways & Means: Modifying provisions concerning the general administration services account. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 39.35.060 and 1996 c 186 s 404 are each amended to read as follows:

             The department may impose fees upon affected public agencies for the review of life-cycle cost analyses. The fees shall be deposited in the ((energy efficiency services account established in RCW 39.35C.110)) general administration services account. The purpose of the fees is to recover the costs by the department for review of the analyses. The department shall set fees at a level necessary to recover all of its costs related to increasing the energy efficiency of state-supported new construction. The fees shall not exceed one-tenth of one percent of the total cost of any project or exceed two thousand dollars for any project unless mutually agreed to. The department shall provide detailed calculation ensuring that the energy savings resulting from its review of life-cycle cost analysis justify the costs of performing that review.

 

             Sec. 2. RCW 43.19.025 and 1998 c 105 s 1 are each amended to read as follows:

             The general ((services)) administration (([general administration services])) services account is created in the custody of the state treasurer and shall be used for all activities previously budgeted and accounted for in the following internal service funds: The motor transport account, the general administration management fund, the general administration facilities and services revolving fund, the central stores revolving fund, the surplus property purchase revolving fund, ((and)) the risk management account, and the energy efficiency services account. Only the director or the director's designee may authorize expenditures from the account. The account is subject to the allotment procedures under chapter 43.88 RCW.

 

             Sec. 3. RCW 43.19.1923 and 1998 c 105 s 6 are each amended to read as follows:

             The general administration services account shall be used for the purchase of supplies and equipment handled or rented through central stores, and the payment of salaries, wages, and other costs incidental to the acquisition, operation, and maintenance of the central stores, and other activities connected therewith, which shall include utilities services. ((Disbursements from the account for the purchasing and contract administration activities of the division of purchasing within the department are subject to appropriation and allotment procedures under chapter 43.88 RCW. Disbursements for all other state purchasing activities within the general administration services account are not subject to appropriation.)) The account shall be credited with all receipts from the rental, sale, or distribution of supplies, equipment, and services rendered to the various state agencies. Central stores, utilities services, and other activities within the general administration services account shall be treated as separate operating entities for financial and accounting control. Financial records involving the general administration services account shall be designed to provide data for achieving maximum effectiveness and economy of each individual activity within the account.

 

             NEW SECTION. Sec. 4. RCW 39.35C.110 (Energy efficiency services account--Fees) and 1996 c 186 s 415 & 1991 c 201 s 12 are each repealed."

 

             Correct the title.

 

Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Boldt, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Gombosky, Kessler, and Lisk.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5478            Prime Sponsor, Senator Franklin: Reducing childhood lead exposure. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

             Excused: Representatives Edmonds, and Edwards.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5484          Prime Sponsor, Senate Committee on Ways & Means: Providing a limited sales tax exemption for certain sales of conifer seed. Reported by Committee on Finance

 

MAJORITY recommendation: Do pass. Signed by Representatives Cairnes, Republican Co-Chair; Morris, Democratic Co-Chair; Berkey, Democratic Vice Chair; Roach, Republican Vice Chair; Carrell; Conway; Santos; Van Luven and Veloria.

 

             Voting yea: Representatives Berkey, Cairnes, Carrell, Conway, Morris, Roach, Santos, Van Luven, and Veloria.

             Excused: Representative Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SB 5491            Prime Sponsor, Senator Kline: Revising small claims proceedings. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass. Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Lambert, Boldt, Casada, Dickerson, Esser, Lovick and McDermott.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5494          Prime Sponsor, Senate Committee on Transportation: Clarifying noise laws for motor vehicles. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 46.37.390 and 1977 ex.s. c 355 s 33 are each amended to read as follows:

             (1) Every motor vehicle shall at all times be equipped with a muffler in good working order and in constant operation to prevent excessive or unusual noise, and no person shall use a muffler cut-out bypass, or similar device upon a motor vehicle on a highway.

             (2)(a) No motor vehicle first sold and registered as a new motor vehicle on or after January 1, 1971, shall discharge into the atmosphere at elevations of less than three thousand feet any air contaminant for a period of more than ten seconds which is:

             (i) As dark as or darker than the shade designated as No. 1 on the Ringelmann chart, as published by the United States bureau of mines; or

             (ii) Of such opacity as to obscure an observer's view to a degree equal to or greater than does smoke described in subsection (a)(i) above.

             (b) No motor vehicle first sold and registered prior to January 1, 1971, shall discharge into the atmosphere at elevations of less than three thousand feet any air contaminant for a period of more than ten seconds which is:

             (i) As dark as or darker than the shade designated as No. 2 on the Ringelmann chart, as published by the United States bureau of mines; or

             (ii) Of such opacity as to obscure an observer's view to a degree equal to or greater than does smoke described in subsection (b)(i) above.

             (c) For the purposes of this subsection the following definitions shall apply:

             (i) "Opacity" means the degree to which an emission reduces the transmission of light and obscures the view of an object in the background;

             (ii) "Ringelmann chart" means the Ringelmann smoke chart with instructions for use as published by the United States bureau of mines in May 1967 and as thereafter amended, information circular 7718.

             (3) No person shall modify the exhaust system of a motor vehicle in a manner which will amplify or increase the noise emitted by the engine of such vehicle above that emitted by the muffler originally installed on the vehicle, and it shall be unlawful for any person to operate a motor vehicle not equipped as required by this subsection, or which has been amplified as prohibited by this subsection so that the vehicle's exhaust noise exceeds ninety-five decibels as measured by the Society of Automotive Engineers (SAE) test procedure J1169 (May, 1998). It is not a violation of this subsection unless proven by proper authorities that the exhaust system modification results in noise amplification in excess of ninety-five decibels under the prescribed SAE test standard. A court may dismiss an infraction notice for a violation of this subsection if there is reasonable grounds to believe that the vehicle was not operated in violation of this subsection.

             This subsection (3) does not apply to vehicles twenty-five or more years old or to passenger vehicles being operated off the highways in an organized racing or competitive event conducted by a recognized sanctioning body."

 

Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump; Wood and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, Wood, and Woods.

             Excused: Representative Reardon

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

ESB 5495         Prime Sponsor, Senator Jacobsen: Modifying the appointment process for members of the community outdoor athletic fields advisory council. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 79A.25.810 and 1998 c 264 s 2 are each amended to read as follows:

             (1) A community outdoor athletic fields advisory council is established within the interagency committee for outdoor recreation. The advisory council shall consist of nine members, from the public at large, appointed as follows: (a) Four members appointed by the chairperson of the interagency committee for outdoor recreation; (b) two members appointed by the house of representatives, one each appointed by the speaker of the house of representatives and the minority leader of the house of representatives; (c) two members appointed by the senate, one each appointed by the majority leader of the senate and the minority leader of the senate; and (d) one member appointed by the governor, who shall serve as chairperson of the advisory council. If a position on the advisory council which is supposed to be filled by an appointment by either the house of representatives or the senate is vacant for more than ninety days because of a failure to make the appointment, the chairperson of the interagency committee may appoint a person to fill the vacancy. The appointments must reflect an effort to achieve a balance among the appointed members based upon factors of geographic, population density, racial, ethnic, and gender diversity, and with a sense and awareness of community outdoor athletic fields needs, including the complete variety of outdoor athletic activities.

             (2) The community outdoor athletic fields advisory council shall annually advise, provide information to, and make recommendations to the interagency committee for outdoor recreation on how to allocate all of the funds deposited in the youth athletic facility account created in RCW 43.99N.060(4). These recommendations must include, at a minimum, recommendations concerning the distribution of funds deposited in the youth athletic facility account between the maintenance of existing athletic facilities, the development of new athletic facilities, the improvement of existing athletic facilities, and the award of funds from the youth athletic facility ((grant)) account ((created in RCW 43.99N.060(4),)) to cities, counties, and qualified nonprofit organizations for acquiring, developing, equipping, maintaining, and improving youth or community athletic facilities, including but not limited to community outdoor athletic fields.

             (3) The members shall serve three-year terms. Of the initial members, two shall be appointed for a one-year term, three shall be appointed for a two-year term, and the remainder shall be appointed for three-year terms. Thereafter, members shall be appointed for three-year terms. The member appointed by the governor shall serve as chairperson of the advisory council for the duration of the member's term.

             (4) Members of the advisory council shall serve without compensation, but shall be reimbursed for travel expenses as provided in RCW 43.03.050 and 43.03.060."

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Buck, G. Chandler, Doumit, Edwards, Eickmeyer, Ericksen, Jackley, Murray, Pearson, Pennington, Rockefeller, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5497          Prime Sponsor, Senate Committee on Agriculture & International Trade: Excluding farm and agricultural land from forest land under the forest practices act. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives G. Chandler, Linville, Cooper, Mielke, B. Chandler, Dunshee, Grant, Hunt, Kirby, Quall, Roach, Schoesler and Sump.

             Excused: Representative Delvin.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

ESSB 5500       Prime Sponsor, Senate Committee on Human Services & Corrections: Revising programs and proceedings for children under the BECCA and HOPE acts. Reported by Committee on Juvenile Justice

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 13.32A.030 and 2000 c 123 s 2 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) "Abuse or neglect" means the injury, sexual abuse, sexual exploitation, negligent treatment, or maltreatment of a child by any person under circumstances which indicate that the child's health, welfare, and safety is harmed, excluding conduct permitted under RCW 9A.16.100. An abused child is a child who has been subjected to child abuse or neglect as defined in this section.

             (2) "Administrator" means the individual who has the daily administrative responsibility of a crisis residential center, or his or her designee.

             (3) "At-risk youth" means a juvenile:

             (a) Who is absent from home for at least seventy-two consecutive hours without consent of his or her parent; or

             (b) Who is beyond the control of his or her parent such that the child's behavior endangers the health, safety, or welfare of the child or any other person; or

             (c) Who has a substance abuse problem for which there are no pending criminal charges related to the substance abuse; or

             (d) Who refuses or fails to comply with the compulsory school attendance laws as provided under chapter 28A.225 RCW in addition to either (a), (b), or (c) of this subsection.

             (4) "Child," "juvenile," and "youth" mean any unemancipated individual who is under the chronological age of eighteen years.

             (5) "Child in need of services" means a juvenile:

             (a) Who is beyond the control of his or her parent such that the child's behavior endangers the health, safety, or welfare of the child or other person;

             (b) Who has been reported to law enforcement as absent without consent for at least twenty-four consecutive hours on two or more separate occasions from the home of either parent, a crisis residential center, an out-of-home placement, or a court-ordered placement; and

             (i) Has exhibited a serious substance abuse problem; or

             (ii) Has exhibited behaviors that create a serious risk of harm to the health, safety, or welfare of the child or any other person; or

             (c)(i) Who is in need of: (A) Necessary services, including food, shelter, health care, clothing, or education; or (B) services designed to maintain or reunite the family;

             (ii) Who lacks access to, or has declined to utilize, these services; and

             (iii) Whose parents have evidenced continuing but unsuccessful efforts to maintain the family structure or are unable or unwilling to continue efforts to maintain the family structure.

             (6) "Child in need of services petition" means a petition filed in juvenile court by a parent, child, or the department seeking adjudication of placement of the child.

             (7) "Crisis residential center" means a secure or semi-secure facility established pursuant to chapter 74.13 RCW.

             (8) "Custodian" means the person or entity who has the legal right to the custody of the child.

             (9) "Department" means the department of social and health services.

             (10) "Extended family member" means an adult who is a grandparent, brother, sister, stepbrother, stepsister, uncle, aunt, or first cousin with whom the child has a relationship and is comfortable, and who is willing and available to care for the child.

             (11) "Guardian" means that person or agency that (a) has been appointed as the guardian of a child in a legal proceeding other than a proceeding under chapter 13.34 RCW, and (b) has the right to legal custody of the child pursuant to such appointment. The term "guardian" does not include a "dependency guardian" appointed pursuant to a proceeding under chapter 13.34 RCW.

             (12) "Multidisciplinary team" means a group formed to provide assistance and support to a child who is an at-risk youth or a child in need of services and his or her parent. The team shall include the parent, a department case worker, a local government representative when authorized by the local government, and when appropriate, members from the mental health and substance abuse disciplines. The team may also include, but is not limited to, the following persons: Educators, law enforcement personnel, probation officers, employers, church persons, tribal members, therapists, medical personnel, social service providers, placement providers, and extended family members. The team members shall be volunteers who do not receive compensation while acting in a capacity as a team member, unless the member's employer chooses to provide compensation or the member is a state employee.

             (13) "Out-of-home placement" means a placement in a foster family home or group care facility licensed pursuant to chapter 74.15 RCW or placement in a home, other than that of the child's parent, guardian, or legal custodian, not required to be licensed pursuant to chapter 74.15 RCW.

             (14) "Parent" means the parent or parents who have the legal right to custody of the child. "Parent" includes custodian or guardian.

             (15) "Secure facility" means a crisis residential center, or portion thereof, that has locking doors, locking windows, or a secured perimeter, designed and operated to prevent a child from leaving without permission of the facility staff.

             (16) "Semi-secure facility" means any facility, including but not limited to crisis residential centers or specialized foster family homes, operated in a manner to reasonably assure that youth placed there will not run away. Pursuant to rules established by the department, the facility administrator shall establish reasonable hours for residents to come and go from the facility such that no residents are free to come and go at all hours of the day and night. To prevent residents from taking unreasonable actions, the facility administrator, where appropriate, may condition a resident's leaving the facility upon the resident being accompanied by the administrator or the administrator's designee and the resident may be required to notify the administrator or the administrator's designee of any intent to leave, his or her intended destination, and the probable time of his or her return to the center.

             (17) "Staff secure facility" means a structured group care facility licensed under rules adopted by the department with a ratio of at least one adult staff member to every two children.

             (18) "Temporary out-of-home placement" means an out-of-home placement of not more than fourteen days ordered by the court at a fact-finding hearing on a child in need of services petition.

 

             Sec. 2. RCW 13.32A.160 and 2000 c 123 s 19 are each amended to read as follows:

             (1) When a proper child in need of services petition to approve an out-of-home placement is filed under RCW 13.32A.120, 13.32A.140, or 13.32A.150 the juvenile court shall: (a)(i) Schedule a fact-finding hearing to be held: (A) For a child who resides in a place other than his or her parent's home and other than an out-of-home placement, within five calendar days unless the last calendar day is a Saturday, Sunday, or holiday, in which case the hearing shall be held on the preceding judicial day; or (B) for a child living at home or in an out-of-home placement, within ten days; and (ii) notify the parent, child, and the department of such date; (b) notify the parent of the right to be represented by counsel and, if indigent, to have counsel appointed for him or her by the court; (c) appoint legal counsel for the child; (d) inform the child and his or her parent of the legal consequences of the court approving or disapproving a child in need of services petition; (e) notify the parents of their rights under this chapter and chapters 11.88, 13.34, 70.96A, and 71.34 RCW, including the right to file a motion requesting that the court convert the petition to an at-risk youth petition, the right to submit an application for admission of their child to a treatment facility for alcohol, chemical dependency, or mental health treatment, and the right to file a guardianship petition; and (f) notify all parties, including the department, of their right to present evidence at the fact-finding hearing.

             (2) Upon filing of a child in need of services petition, the child may be placed, if not already placed by the department in a crisis residential center, foster family home, group home facility licensed under chapter 74.15 RCW, or any other suitable residence other than a HOPE center to be determined by the department. The court may place a child in a crisis residential center for a temporary out-of-home placement as long as the requirements of RCW 13.32A.125 are met.

             (3) If the child has been placed in a foster family home or group care facility under chapter 74.15 RCW, the child shall remain there, or in any other suitable residence as determined by the department, pending resolution of the petition by the court. Any placement may be reviewed by the court within three judicial days upon the request of the juvenile or the juvenile's parent.

 

             Sec. 3. RCW 13.32A.170 and 2000 c 123 s 20 are each amended to read as follows:

             (1) The court shall hold a fact-finding hearing to consider a proper child in need of services petition, giving due weight to the intent of the legislature that families have the right to place reasonable restrictions and rules upon their children, appropriate to the individual child's developmental level. The court may appoint legal counsel and/or a guardian ad litem to represent the child and advise parents of their right to be represented by legal counsel. At the commencement of the hearing, the court shall advise the parents of their rights as set forth in RCW 13.32A.160(1). If the court approves or denies a child in need of services petition, a written statement of the reasons must be filed.

             (2) The court may approve an order stating that the child shall be placed in a residence other than the home of his or her parent only if it is established by a preponderance of the evidence, including a departmental recommendation for approval or dismissal of the petition, that:

             (a) The child is a child in need of services as defined in RCW 13.32A.030(5);

             (b) If the petitioner is a child, he or she has made a reasonable effort to resolve the conflict;

             (c) Reasonable efforts have been made to prevent or eliminate the need for removal of the child from the child's home and to make it possible for the child to return home; and

             (d) A suitable out-of-home placement resource is available.

             The court may not grant a petition filed by the child or the department if it is established that the petition is based only upon a dislike of reasonable rules or reasonable discipline established by the parent.

             The court may not grant the petition if the child is the subject of a proceeding under chapter 13.34 RCW.

             (3) Following the fact-finding hearing the court shall: (a) Approve a child in need of services petition and, if appropriate, enter a temporary out-of-home placement for a period not to exceed fourteen days pending approval of a disposition decision to be made under RCW 13.32A.179(2); (b) approve the parent's motion to convert the petition to an at-risk youth petition ((filed by the parents and dismiss the child in need of services petition)) and approve the at-risk youth petition; or (c) dismiss the petition.

             At any time the court may order the department to review the case to determine whether the case is appropriate for a dependency petition under chapter 13.34 RCW.

 

             Sec. 4. RCW 13.32A.179 and 2000 c 123 s 21 are each amended to read as follows:

             (1) A disposition hearing shall be held no later than fourteen days after the approval of the temporary out-of-home placement. The parents, child, and department shall be notified by the court of the time and place of the hearing.

             (2) At the conclusion of the disposition hearing, the court may: (a) Reunite the family and dismiss the petition; (b) approve the parent's motion to convert the petition to an at-risk youth petition ((filed by the parents and dismiss the child in need of services petition)) and approve the at-risk youth petition; (c) approve an out-of-home placement requested in the child in need of services petition by the parents; or (d) order an out-of-home placement at the request of the child or the department not to exceed ninety days.

             At any time the court may order the department to review the matter for purposes of filing a dependency petition under chapter 13.34 RCW. Whether or not the court approves or orders an out-of-home placement, the court may also order any conditions of supervision as set forth in RCW 13.32A.196(3).

             (3) The court may only enter an order under subsection (2)(d) of this section if it finds by clear, cogent, and convincing evidence that: (a)(i) The order is in the best interest of the family; (ii) the parents have not requested an out-of-home placement; (iii) the parents have not exercised any other right listed in RCW 13.32A.160(1)(e); (iv) the child has made reasonable efforts to resolve the problems that led to the filing of the petition; (v) the problems cannot be resolved by delivery of services to the family during continued placement of the child in the parental home; (vi) reasonable efforts have been made to prevent or eliminate the need for removal of the child from the child's home and to make it possible for the child to return home; and (vii) a suitable out-of-home placement resource is available; (b)(i) the order is in the best interest of the child; and (ii) the parents are unavailable; or (c) the parent's actions cause an imminent threat to the child's health or safety.

             (4) The court may order the department to submit a dispositional plan if such a plan would assist the court in ordering a suitable disposition in the case. The plan, if ordered, shall address the needs of the child, and the perceived needs of the parents if the order was entered under subsection (2)(d) of this section or if specifically agreed to by the parents. If the parents do not agree or the order was not entered under subsection (2)(d) of this section the plan may only make recommendations regarding services in which the parents may voluntarily participate. If the court orders the department to prepare a plan, the department shall provide copies of the plan to the parent, the child, and the court. If the parties or the court desire the department to be involved in any future proceedings or case plan development, the department shall be provided with timely notification of all court hearings.

             (5) At any time during the pendency of a child in need of services petition or following approval of a child in need of services petition, the court may order that a risk and needs assessment of the child be conducted by juvenile court staff, a community agency identified by the court, or the department if the department has sufficient resources and agrees to perform the assessment.

             (6) A child who fails to comply with a court order issued under this section shall be subject to contempt proceedings, as provided in this chapter, but only if the noncompliance occurs within one year after the entry of the order.

             (((6))) (7) After the court approves or orders an out-of-home placement, the parents or the department may request, and the court may grant, dismissal of the child in need of services proceeding when it is not feasible for the department to provide services due to one or more of the following circumstances:

             (a) The child has been absent from court approved placement for thirty consecutive days or more;

             (b) The parents or the child, or all of them, refuse to cooperate in available, appropriate intervention aimed at reunifying the family; or

             (c) The department has exhausted all available and appropriate resources that would result in reunification.

             (((7))) (8) The court shall dismiss a placement made under subsection (2)(c) of this section upon the request of the parents.

 

             Sec. 5. RCW 13.32A.190 and 1996 c 133 s 25 are each amended to read as follows:

             (1) Upon making a dispositional order under RCW 13.32A.179, the court shall schedule the matter on the calendar for review within three months, advise the parties of the date thereof, appoint legal counsel and/or a guardian ad litem to represent the child at the review hearing, advise parents of their right to be represented by legal counsel at the review hearing, and notify the parties of their rights to present evidence at the hearing. Where resources are available, the court shall encourage the parent and child to participate in programs for reconciliation of their conflict.

             (2) At the review hearing, the court shall approve or disapprove the continuation of the dispositional plan in accordance with this chapter. The court shall determine whether reasonable efforts have been made to reunify the family and make it possible for the child to return home. The court shall discontinue the placement and order that the child return home if the court has reasonable grounds to believe that the parents have made reasonable efforts to resolve the conflict and the court has reason to believe that the child's refusal to return home is capricious. If out-of-home placement is continued, the court may modify the dispositional plan.

             (3) At its discretion, the court may hold a hearing to review a child in need of services matter at any time throughout the duration of the proceeding.

             (4) Out-of-home placement may not be continued past one hundred eighty days from the day the review hearing commenced. The court shall order the child to return to the home of the parent at the expiration of the placement. If an out-of-home placement is disapproved prior to one hundred eighty days, the court shall enter an order requiring the child to return to the home of the child's parent.

             (((4))) (5) The parents and the department may request, and the juvenile court may grant, dismissal of an out-of-home placement order when it is not feasible for the department to provide services due to one or more of the following circumstances:

             (a) The child has been absent from court approved placement for thirty consecutive days or more;

             (b) The parents or the child, or all of them, refuse to cooperate in available, appropriate intervention aimed at reunifying the family; or

             (c) The department has exhausted all available and appropriate resources that would result in reunification.

             (((5))) (6) The court shall terminate a placement made under this section upon the request of a parent unless the placement is made pursuant to RCW 13.32A.179(3).

             (((6))) (7) The court may dismiss a child in need of services petition filed by a parent at any time if the court finds good cause to believe that continuation of out-of-home placement would serve no useful purpose.

             (((7))) (8) The court shall dismiss a child in need of services proceeding if the child is the subject of a proceeding under chapter 13.34 RCW.

 

             Sec. 6. RCW 13.32A.196 and 2000 c 123 s 24 are each amended to read as follows:

             (1) A dispositional hearing shall be held no later than fourteen days after the fact-finding hearing. Each party shall be notified of the time and date of the hearing.

             (2) At the dispositional hearing regarding an adjudicated at-risk youth, the court shall consider the recommendations of the parties and the recommendations of any dispositional plan submitted by the department. The court may enter a dispositional order that will assist the parent in maintaining the care, custody, and control of the child and assist the family to resolve family conflicts or problems.

             (3) The court may set conditions of supervision for the child that include:

             (a) Regular school attendance;

             (b) Counseling;

             (c) Participation in a substance abuse or mental health outpatient treatment program;

             (d) Reporting on a regular basis to the department or any other designated person or agency; and

             (e) Any other condition the court deems an appropriate condition of supervision including but not limited to: Employment, participation in an anger management program, and refraining from using alcohol or drugs.

             (4) No dispositional order or condition of supervision ordered by a court pursuant to this section shall include involuntary commitment of a child for substance abuse or mental health treatment.

             (5) The court may order the parent to participate in counseling services or any other services for the child requiring parental participation. The parent shall cooperate with the court-ordered case plan and shall take necessary steps to help implement the case plan. The parent shall be financially responsible for costs related to the court-ordered plan; however, this requirement shall not affect the eligibility of the parent or child for public assistance or other benefits to which the parent or child may otherwise be entitled.

             (6) The parent may request dismissal of an at-risk youth proceeding or out-of-home placement at any time. Upon such a request, the court shall dismiss the matter and cease court supervision of the child unless: (a) A contempt action is pending in the case; (b) a petition has been filed under RCW 13.32A.150 and a hearing has not yet been held under RCW 13.32A.179; or (c) an order has been entered under RCW 13.32A.179(3) and the court retains jurisdiction under that subsection. The court may retain jurisdiction over the matter for the purpose of concluding any pending contempt proceedings, including the full satisfaction of any penalties imposed as a result of a contempt finding.

             (7) An at-risk youth proceeding converted from a truancy proceeding under chapter 28A.225 RCW shall revert to being a truancy proceeding under chapter 28A.225 RCW if, pursuant to subsection (6) of this section, the at-risk youth petition is dismissed.

             (8) The court may order the department to monitor compliance with the dispositional order, assist in coordinating the provision of court-ordered services, and submit reports at subsequent review hearings regarding the status of the case.

             (9) At any time during the pendency of an at-risk youth petition or following approval of an at-risk youth petition, the court may order that a risk and needs assessment of the child be conducted by juvenile court staff, a community agency identified by the court, or the department if the department has sufficient resources and agrees to perform the assessment.

 

             Sec. 7. RCW 13.32A.198 and 1990 c 276 s 15 are each amended to read as follows:

             (1) Upon making a disposition regarding an adjudicated at-risk youth, the court shall schedule the matter on the calendar for review within three months, advise the parties of the date thereof, appoint legal counsel for the child, advise the parent of the right to be represented by legal counsel at the review hearing at the parent's own expense, and notify the parties of their rights to present evidence at the hearing.

             (2) At the review hearing, the court shall approve or disapprove the continuation of court supervision in accordance with the goal of assisting the parent to maintain the care, custody, and control of the child. The court shall determine whether the parent and child are complying with the dispositional plan. If court supervision is continued, the court may modify the dispositional plan.

             (3) At its discretion, the court may hold a hearing to review an at-risk youth matter at any time throughout the duration of the proceeding.

             (4) Court supervision of the child may not be continued past one hundred eighty days from the day the review hearing commenced unless the court finds, and the parent agrees, that there are compelling reasons for an extension of supervision. Any extension granted pursuant to this subsection shall not exceed ninety days.

             (((4))) (5) The court may dismiss an at-risk youth proceeding at any time if the court finds good cause to believe that continuation of court supervision would serve no useful purpose or that the parent is not cooperating with the court-ordered case plan. The court shall dismiss an at-risk youth proceeding if the child is the subject of a proceeding under chapter 13.34 RCW.

             (6) An at-risk youth proceeding converted from a truancy proceeding under chapter 28A.225 RCW shall revert to being a truancy proceeding under chapter 28A.225 RCW if, pursuant to this section, the at-risk youth petition is dismissed.

 

             Sec. 8. RCW 28A.225.035 and 1999 c 319 s 3 are each amended to read as follows:

             (1) A petition for a civil action under RCW 28A.225.030 or 28A.225.015 shall consist of a written notification to the court alleging that:

             (a) The child has unexcused absences during the current school year;

             (b) Actions taken by the school district have not been successful in substantially reducing the child's absences from school; and

             (c) Court intervention and supervision are necessary to assist the school district or parent to reduce the child's absences from school.

             (2) The petition shall set forth the name, age, school, and residence of the child and the names and residence of the child's parents.

             (3) The petition shall set forth facts that support the allegations in this section and shall generally request relief available under this chapter and provide information about what the court might order under RCW 28A.225.090.

             (4) When a petition is filed under RCW 28A.225.030 or 28A.225.015, the juvenile court shall schedule a hearing at which the court shall consider the petition, or if the court determines that a referral to an available community truancy board would substantially reduce the child's unexcused absences, the court may refer the case to a community truancy board under the jurisdiction of the juvenile court.

             (5) If a referral is made to a community truancy board, the truancy board must meet with the child, a parent, and the school district representative and enter into an agreement with the petitioner and respondent regarding expectations and any actions necessary to address the child's truancy within thirty days of the referral. If the petition is based on RCW 28A.225.015, the child shall not be required to attend and the agreement under this subsection shall be between the truancy board, the school district, and the child's parent. The agreement shall be presented to the juvenile court for its approval. 

             (6) The court shall approve the agreement by order or schedule a hearing. The court may, if the school district and community truancy board agree, permit the truancy board to provide continued supervision over the student, or parent if the petition is based on RCW 28A.225.015, and report on compliance with the order.

             (7) If the truancy board fails to reach an agreement, the truancy board shall return the case to the juvenile court for a hearing.

             (8) Notwithstanding the provisions in subsection (4) of this section, a hearing shall not be required if other actions by the court would substantially reduce the child's unexcused absences. When a juvenile court hearing is held, the court shall:

             (a) Separately notify the child, the parent of the child, and the school district of the hearing;

             (b) Notify the parent and the child of their rights to present evidence at the hearing; and

             (c) Notify the parent and the child of the options and rights available under chapter 13.32A RCW.

             (9) The court may require the attendance of the child if eight years old or older, the parents, and the school district at any hearing on a petition filed under RCW 28A.225.030.

             (10) A school district is responsible for determining who shall represent the school district at hearings on a petition filed under RCW 28A.225.030 or 28A.225.015.

             (11) The court may permit the first hearing to be held without requiring that either party be represented by legal counsel, and to be held without a guardian ad litem for the child under RCW 4.08.050. At the request of the school district, the court shall permit a school district representative who is not an attorney to represent the school district at any future hearings.

             (12) If the allegations in the petition are established by a preponderance of the evidence, the court shall grant the petition and enter an order assuming jurisdiction to intervene for the period of time determined by the court, after considering the facts alleged in the petition and the circumstances of the juvenile, to most likely cause the juvenile to return to and remain in school while the juvenile is subject to this chapter. In no case may the order expire before the end of the school year in which it is entered.

             (13) If the court assumes jurisdiction, the school district shall regularly report to the court any additional unexcused absences by the child.

             (14) Community truancy boards and the courts shall coordinate, to the extent possible, proceedings and actions pertaining to children who are subject to truancy petitions and at-risk youth petitions in RCW 13.32A.191 or child in need of services petitions in RCW 13.32A.140.

             (15) If after a juvenile court assumes jurisdiction in one county the child relocates to another county, the juvenile court in the receiving county shall, upon the request of a school district or parent, assume jurisdiction of the petition filed in the previous county.

             (16) At any time after the filing of a truancy petition on his or her child, and subsequent to a family assessment as provided under RCW 13.32A.150(1), a parent may file with the court a motion requesting the matter be converted to an at-risk youth proceeding under chapter 13.32A RCW. The court shall approve the motion unless there is a pending contempt action under this chapter or the court has reason to believe the conversion would not be in the best interest of the child.

 

             Sec. 9. RCW 28A.225.090 and 2000 c 162 s 6 and 2000 c 61 s 1 are each reenacted and amended to read as follows:

             (1) A court may order a child subject to a petition under RCW 28A.225.035 to do one or more of the following:

             (a) Attend the child's current school, and set forth minimum attendance requirements, including suspensions;

             (b) If there is space available and the program can provide educational services appropriate for the child, order the child to attend another public school, an alternative education program, center, a skill center, dropout prevention program, or another public educational program;

             (c) Attend a private nonsectarian school or program including an education center. Before ordering a child to attend an approved or certified private nonsectarian school or program, the court shall: (i) Consider the public and private programs available; (ii) find that placement is in the best interest of the child; and (iii) find that the private school or program is willing to accept the child and will not charge any fees in addition to those established by contract with the student's school district. If the court orders the child to enroll in a private school or program, the child's school district shall contract with the school or program to provide educational services for the child. The school district shall not be required to contract for a weekly rate that exceeds the state general apportionment dollars calculated on a weekly basis generated by the child and received by the district. A school district shall not be required to enter into a contract that is longer than the remainder of the school year. A school district shall not be required to enter into or continue a contract if the child is no longer enrolled in the district;

             (d) Be referred to a community truancy board, if available; or

             (e) Submit to testing for the use of controlled substances or alcohol based on a determination that such testing is appropriate to the circumstances and behavior of the child and will facilitate the child's compliance with the mandatory attendance law and, if any test ordered under this subsection indicates the use of controlled substances or alcohol, order the minor to abstain from the unlawful consumption of controlled substances or alcohol and adhere to the recommendations of the drug assessment at no expense to the school.

             (2)(a) If the child fails to comply with the court order, the court may order the child to be placed in confinement for contempt, either in a juvenile detention facility operated by or under a contract with a county or in a secure facility that is a separate, secure section of a juvenile detention facility, or may impose alternatives to confinement such as community service. Failure by a child to comply with an order issued under this subsection shall not be subject to detention for a period greater than that permitted pursuant to a civil contempt proceeding against a child under chapter 13.32A RCW. In no case may a child in contempt be confined in a secure facility that is freestanding outside a juvenile detention facility.

             (b) If the child fails to comply with the court order, the court may order that a risk and needs assessment of the child be conducted by juvenile court staff, a community agency identified by the court, or the department if the department has sufficient resources and agrees to perform the assessment. The court shall hold a review hearing within fourteen days of the contempt finding and, pursuant to the results of the assessment, may order conditions of supervision, including regular school attendance, counseling, participation in a substance abuse or mental health outpatient treatment program, and any other condition the court deems an appropriate condition of supervision.

             (3) Any parent violating any of the provisions of either RCW 28A.225.010, 28A.225.015, or 28A.225.080 shall be fined not more than twenty-five dollars for each day of unexcused absence from school. It shall be a defense for a parent charged with violating RCW 28A.225.010 to show that he or she exercised reasonable diligence in attempting to cause a child in his or her custody to attend school or that the child's school did not perform its duties as required in RCW 28A.225.020. The court may order the parent to provide community service instead of imposing a fine. Any fine imposed pursuant to this section may be suspended upon the condition that a parent charged with violating RCW 28A.225.010 shall participate with the school and the child in a supervised plan for the child's attendance at school or upon condition that the parent attend a conference or conferences scheduled by a school for the purpose of analyzing the causes of a child's absence.

             (4)(a) If a child continues to be truant after entering into a court-approved order with the truancy board under RCW 28A.225.035, the juvenile court shall find the child in contempt, and the court may order the child to be subject to detention, as provided in RCW 7.21.030(2)(e), or may impose alternatives to detention such as meaningful community service. Failure by a child to comply with an order issued under this subsection may not subject a child to detention for a period greater than that permitted under a civil contempt proceeding against a child under chapter 13.32A RCW.

             (b) If a child continues to be truant after entering into a court-approved order with the truancy board under RCW 28A.225.035, the juvenile court shall find the child in contempt, and the court may order that a risk and needs assessment of the child be conducted by juvenile court staff, a community agency identified by the court, or the department if the department has sufficient resources and agrees to perform the assessment. The court shall hold a review hearing within fourteen days of the contempt finding and, pursuant to the results of the assessment, may order conditions of supervision, including regular school attendance, counseling, participation in a substance abuse or mental health outpatient treatment program, and any other condition the court deems an appropriate condition of supervision.

             (5) Subsections (1), (2), and (4) of this section shall not apply to a six or seven year-old child required to attend public school under RCW 28A.225.015.

 

             Sec. 10. RCW 28A.225.090 and 2000 c 162 s 15 and 2000 c 61 s 1 are each reenacted and amended to read as follows:

             (1) A court may order a child subject to a petition under RCW 28A.225.035 to do one or more of the following:

             (a) Attend the child's current school, and set forth minimum attendance requirements, including suspensions;

             (b) If there is space available and the program can provide educational services appropriate for the child, order the child to attend another public school, an alternative education program, center, a skill center, dropout prevention program, or another public educational program;

             (c) Attend a private nonsectarian school or program including an education center. Before ordering a child to attend an approved or certified private nonsectarian school or program, the court shall: (i) Consider the public and private programs available; (ii) find that placement is in the best interest of the child; and (iii) find that the private school or program is willing to accept the child and will not charge any fees in addition to those established by contract with the student's school district. If the court orders the child to enroll in a private school or program, the child's school district shall contract with the school or program to provide educational services for the child. The school district shall not be required to contract for a weekly rate that exceeds the state general apportionment dollars calculated on a weekly basis generated by the child and received by the district. A school district shall not be required to enter into a contract that is longer than the remainder of the school year. A school district shall not be required to enter into or continue a contract if the child is no longer enrolled in the district;

             (d) Be referred to a community truancy board, if available; or

             (e) Submit to testing for the use of controlled substances or alcohol based on a determination that such testing is appropriate to the circumstances and behavior of the child and will facilitate the child's compliance with the mandatory attendance law and, if any test ordered under this subsection indicates the use of controlled substances or alcohol, order the minor to abstain from the unlawful consumption of controlled substances or alcohol and adhere to the recommendations of the drug assessment at no expense to the school.

             (2)(a) If the child fails to comply with the court order, the court may order the child to be subject to detention, as provided in RCW 7.21.030(2)(e), or may impose alternatives to detention such as community service. Failure by a child to comply with an order issued under this subsection shall not be subject to detention for a period greater than that permitted pursuant to a civil contempt proceeding against a child under chapter 13.32A RCW.

             (b) If the child fails to comply with the court order, the court may order that a risk and needs assessment of the child be conducted by juvenile court staff, a community agency identified by the court, or the department if the department has sufficient resources and agrees to perform the assessment. The court shall hold a review hearing within fourteen days of the contempt finding and, pursuant to the results of the assessment, may order conditions of supervision, including regular school attendance, counseling, participation in a substance abuse or mental health outpatient treatment program, and any other condition the court deems an appropriate condition of supervision.

             (3) Any parent violating any of the provisions of either RCW 28A.225.010, 28A.225.015, or 28A.225.080 shall be fined not more than twenty-five dollars for each day of unexcused absence from school. It shall be a defense for a parent charged with violating RCW 28A.225.010 to show that he or she exercised reasonable diligence in attempting to cause a child in his or her custody to attend school or that the child's school did not perform its duties as required in RCW 28A.225.020. The court may order the parent to provide community service instead of imposing a fine. Any fine imposed pursuant to this section may be suspended upon the condition that a parent charged with violating RCW 28A.225.010 shall participate with the school and the child in a supervised plan for the child's attendance at school or upon condition that the parent attend a conference or conferences scheduled by a school for the purpose of analyzing the causes of a child's absence.

             (4)(a) If a child continues to be truant after entering into a court-approved order with the truancy board under RCW 28A.225.035, the juvenile court shall find the child in contempt, and the court may order the child to be subject to detention, as provided in RCW 7.21.030(2)(e), or may impose alternatives to detention such as meaningful community service. Failure by a child to comply with an order issued under this subsection may not subject a child to detention for a period greater than that permitted under a civil contempt proceeding against a child under chapter 13.32A RCW.

             (b) If a child continues to be truant after entering into a court-approved order with the truancy board under RCW 28A.225.035, the juvenile court shall find the child in contempt, and the court may order that a risk and needs assessment of the child be conducted by juvenile court staff, a community agency identified by the court, or the department if the department has sufficient resources and agrees to perform the assessment. The court shall hold a review hearing within fourteen days of the contempt finding and, pursuant to the results of the assessment, may order conditions of supervision, including regular school attendance, counseling, participation in a substance abuse or mental health outpatient treatment program, and any other condition the court deems an appropriate condition of supervision.

             (5) Subsections (1), (2), and (4) of this section shall not apply to a six or seven year-old child required to attend public school under RCW 28A.225.015.

 

             NEW SECTION. Sec. 11. A new section is added to chapter 74.15 RCW to read as follows:

             Any person acting reasonably, in good faith, and in compliance with the requirements of the HOPE act (chapter 267, Laws of 1999) shall be immune from civil or criminal liability for receiving or sheltering the child. Immunity does not apply to acts of intentional misconduct or gross negligence.

 

             Sec. 12. RCW 13.32A.070 and 1996 c 133 s 13 are each amended to read as follows:

             (1) A law enforcement officer acting in good faith pursuant to this chapter is immune from civil or criminal liability for such action.

             (2) A person with whom a child is placed pursuant to this chapter and who acts reasonably and in good faith is immune from civil or criminal liability ((for the act of receiving the child)). The immunity does not release the person from liability under any other law.

 

             Sec. 13. RCW 13.32A.125 and 1995 c 312 s 44 are each amended to read as follows:

             In approving a petition under this chapter, a child may be placed in a semi-secure crisis residential center as a temporary out-of-home placement under the following conditions: (1) No other suitable out-of-home placement is available; (2) space is available in the semi-secure crisis residential center; and (3) no child will be denied access for a five-day placement due to this placement.

             Any child referred to a semi-secure crisis residential center by a law enforcement officer, the department, or himself or herself shall have priority over a temporary out-of-home placement in the facility. Any out-of-home placement order shall be subject to this priority, and the administrator of the semi-secure crisis residential center shall transfer the temporary out-of-home placement youth to a new out-of-home placement as necessary to ensure access for youth needing the semi-secure crisis residential center.

             A crisis residential center and any person employed at the center acting reasonably and in good faith in carrying out the provisions of this section are immune from criminal or civil liability for such actions.

 

             Sec. 14. 1999 c 267 s 24 (uncodified) is amended to read as follows:

             The Washington state institute for public policy shall review the effectiveness of the HOPE centers and the responsible living skills programs. The study shall include the characteristics of the youth being served, the services offered to participating youth, the success of permanent placement of youth, the number of youth participating in each program, the number of youth who successfully complete the responsible living skills program, educational achievement of participants, employment history of participants, the outcomes for youth who have progressed through the programs, and other measures that the institute deems helpful in determining the measurable outcomes of sections 10 through 26 of this act.

             The review shall be submitted to the legislature and the governor not later than December 1, ((2001)) 2002.

 

             NEW SECTION. Sec. 15. Section 9 of this act expires July 1, 2002.

 

             NEW SECTION. Sec. 16. Section 10 of this act takes effect July 1, 2002."

 

             Correct the title.

 

Signed by Representatives Delvin, Republican Co-Chair; Dickerson, Democratic Co-Chair; Eickmeyer, Democratic Vice Chair; Marine, Republican Vice Chair; Armstrong; Darneille and Tokuda.

 

MINORITY recommendation: Without recommendation. Signed by Representative Carrell.

 

             Voting yea: Representatives Delvin, Dickerson, Eickmeyer, Marine, Armstrong, Darneille and Tokuda.

             Excused: Representative Carrell.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5511          Prime Sponsor, Senate Committee on Judiciary: Adding a factor a court is to consider in determining residential time between parents. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 8, strike "Which" and insert "If none of the limitations of RCW 26.09.191 apply, which"

 

Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Boldt; Dickerson; Esser; Lovick and McDermott.

 

MINORITY recommendation: Do not pass. Signed by Representatives Lambert, Republican Vice Chair; Casada.

 

             Voting yea: Representatives Carrell, Lantz, Hurst, Boldt, Dickerson, Esser, Lovick and McDermott.

             Voting nay: Representatives Lambert and Casada.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5518            Prime Sponsor, Senator Horn: Waiving the motorcycle exam for trained operators. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, Wood, and Woods.

             Excused: Representative Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5522       Prime Sponsor, Senate Committee on Human Services & Corrections: Creating an office of mental health ombudsman. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             On page 3, line 28, after "order;" delete "and"

 

             On page 3, line 30, after hospitals" insert "; and

             (g) Establish the jurisdiction of the mental health ombudsman so that it does not overlap with other state ombudsman offices and allows contact and coordination among the various state ombudsman offices"

 

             On page 10, line 7, after "(2)" strike all material through "act." and insert the following: "The legislature intends that federal medicaid requirements be met.

             (3)The legislature intends that the implementation and operation of the state mental health ombudsman program shall have no additional fiscal impact for the first two years of the program, and that:

             (a) The department of community, trade, and economic development shall expend no more than:

             (i) The amount annually expended for mental health ombudsman and quality review team services, and related administration by regional support networks, and state hospitals and their subcontractors, pursuant to contracts with the department of social and health services;

             (ii) The amount annually expended by the mental health division of the department of social and health services in staff support, monitoring oversight, and subcontracted training and consultation for community mental health ombudsman and quality review team services and state hospital mental health patient advocate or ombudsman-related services.

             (b) Costs and expenses, as referenced in this section, must include any and all expenses associated with the implementation and operation of the state mental health ombudsman program by the department of community, trade, and economic development, the office of mental health ombudsman, and its contractors or subcontractors. Any costs incurred in the planning and implementation of the state mental health ombudsman program while services are still being provided within the regional support networks and state hospitals must be made up out of the next fiscal year̓s total amount of the interagency agreement between the department of community, trade, and economic development with the department of social and health services.

             (c) Nothing in this section may be construed to prevent the solicitation and use of private funds by the office of mental health ombudsman. Any funds received from private sources may be expended in excess of the limitations imposed in this section.

 

             Renumber the sections consecutively and correct any internal references accordingly.

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Skinner, Republican Vice Chair; Alexander.

 

             Voting yea: Representatives Cody, Campbell, Schual-Berke, Ballasiotes, Conway, Darneille, Marine, McMorris, Pennington and Ruderman.

             Voting nay: Representatives Skinner and Alexander.

             Excused: Representatives Edmonds and Edwards.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5533          Prime Sponsor, Senate Committee on Education: Posting and notification of pesticide applications at schools. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 17.21.020 and 1994 c 283 s 1 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Agricultural commodity" means any plant or part of a plant, or animal, or animal product, produced by a person (including farmers, ranchers, vineyardists, plant propagators, Christmas tree growers, aquaculturists, floriculturists, orchardists, foresters, or other comparable persons) primarily for sale, consumption, propagation, or other use by people or animals.

             (2) "Agricultural land" means land on which an agricultural commodity is produced or land that is in a government-recognized conservation reserve program. This definition does not apply to private gardens where agricultural commodities are produced for personal consumption.

             (3) "Antimicrobial pesticide" means a pesticide that is used for the control of microbial pests, including but not limited to viruses, bacteria, algae, and protozoa, and is intended for use as a disinfectant or sanitizer.

             (4) "Apparatus" means any type of ground, water, or aerial equipment, device, or contrivance using motorized, mechanical, or pressurized power and used to apply any pesticide on land and anything that may be growing, habitating, or stored on or in such land, but shall not include any pressurized handsized household device used to apply any pesticide, or any equipment, device, or contrivance of which the person who is applying the pesticide is the source of power or energy in making such pesticide application, or any other small equipment, device, or contrivance that is transported in a piece of equipment licensed under this chapter as an apparatus.

             (((4))) (5) "Arthropod" means any invertebrate animal that belongs to the phylum arthropoda, which in addition to insects, includes allied classes whose members are wingless and usually have more than six legs; for example, spiders, mites, ticks, centipedes, and isopod crustaceans.

             (((5))) (6) "Certified applicator" means any individual who is licensed as a commercial pesticide applicator, commercial pesticide operator, public operator, private-commercial applicator, demonstration and research applicator, or certified private applicator, or any other individual who is certified by the director to use or supervise the use of any pesticide which is classified by the EPA or the director as a restricted use pesticide.

             (((6))) (7) "Commercial pesticide applicator" means any person who engages in the business of applying pesticides to the land of another.

             (((7))) (8) "Commercial pesticide operator" means any employee of a commercial pesticide applicator who uses or supervises the use of any pesticide and who is required to be licensed under provisions of this chapter.

             (((8))) (9) "Defoliant" means any substance or mixture of substances intended to cause the leaves or foliage to drop from a plant with or without causing abscission.

             (((9))) (10) "Department" means the Washington state department of agriculture.

             (((10))) (11) "Desiccant" means any substance or mixture of substances intended to artificially accelerate the drying of plant tissues.

             (((11))) (12) "Device" means any instrument or contrivance intended to trap, destroy, control, repel, or mitigate pests, but not including equipment used for the application of pesticides when sold separately from the pesticides.

             (((12))) (13) "Direct supervision" by certified private applicators shall mean that the designated restricted use pesticide shall be applied for purposes of producing any agricultural commodity on land owned or rented by the applicator or the applicator's employer by a competent person acting under the instructions and control of a certified private applicator who is available if and when needed, even though such certified private applicator is not physically present at the time and place the pesticide is applied. The certified private applicator shall have direct management responsibility and familiarity of the pesticide, manner of application, pest, and land to which the pesticide is being applied. Direct supervision by all other certified applicators means direct on-the-job supervision and shall require that the certified applicator be physically present at the application site and that the person making the application be in voice and visual contact with the certified applicator at all times during the application. Direct supervision of an aerial apparatus means the pilot of the aircraft must be appropriately certified.

             (((13))) (14) "Director" means the director of the department or a duly authorized representative.

             (((14))) (15) "Engage in business" means any application of pesticides by any person upon lands or crops of another.

             (((15))) (16) "EPA" means the United States environmental protection agency.

             (((16))) (17) "EPA restricted use pesticide" means any pesticide classified for restricted use by the administrator, EPA.

             (((17))) (18) "FIFRA" means the federal insecticide, fungicide and rodenticide act as amended (61 Stat. 163, 7 U.S.C. Sec. 136 et seq.).

             (((18))) (19) "Fumigant" means any pesticide product or combination of products that is a vapor or gas or forms a vapor or gas on application and whose method of pesticidal action is through the gaseous state.

             (((19))) (20) "Fungi" means all nonchlorophyll-bearing thallophytes (all nonchlorophyll-bearing plants of lower order than mosses and liverworts); for example, rusts, smuts, mildews, molds, and yeasts, except those on or in a living person or other animals.

             (((20))) (21) "Fungicide" means any substance or mixture of substances intended to prevent, destroy, repel, or mitigate any fungi.

             (((21))) (22) "Herbicide" means any substance or mixture of substances intended to prevent, destroy, repel, or mitigate any weed or other higher plant.

             (((22))) (23) "Immediate service call" means a landscape application to satisfy an emergency customer request for service, or a treatment to control a pest to landscape plants.

             (((23))) (24) "Insect" means any small invertebrate animal, in any life stage, whose adult form is segmented and which generally belongs to the class insecta, comprised of six-legged, usually winged forms, as, for example, beetles, bugs, bees, and flies. The term insect shall also apply to other allied classes of arthropods whose members are wingless and usually have more than six legs, for example, spiders, mites, ticks, centipedes, and isopod crustaceans.

             (((24))) (25) "Insecticide" means any substance or mixture of substances intended to prevent, destroy, repel, or mitigate any insect.

             (((25))) (26) "Land" means all land and water areas, including airspace and all plants, animals, structures, buildings, devices, and contrivances, appurtenant to or situated on, fixed or mobile, including any used for transportation.

             (((26))) (27) "Landscape application" means an application ((by a certified applicator)) of any EPA registered pesticide to any exterior landscape ((plants found)) area around residential property, commercial properties such as apartments or shopping centers, parks, golf courses, schools including nursery schools and licensed day cares, or cemeteries or similar areas. This definition shall not apply to: (a) Applications made by certified private applicators; (b) mosquito abatement, gypsy moth eradication, or similar wide-area pest control programs sponsored by governmental entities; and (c) commercial pesticide applicators making structural applications.

             (((27))) (28) "Nematocide" means any substance or mixture of substances intended to prevent, destroy, repel, or mitigate nematodes.

             (((28))) (29) "Nematode" means any invertebrate animal of the phylum nemathelminthes and class nematoda, that is, unsegmented round worms with elongated, fusiform, or saclike bodies covered with cuticle, and inhabiting soil, water, plants or plant parts. Nematodes may also be called nemas or eelworms.

             (((29))) (30) "Person" means any individual, partnership, association, corporation, or organized group of persons whether or not incorporated.

             (((30))) (31) "Pest" means, but is not limited to, any insect, rodent, nematode, snail, slug, weed, and any form of plant or animal life or virus, except virus, bacteria, or other microorganisms on or in a living person or other animal or in or on processed food or beverages or pharmaceuticals, which is normally considered to be a pest, or which the director may declare to be a pest.

             (((31))) (32) "Pesticide" means, but is not limited to:

             (a) Any substance or mixture of substances intended to prevent, destroy, control, repel, or mitigate any pest;

             (b) Any substance or mixture of substances intended to be used as a plant regulator, defoliant or desiccant; and

             (c) Any spray adjuvant, such as a wetting agent, spreading agent, deposit builder, adhesive, emulsifying agent, deflocculating agent, water modifier, or similar agent with or without toxic properties of its own intended to be used with any pesticide as an aid to the application or effect thereof, and sold in a package or container separate from that of the pesticide with which it is to be used.

             (((32))) (33) "Pesticide advisory board" means the pesticide advisory board as provided for in this chapter.

             (((33))) (34) "Plant regulator" means any substance or mixture of substances intended through physiological action, to accelerate or retard the rate of growth or maturation, or to otherwise alter the behavior of ornamental or crop plants or their produce, but shall not include substances insofar as they are intended to be used as plant nutrients, trace elements, nutritional chemicals, plant inoculants, or soil amendments.

             (((34))) (35) "Private applicator" means a certified applicator who uses or is in direct supervision of the use of any pesticide classified by the EPA or the director as a restricted use pesticide, for the purposes of producing any agricultural commodity and for any associated noncrop application on land owned or rented by the applicator or the applicator's employer or if applied without compensation other than trading of personal services between producers of agricultural commodities on the land of another person.

             (((35))) (36) "Private-commercial applicator" means a certified applicator who uses or supervises the use of any pesticide classified by the EPA or the director as a restricted use pesticide for purposes other than the production of any agricultural commodity on lands owned or rented by the applicator or the applicator's employer.

             (((36))) (37) "Residential property" includes property less than one acre in size zoned as residential by a city, town, or county, but does not include property zoned as agricultural or agricultural homesites.

             (((37))) (38) "Restricted use pesticide" means any pesticide or device which, when used as directed or in accordance with a widespread and commonly recognized practice, the director determines, subsequent to a hearing, requires additional restrictions for that use to prevent unreasonable adverse effects on the environment including people, lands, beneficial insects, animals, crops, and wildlife, other than pests.

             (((38))) (39) "Rodenticide" means any substance or mixture of substances intended to prevent, destroy, repel, or mitigate rodents, or any other vertebrate animal which the director may declare by rule to be a pest.

             (((39))) (40) "School facility" means any facility used for licensed day care center purposes or for the purposes of a public kindergarten or public elementary or secondary school. School facility includes the buildings or structures, playgrounds, landscape areas, athletic fields, school vehicles, or any other area of school property.

             (41) "Snails or slugs" include all harmful mollusks.

             (((40))) (42) "Unreasonable adverse effects on the environment" means any unreasonable risk to people or the environment taking into account the economic, social, and environmental costs and benefits of the use of any pesticide, or as otherwise determined by the director.

             (((41))) (43) "Weed" means any plant which grows where it is not wanted.

 

             Sec. 2. RCW 17.21.410 and 1994 c 283 s 33 are each amended to read as follows:

             (1) A certified applicator making a landscape application to:

             (a) Residential property shall at the time of the application place a marker at the usual point of entry to the property. If the application is made to an isolated spot that is not a substantial portion of the property, the applicator shall only be required to place a marker at the application site. If the application is in a fenced or otherwise isolated backyard, no marker is required.

             (b) Commercial properties such as apartments or shopping centers shall at the time of application place a marker in a conspicuous location at or near each site being treated.

             (c) A golf course shall at the time of the application place a marker at the first tee and tenth tee or post the information in a conspicuous location such as on a central message board.

             (d) A school, nursery school, or licensed day care shall at the time of the application place a marker at each primary point of entry to the school grounds. A school employee making an application to a school facility shall comply with the posting requirements in section 3 of this act.

             (e) A park, cemetery, rest stop, or similar property as may be defined in rule shall at the time of the application place a marker at each primary point of entry.

             (2) An individual making a landscape application to a school grounds, nursery school, or licensed day care, and not otherwise covered by subsection (1) of this section, shall ((be required to comply with the posting requirements in subsection (1)(d) of this section)) at the time of the application place a marker at each primary point of entry to the school grounds.

             (3) The marker shall be a minimum of four inches by five inches. It shall have the words: "THIS LANDSCAPE HAS BEEN TREATED BY" as the headline and "FOR MORE INFORMATION PLEASE CALL" as the footer. Larger size requirements for markers may be established in rule for specific applications. The company name and service mark ((with the applicator's telephone number where information can be obtained)) shall be included between the headline and the footer on ((the marker. The letters and service marks)) a marker placed by a commercial applicator. The applicator's telephone number where information can be obtained about the application shall be included in the footer of the marker. Markers shall be printed in colors contrasting to the background.

             (4) The property owner or tenant shall remove the marker according to the schedule established in rule. A ((commercial)) certified applicator or individual who complies with this section is not liable for the removal of markers by unauthorized persons or removal outside the designated removal time.

             (5) A certified applicator or individual who complies with this section cannot be held liable for personal property damage or bodily injury resulting from markers that are placed as required.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 17.21 RCW to read as follows:

             (1) As used in this section, "school" means a licensed day care center or a public kindergarten or a public elementary or secondary school.

             (2) A school shall provide written notification annually or upon enrollment to parents or guardians of students and employees describing the school's pest control policies and methods, including the posting and notification requirements of this section.

             (3) A school shall establish a notification system that, as a minimum, notifies interested parents or guardians of students and employees at least forty-eight hours before a pesticide application to a school facility. The notification system shall include posting of the notification in a prominent place in the main office of the school.

             (4) All notifications to parents, guardians, and employees shall include the heading "Notice: Pesticide Application" and, at a minimum, shall state:

             (a) The product name of the pesticide to be applied;

             (b) The intended date and time of application;

             (c) The location to which the pesticide is to be applied;

             (d) The pest to be controlled; and

             (e) The name and phone number of a contact person at the school.

             (5) A school facility application must be made within forty-eight hours following the intended date and time stated in the notification or the notification process shall be repeated.

             (6) A school shall, at the time of application, post notification signs for all pesticide applications made to school facilities unless the application is otherwise required to be posted by a certified applicator under the provisions of RCW 17.21.410(1)(d).

             (a) Notification signs for applications made to school grounds by school employees shall be placed at the location of the application and at each primary point of entry to the school grounds. The signs shall be a minimum of four inches by five inches and shall include the words: "THIS LANDSCAPE HAS BEEN RECENTLY SPRAYED OR TREATED WITH PESTICIDES BY YOUR SCHOOL" as the headline and "FOR MORE INFORMATION PLEASE CALL" as the footer. The footer shall provide the name and telephone number of a contact person at the school.

             (b) Notification signs for applications made to school facilities other than school grounds shall be posted at the location of the application. The signs shall be a minimum of eight and one-half by eleven inches and shall include the heading "Notice: Pesticide Application" and, at a minimum, shall state:

             (i) The product name of the pesticide applied;

             (ii) The date and time of application;

             (iii) The location to which the pesticide was applied;

             (iv) The pest to be controlled; and

             (v) The name and phone number of a contact person at the school.

             (c) Notification signs shall be printed in colors contrasting to the background.

             (d) Notification signs shall remain in place for at least twenty-four hours from the time the application is completed. In the event the pesticide label requires a restricted entry interval greater than twenty-four hours, the notification sign shall remain in place consistent with the restricted entry interval time as required by the label.

             (7) A school facility application does not include the application of antimicrobial pesticides or the placement of insect or rodent baits that are not accessible to children.

             (8) The prenotification requirements of this section do not apply if the school facility application is made when the school is not occupied by students for at least two consecutive days after the application.

             (9) The prenotification requirements of this section do not apply to any emergency school facility application for control of any pest that poses an immediate human health or safety threat, such as an application to control stinging insects. When an emergency school facility application is made, notification consistent with the school's notification system shall occur as soon as possible after the application. The notification shall include information consistent with subsection (6)(b) of this section.

             (10) A school shall make the records of all pesticide applications to school facilities required under this chapter, including an annual summary of the records, readily accessible to interested persons.

             (11) A school is not liable for the removal of signs by unauthorized persons. A school that complies with this section may not be held liable for personal property damage or bodily injury resulting from signs that are placed as required.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 28A.320 RCW to read as follows:

             Schools as defined in section 3 of this act shall provide notice of pesticide use to parents or guardians of students and employees pursuant to chapter 17.21 RCW.

 

             NEW SECTION. Sec. 5. A new section is added to chapter 74.15 RCW to read as follows:

             Licensed day care centers shall provide notice of pesticide use to parents or guardians of students and employees pursuant to chapter 17.21 RCW.

 

             NEW SECTION. Sec. 6. Except for section 7 of this act, this act takes effect July 1, 2002.

 

             NEW SECTION. Sec. 7. If specific funding for the purposes of this act, referencing this act by bill or chapter number, is not provided by June 30, 2001, in the omnibus appropriations act, this act is null and void."

 

             On page 1, line 2 of the title, after "schools;" strike the remainder of the title and insert "amending RCW 17.21.020 and 17.21.410; adding a new section to chapter 17.21 RCW; adding a new section to chapter 28A.320 RCW; adding a new section to chapter 74.15 RCW; creating a new section; and providing an effective date."

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach and Sump.

 

MINORITY recommendation: Without recommendation. Signed by Representative Schoesler.

 

             Voting yea: Representatives G. Chandler, Linville, Cooper, Mielke, B. Chandler, Delvin, Dunshee, Grant, Hunt, Quall, Roach and Sump.

             Voting nay: Representative Schoesler.

             Excused: Representative Kirby.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5543          Prime Sponsor, Senate Committee on Education: Improving student safety. 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 finds that a supportive learning environment enhances student academic achievement. A supportive learning environment is one that is safe, civil, healthy, and intellectually stimulating where students are engaged in learning and are committed to acquiring the knowledge, attitudes, skills, and behaviors to succeed in the twenty-first century.

             The legislature intends to improve the student learning environment by helping school districts implement comprehensive safe school plans that assist schools in providing a safe learning environment.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 28A.320 RCW to read as follows:

             A consistent comprehensive approach to school safety includes a comprehensive safe school plan and implementation of the plan covering prevention, intervention, all hazards and crisis response, and postcrisis recovery. Staff, students, parents, the community, law enforcement, and emergency preparedness shall be involved in the development and implementation of the plan.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 28A.320 RCW to read as follows:

             (1) To the extent funds are appropriated for this purpose, each local school board shall establish a policy requiring that each school in its district develop a written comprehensive safe school plan consistent with this section.

             (2) The school district board of directors shall establish a process for approval of individual school plans. Plans shall be approved by September 1, 2002. Once approved, the school district shall develop a process to inform students, staff, volunteers, and parents about its comprehensive safe school plans.

             (3) Each school shall annually conduct an evaluation of its comprehensive safe school plan and conduct reviews, drills, or simulated practices in coordination with local fire, law enforcement, medical, and emergency management agencies. Districts also shall annually provide information on the implementation and evaluation of the plans to parents and students.

             (4) Each school shall maintain a copy of its comprehensive safe school plan and documentation of yearly reviews, drills, or simulated practices within the office of the school principal and shall make a copy of the report available for review upon written request.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 28A.300 RCW to read as follows:

             To the extent funds are appropriated for this purpose, a school safety center shall be established to provide school districts with: The assistance necessary to create a consistent, comprehensive approach to school safety for every school and every school district; the means to share safety information among school districts; and a process for schools to effectively integrate safe school planning with emergency preparedness personnel, the criminal justice training commission, and local, county, and state law enforcement officers.

             The safety center shall disseminate successful models of school safety plans and cooperative efforts; provide assistance to schools to establish a comprehensive safe school plan; select models of cooperative efforts that have been proven successful; act as an information dissemination and resource center when an incident occurs in a school district either in Washington or in another state; coordinate activities relating to school safety; review and approve manuals and curricula used for school safety models and training; and develop and maintain a school safety information web site.

             The school safety center shall be established in the office of the superintendent of public instruction. The superintendent of public instruction shall appoint and participate in a school safety center advisory committee that includes, but is not limited to, representatives of educators, other school staff, administrators, the American society for industrial security, the state criminal justice training commission, law enforcement agencies, and others deemed appropriate and approved by the school safety center advisory committee. The advisory committee shall select a chair.

             The school safety center advisory committee shall develop a training program, using the best practices in school safety, for all school safety personnel.

 

             NEW SECTION. Sec. 5. A new section is added to chapter 28A.320 RCW to read as follows:

             To the extent funds are appropriated, a per pupil allocation shall be distributed to each school district, however no school district may be allocated less than two thousand dollars. School districts shall use the funds to carry out district activities to develop and implement a comprehensive safe school plan.

 

             NEW SECTION. Sec. 6. If specific funding for the purposes of this act, referencing this act by bill or chapter number, is not provided by June 30, 2001, in the omnibus appropriations act, this act is null and void."

 

             Correct the title.

 

Signed by Representatives Quall, Democratic Co-Chair; Talcott, Republican Co-Chair; Anderson, Republican Vice Chair; Cox; Ericksen; Keiser; Pearson; Rockefeller; Santos and Schual-Berke.

 

             Voting yea: Representatives Quall, Talcott, Anderson, Haigh, Cox, Ericksen, Keiser, McDermott, Pearson, Rockefeller, Santos, Schmidt and Schual-Berke.

             Voting nay: Representative Schindler.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

SSB 5558          Prime Sponsor, Senate Committee on Judiciary: Clarifying penalty procedures for alcohol violators. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, beginning on line 32, strike section 2

 

             Correct the title accordingly.

 

Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Boldt; Casada; Esser; Lovick and McDermott.

 

MINORITY recommendation: Without recommendation. Signed by Representative Lambert, Republican Vice Chair.

 

             Voting yea: Representatives Boldt, Carrell, Casada, Dickerson, Esser, Hurst, Lantz, Lovick, and McDermott.

             Voting nay: Representative Lambert.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5566       Prime Sponsor, Senate Committee on Health & Long-Term Care: Requiring uniform prescription drug information cards. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Cody, Campbell, Schual-Berke, Skinner, Alexander, Ballasiotes, Conway, Darneille, Edwards, Marine, McMorris, Pennington and Ruderman.

             Excused: Representative Edmonds.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SSB 5572          Prime Sponsor, Senate Committee on Transportation: Authorizing Crime Stoppers signs in view of specified highway systems. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; Edmonds; Haigh; Hatfield; Hurst; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump; Wood and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, Wood, and Woods.

             Excused: Representatives G. Chandler, and Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5573          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Authorizing raffles by student groups and public hospital districts. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, line 9, after "fide" insert "charitable"

 

             On page 2, line 3, after "body" strike "fund program" and insert "program fund"

 

Signed by Representatives Conway, Democratic Co-Chair; Wood, Democratic Vice Chair; Hunt; Kenney and Lisk.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Clements, Republican Co-Chair; B. Chandler, Republican Vice Chair; McMorris.

 

             Voting yea: Representatives Conway, Wood, Hunt, Kenney and Lisk.

             Voting nay: Representatives Clements, B. Chandler and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5582            Prime Sponsor, Senator Roach: Authorizing the conditional employment of teachers with lapsed certificates. Reported by Committee on Education

 

MAJORITY recommendation: Do pass as amended.

 

             "Sec. 1. RCW 28A.410.010 and 1992 c 159 s 3 and 1992 c 60 s 2 are each reenacted and amended to read as follows:

             (1) The state board of education shall establish, publish, and enforce rules ((and regulations)) determining eligibility for and certification of personnel employed in the common schools of this state, including certification for emergency or temporary, substitute or provisional duty and under such certificates or permits as the board shall deem proper or as otherwise prescribed by law((.)) subject to the following conditions:

             (a) The rules shall require that the initial application for certification shall require a record check of the applicant through the Washington state patrol criminal identification system and through the federal bureau of investigation at the applicant's expense. The record check shall include a fingerprint check using a complete Washington state criminal identification fingerprint card. The superintendent of public instruction may waive the record check for any applicant who has had a record check within the two years before application.

             (b) The rules shall permit a holder of a lapsed certificate who has separated from service with a school district or approved private school located in the state of Washington to be employed on a conditional basis for a maximum of two years by a school district or approved private school under the following conditions:

             (i) The holder's certificate has not been suspended or revoked;

             (ii) The holder has successfully completed state-mandated background checks;

             (iii) The holder must complete any certificate renewal requirements established by the state board of education within two years of initial reemployment, and must develop and file with the employer a mutually agreed upon written plan for achieving the requirements within the allotted time; and

             (iv) If hired by a school district, the holder shall be employed under a one-year provisional contract that may be renewed no more than once. The holder must make satisfactory progress toward the achievement of the certificate renewal requirements before the provisional contract may be renewed.

             (2) In establishing rules pertaining to the qualifications of instructors of American sign language the state board shall consult with the national association of the deaf, "sign instructors guidance network" (s.i.g.n.), and the Washington state association of the deaf for evaluation and certification of sign language instructors.

             (3) The superintendent of public instruction shall act as the administrator of any such rules ((and regulations)) and have the power to issue any certificates or permits and revoke the same in accordance with board rules ((and regulations))."

 

             On page 1, line 2 of the title, after "certificates;" strike the remainder of the title and insert "and reenacting and amending RCW 28A.410.010."

 

Signed by Representatives Quall, Democratic Co-Chair; Talcott, Republican Co-Chair; Anderson, Republican Vice Chair; Haigh, Democratic Vice Chair; Cox; Ericksen; Keiser; McDermott; Pearson; Rockefeller; Santos; Schindler and Schmidt.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Schual-Berke.

 

             Voting yea: Representatives Anderson, Cox, Ericksen, Haigh, Keiser, McDermott, Pearson, Quall, Rockefeller, Santos, Schindler, Schmidt, and Talcott.

             Voting nay: Representative Schual-Berke.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5583       Prime Sponsor, Senate Committee on Human Services & Corrections: Implementing recommendations of the joint legislative audit and review committee's performance audit of the public mental health system. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, line 21, strike New Section 5 and renumber the remaining sections accordingly.

 

             On page 9, after line 17, insert the following:

             "NEW SECTION. Sec. 8. RCW 71.24.155 (Grants to counties--Accounting) and 1987 c 505 s 65, 1986 c 274 s 9, & 1982 c 204 s 9 71.24.155 are each repealed."

 

             Renumber the remaining section accordingly and correct internal references.

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Edwards, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

             Excused: Representative Edmonds.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

E2SSB 5593     Prime Sponsor, Senate Committee on Ways & Means: Changing the public accountancy act. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass as amended by Committee on Appropriations and without amendment by Committee on Commerce & Labor.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 18.04.015 and 1992 c 103 s 1 are each amended to read as follows:

             (1) It is the policy of this state and the purpose of this chapter:

             (a) To promote the dependability of information which is used for guidance in financial transactions or for accounting for or assessing the status or performance of commercial and noncommercial enterprises, whether public, private or governmental; and

             (b) To protect the public interest by requiring that:

             (i) Persons who hold themselves out ((to the public)) as ((certified public accountants who offer to perform, or perform for clients, professional services, including but not limited to one or more kinds of services involving the use of accounting or auditing skills, including the issuance of "audit reports," "review reports," or "compilation reports" on financial statements, or one or more kinds of management advisory, or consulting services, the preparation of tax returns, or the furnishing of advice on tax matters, perform such services)) licensees or certificate holders conduct themselves in a competent, ethical, and professional manner;

             (ii) A public authority be established that is competent to prescribe and assess the qualifications of certified public accountants, including certificate holders who are not licensed for the practice of public accounting;

             (iii) Persons other than ((certified public accountants)) licensees refrain from using the words "audit," "review," and "compilation" when designating a report customarily prepared by someone knowledgeable in accounting; ((and))

             (iv) A public authority be established to provide for consumer alerts and public protection information to be published regarding persons or firms who violate the provisions of this act or board rule and to provide general consumer protection information to the public; and

             (v) The use of accounting titles likely to confuse the public be prohibited.

             (2) The purpose of this act is to make revisions to chapter 234, Laws of 1983 and chapter 103, Laws of 1992 to: Fortify the public protection provisions of this act; establish one set of qualifications to be a licensee; revise the regulations of certified public accountants; make revisions in the ownership of certified public accounting firms; assure to the greatest extent possible that certified public accountants from Washington state are substantially equivalent with certified public accountants in other states and can therefore perform the duties of certified public accountants in as many states and countries as possible; assure certified public accountants from other states and countries have met qualifications that are substantially equivalent to the certified public accountant qualifications of this state; and clarify the authority of the board of accountancy with respect to the activities of persons holding licenses and certificates under this chapter. It is not the intent of this act to in any way restrict or limit the activities of persons not holding licenses or certificates under this chapter except as otherwise specifically restricted or limited by chapter 234, Laws of 1983 and chapter 103, Laws of 1992.

             (3) A purpose of chapter 103, Laws of 1992, revising provisions of chapter 234, Laws of 1983, is to clarify the authority of the board of accountancy with respect to the activities of persons holding certificates under this chapter. Furthermore, it is not the intent of chapter 103, Laws of 1992 to in any way restrict or limit the activities of persons not holding certificates under this chapter except as otherwise specifically restricted or limited by chapter 234, Laws of 1983.

 

             Sec. 2. RCW 18.04.025 and 1999 c 378 s 1 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Board" means the board of accountancy created by RCW 18.04.035.

             (2) "Certificate holder" means the holder of a certificate as a certified public accountant who has not become a licensee, has maintained CPE requirements, and who does not practice public accounting.

             (3) "Certified public accountant" or "CPA" means a person holding a certified public accountant license or certificate.

             (((3))) (4) "State" includes the states of the United States, the District of Columbia, Puerto Rico, Guam, and the United States Virgin Islands.

             (((4))) (5) "Reports on financial statements" means any reports or opinions prepared by ((certified public accountants)) licensees, based on services performed in accordance with generally accepted auditing standards, standards for attestation engagements, or standards for accounting and review services as to whether the presentation of information used for guidance in financial transactions or for accounting for or assessing the status or performance of commercial and noncommercial enterprises, whether public, private, or governmental, conforms with generally accepted accounting principles or other comprehensive bases of accounting. "Reports on financial statements" does not include services referenced in RCW 18.04.350(6) provided by persons not holding a license under this chapter.

             (((5))) (6) The "practice of public accounting" means performing or offering to perform by a person or firm holding itself out to the public as a licensee, for a client or potential client, one or more kinds of services involving the use of accounting or auditing skills, including the issuance of "audit reports," "review reports," or "compilation reports" on financial statements, or one or more kinds of management advisory, or consulting services, or the preparation of tax returns, or the furnishing of advice on tax matters. The "practice of public accounting" shall not include practices that are permitted under the provisions of RCW 18.04.350(6) by persons or firms not required to be licensed under this chapter.

             (((6))) (7) "Firm" means a sole proprietorship, a corporation, or a partnership. "Firm" also means a limited liability company formed under chapter 25.15 RCW.

             (((7))) (8) "CPE" means continuing professional education.

             (((8))) (9) "Certificate" means a certificate as a certified public accountant issued prior to July 1, 2001, as authorized under the provisions of this chapter((, or a corresponding certificate issued by another state or foreign jurisdiction that is recognized in accordance with the reciprocity provisions of RCW 18.04.180 and 18.04.183)).

             (((9))) (10) "Licensee" means the holder of a ((valid)) license to practice public accountancy issued under this chapter.

             (((10))) (11) "License" means a license to practice public accountancy issued to an individual under this chapter, or a license issued to a firm under this chapter.

             (((11))) (12) "Manager" means a manager of a limited liability company licensed as a firm under this chapter.

             (13) "NASBA" means the national association of state boards of accountancy.

             (14) "Quality assurance review" means a process established by and conducted at the direction of the board of study, appraisal, or review of one or more aspects of the ((professional)) attest work of a ((person)) licensee or licensed firm in the practice of public accountancy by a person or persons who hold ((certificates)) licenses and who are not affiliated with the person or firm being reviewed.

             (((12) "Quality review")) (15) "Peer review" means a study, appraisal, or review of one or more aspects of the ((professional)) attest work of a ((person)) licensee or licensed firm in the practice of public accountancy by a person or persons who hold ((certificates)) licenses and who are not affiliated with the person or firm being reviewed, including a peer review, or any internal review or inspection intended to comply with quality control policies and procedures, but not including the "quality assurance review" under subsection (((11))) (14) of this section.

             (((13))) (16) "Review committee" means any person carrying out, administering or overseeing a ((quality)) peer review authorized by the reviewee.

             (((14))) (17) "Rule" means any rule adopted by the board under authority of this chapter.

             (((15))) (18) "Holding out" means any representation to the public by the use of restricted titles as set forth in RCW 18.04.345 by a person or firm that the person or firm ((is a certified public accountant)) holds a license under this chapter and that the person or firm offers to perform any professional services to the public as a ((certified public accountant)) licensee. "Holding out" shall not affect or limit ((a person not required to hold a certificate under this chapter or)) a person or firm not required to hold a license under this chapter from engaging in practices identified in RCW 18.04.350(((6))).

             (19) "Natural person" means a living, human being.

             (20) "Inactive" means the certificate is in an inactive status because a person who held a valid certificate before July 1, 2001, has not met the current requirements of licensure and has been granted inactive certificate holder status through an approval process established by the board.

 

             Sec. 3. RCW 18.04.035 and 1992 c 103 s 3 are each amended to read as follows:

             (1) There is created a board of accountancy for the state of Washington to be known as the Washington state board of accountancy. Effective June 30, 2001, the board shall consist of ((seven)) nine members appointed by the governor. Members of the board shall include ((four)) six persons who ((hold valid certified public accountant certificates and have been in public practice as certified public accountants)) have been licensed in this state continuously for the previous ten years ((and two persons who have held a valid certified public accountant's certificate in this state for at least ten years)). ((The seventh)) Three members shall be ((the)) public members ((and shall be a person who is)) qualified to judge whether the qualifications, activities, and professional practice of those regulated under this chapter conform with standards to protect the public interest, including one public member qualified to represent the interests of clients of individuals and firms licensed under this chapter.

             (2) The members of the board ((of accountancy)) shall be appointed by the governor to a term of three years. Vacancies occurring during a term shall be filled by appointment for the unexpired term. Upon the expiration of a member's term of office, the member shall continue to serve until a successor has been appointed and has assumed office. The governor shall remove from the board any member whose ((certificate or)) license to practice has been revoked or suspended and may, after hearing, remove any member of the board for neglect of duty or other just cause. No person who has served two successive complete terms is eligible for reappointment. Appointment to fill an unexpired term is not considered a complete term. In order to stagger their terms, of the two new appointments made to the board upon June 11, 1992, the first appointed member shall serve a term of two years initially.

 

             Sec. 4. RCW 18.04.045 and 1992 c 103 s 4 are each amended to read as follows:

             (1) The board shall annually elect a chair, a vice-chair, and a secretary from its members.

             (2) A majority of the board constitutes a quorum for the transaction of business.

             (3) The board shall have a seal which shall be judicially noticed.

             (4) The board shall keep records of its proceedings, and of any proceeding in court arising from or founded upon this chapter. Copies of these records certified as correct under the seal of the board are admissible in evidence as tending to prove the content of the records.

             (5) The governor shall appoint an executive director of the board, who shall serve at the pleasure of the governor. The executive director may employ such personnel as is appropriate for carrying out the purposes of this chapter. The executive director shall hold a valid Washington ((CPA certificate)) license. The board may arrange for such volunteer assistance as it requires to perform its duties. Individuals or committees assisting the board constitute volunteers for purposes of chapter 4.92 RCW.

             (6) The board shall file an annual report of its activities with the governor. The report shall include, but not be limited to, a statement of all receipts and disbursements. Upon request, the board shall mail a copy of each annual report to any member of the public.

             (7) In making investigations concerning alleged violations of the provisions of this chapter and in all proceedings under RCW 18.04.295 or chapter 34.05 RCW, the board chair, or a member of the board, or a board designee acting in the chair's place, may administer oaths or affirmations to witnesses appearing before the board, subpoena witnesses and compel their attendance, take testimony, and require that documentary evidence be submitted.

             (8) The board may review the publicly available professional work of licensees on a general and random basis, without any requirement of a formal complaint or suspicion of impropriety on the part of any particular licensee. If as a result of such review the board discovers reasonable grounds for a more specific investigation, the board may proceed under its investigative and disciplinary rules.

             (9) The board may provide for consumer alerts and public protection information to be published regarding persons or firms who violate the provisions of this chapter or board rule and may provide general consumer protection information to the public.

             (10) As provided in RCW 18.04.370, the board may enter into stipulated agreements and orders of assurance with persons who have violated the provisions of RCW 18.04.345 or certify the facts to the prosecuting attorney of the county in which such person resides for criminal prosecution.

 

             Sec. 5. RCW 18.04.055 and 1992 c 103 s 5 are each amended to read as follows:

             The board may adopt and amend rules under chapter 34.05 RCW for the orderly conduct of its affairs. The board shall prescribe rules consistent with this chapter as necessary to implement this chapter. Included may be:

             (1) Rules of procedure to govern the conduct of matters before the board;

             (2) Rules of professional conduct for all ((certificate and license holders)) licensees, certificate holders, and nonlicensee owners of licensed firms, in order to establish and maintain high standards of competence and ethics ((of certified public accountants)) including rules dealing with independence, integrity, objectivity, and freedom from conflicts of interest;

             (3) Rules specifying actions and circumstances deemed to constitute holding oneself out as a licensee in connection with the practice of public accountancy;

             (4) Rules specifying the manner and circumstances of the use of the titles "certified public accountant" and "CPA," by holders of certificates who do not also hold licenses under this chapter;

             (5) Rules specifying the educational requirements to take the certified public accountant examination ((or for the issuance of the certificate or license of certified public accountant));

             (6) Rules designed to ensure that ((certified public accountants')) licensees' "reports on financial statements" meet the definitional requirements for that term as specified in RCW 18.04.025;

             (7) Requirements for ((continuing professional education)) CPE to maintain or improve the professional competence of ((certificate and license holders)) licensees as a condition to maintaining their ((certificate or)) license ((to practice)) and certificate holders as a condition to maintaining their certificate under RCW 18.04.215;

             (8) Rules governing ((sole proprietors, partnerships, and corporations practicing public accounting)) firms issuing or offering to issue reports on financial statements or using the title "certified public accountant" or "CPA" including, but not limited to, rules concerning their style, name, title, and affiliation with any other organization, and establishing reasonable practice and ethical standards to protect the public interest;

             (9) The board may by rule implement a quality assurance review program as a means to monitor licensees' quality of practice and compliance with professional standards. The board may exempt from such program, licensees who undergo periodic ((quality)) peer reviews in programs of the American Institute of Certified Public Accountants, ((National Association of State Boards of Accountancy)) NASBA, or other programs recognized and approved by the board;

             (10) The board may by rule require licensed firms to obtain professional liability insurance if in the board's discretion such insurance provides additional and necessary protection for the public; ((and))

             (11) Rules specifying the experience requirements in order to qualify for a license;

             (12) Rules specifying the requirements for certificate holders to qualify for a license under this chapter which must include provisions for meeting CPE and experience requirements prior to application for licensure;

             (13) Rules specifying the registration requirements, including ethics examination and fee requirements, for resident nonlicensee partners, shareholders, and managers of licensed firms;

             (14) Rules specifying the ethics CPE requirements for certificate holders and owners of licensed firms, including the process for reporting compliance with those requirements;

             (15) Rules specifying the experience and CPE requirements for licensees offering or issuing reports on financial statements; and

             (16) Any other rule which the board finds necessary or appropriate to implement this chapter.

 

             Sec. 6. RCW 18.04.065 and 1992 c 103 s 6 are each amended to read as follows:

             The board shall set its fees at a level adequate to pay the costs of administering this chapter. ((Beginning in the 1993-95 biennium,)) All fees for ((certified public accountants')) licenses, ((certificates,)) registrations of nonlicensee partners, shareholders, and managers of licensed firms, renewals of licenses, renewals of registrations of nonlicensee partners, shareholders, and managers of licensed firms, renewals of certificates, reinstatements of lapsed licenses, reinstatements of lapsed certificates, reinstatements of lapsed registrations of nonlicensee partners, shareholders, and managers of licensed firms, practice privileges under RCW 18.04.350, and delinquent filings received under the authority of this chapter shall be deposited in the certified public accountants' account created by RCW 18.04.105. Appropriation from such account shall be made only for the cost of administering the provisions of this chapter.

 

             Sec. 7. RCW 18.04.105 and 2000 c 171 s 2 are each amended to read as follows:

             (1) ((The certificate of "certified public accountant")) A license to practice public accounting shall be granted by the board to any person:

             (a) Who is of good character. Good character, for purposes of this section, means lack of a history of dishonest or felonious acts. The board may refuse to grant a ((certificate)) license on the ground of failure to satisfy this requirement only if there is a substantial connection between the lack of good character of the applicant and the professional and ethical responsibilities of a ((certified public accountant)) licensee and if the finding by the board of lack of good character is supported by a preponderance of evidence. When an applicant is found to be unqualified for a ((certificate)) license because of a lack of good character, the board shall furnish the applicant a statement containing the findings of the board and a notice of the applicant's right of appeal;

             (b) Who has met the educational standards established by rule as the board determines to be appropriate;

             ((The board may, in its discretion, waive the educational requirements for any person if it is satisfied through review of documentation of successful completion of an equivalency examination that the person's educational qualifications are an acceptable substitute for the requirements of (b) of this subsection; and))

             (c) Who has passed ((a written)) an examination;

             (d) Who has had one year of experience which is gained:

             (i) Through the use of accounting, issuing reports on financial statements, management advisory, financial advisory, tax, tax advisory, or consulting skills;

             (ii) While employed in government, industry, academia, or public practice; and

             (iii) Meeting the competency requirements in a manner as determined by the board to be appropriate and established by board rule; and

             (e) Who has paid appropriate fees as established by rule by the board.

             (2) The examination described in subsection (1)(c) of this section ((shall be in writing, shall be held twice a year, and)) shall test the applicant's knowledge of the subjects of accounting and auditing, and other related fields the board may specify by rule. The time for holding the examination is fixed by the board and may be changed from time to time. The board shall prescribe by rule the methods of applying for and taking the examination, including methods for grading ((papers)) examinations and determining a passing grade required of an applicant for a ((certificate)) license. The board shall to the extent possible see to it that the grading of the examination, and the passing grades, are uniform with those applicable to all other states. The board may make use of all or a part of the uniform certified public accountant examination and advisory grading service of the American Institute of Certified Public Accountants and may contract with third parties to perform administrative services with respect to the examination as the board deems appropriate to assist it in performing its duties under this chapter. The board shall establish by rule provisions for transitioning to a new examination structure or to a new media for administering the examination.

             (3) ((An applicant is required to pass all sections of the examination provided for in subsection (2) of this section in order to qualify for a certificate. If at a given sitting of the examination an applicant passes two or more but not all sections, then the applicant shall be given credit for those sections that he or she passed, and need not take those sections again: PROVIDED, That:

             (a) The applicant took all sections of the examination at that sitting;

             (b) The applicant attained a minimum grade of fifty on each section not passed at that sitting;

             (c) The applicant passes the remaining sections of the examination within six consecutive examinations given after the one at which the first sections were passed;

             (d) At each subsequent sitting at which the applicant seeks to pass additional sections, the applicant takes all sections not yet passed; and

             (e) In order to receive credit for passing additional sections in a subsequent sitting, the applicant attains a minimum grade of fifty on sections written but not passed on the sitting.

             (4) The board may waive or defer any of the requirements of subsection (3) of this section for candidates transferring conditional CPA exam credits from other states or for qualifying reciprocity certification applicants who met the conditioning requirements of the state or foreign jurisdiction issuing their original certificate.

             (5))) The board shall charge each applicant an examination fee for the initial examination ((under subsection (1) of this section,)) or for reexamination ((under subsection (3) of this section for each subject in which the applicant is reexamined)). The applicable fee shall be paid by the person at the time he or she applies for examination, reexamination, or evaluation of educational qualifications. Fees for examination, reexamination, or evaluation of educational qualifications shall be determined by the board under chapter 18.04 RCW. There is established in the state treasury an account to be known as the certified public accountants' account. All fees received from candidates to take any or all sections of the certified public accountant examination shall be used only for costs related to the examination.

             (((6) Persons who on June 30, 1986, held certified public accountant certificates previously issued under the laws of this state shall not be required to obtain additional certificates under this chapter, but shall otherwise be subject to this chapter. Certificates previously issued shall, for all purposes, be considered certificates issued under this chapter and subject to its provisions.

             (7) A certificate of a "certified public accountant" under this chapter is issued every three years with renewal subject to requirements of continuing professional education and payment of fees, prescribed by the board.

             (8) The board shall adopt rules providing for continuing professional education for certified public accountants. The rules shall:

             (a) Provide that a certified public accountant shall verify to the board that he or she has completed at least an accumulation of one hundred twenty hours of continuing professional education during the last three-year period to maintain the certificate;

             (b) Establish continuing professional education requirements;

             (c) Establish when newly certificated public accountants shall verify that they have completed the required continuing professional education;

             (d) Provide that failure to furnish verification of the completion of the continuing professional education requirement shall make the certificate invalid and subject to reinstatement, unless the board determines that the failure was due to retirement, reasonable cause, or excusable neglect; and

             (e) Provide for transition from existing to new continuing professional education requirements.

             (9) The board may adopt by rule new CPE standards that differ from those in subsection (8) of this section or RCW 18.04.215 if: (a) The new standards are consistent with the continuing professional education standards of other states so as to provide to the greatest extent possible, consistent national standards; and (b) the new standards are at least as strict as the standards set forth in subsection (8) of this section or RCW 18.04.215.))

             (4) Persons who on June 30, 2001, held valid certificates previously issued under this chapter shall be deemed to be certificate holders, subject to the following:

             (a) Certificate holders may, prior to June 30, 2004, petition the board to become licensees by documenting to the board that they have gained one year of experience through the use of accounting, issuing reports on financial statements, management advisory, financial advisory, tax, tax advisory, or consulting skills, without regard to the eight-year limitation set forth in (b) of this subsection, while employed in government, industry, academia, or public practice.

             (b) Certificate holders who do not petition to become licensees prior to June 30, 2004, may after that date petition the board to become licensees by documenting to the board that they have one year of experience acquired within eight years prior to applying for a license through the use of accounting, issuing reports on financial statements, management advisory, financial advisory, tax, tax advisory, or consulting skills in government, industry, academia, or public practice.

             (c) Certificate holders who petition the board pursuant to (a) or (b) of this subsection must also meet competency requirements in a manner as determined by the board to be appropriate and established by board rule.

             (d) Any certificate holder petitioning the board pursuant to (a) or (b) of this subsection to become a licensee must submit to the board satisfactory proof of having completed an accumulation of one hundred twenty hours of CPE during the thirty-six months preceding the date of filing the petition.

             (e) Any certificate holder petitioning the board pursuant to (a) or (b) of this subsection to become a licensee must pay the appropriate fees established by rule by the board.

             (5) Certificate holders shall comply with the prohibition against the practice of public accounting in RCW 18.04.345.

             (6) Persons who on June 30, 2001, held valid certificates previously issued under this chapter are deemed to hold inactive certificates, subject to renewal as inactive certificates, until they have petitioned the board to become licensees and have met the requirements of subsection (4) of this section. No individual who did not hold a valid certificate before July 1, 2001, is eligible to obtain an inactive certificate.

             (7) Persons deemed to hold inactive certificates under subsection (6) of this section shall comply with the prohibition against the practice of public accounting in subsection (8)(b) of this section and RCW 18.04.345, but are not required to display the term inactive as part of their title, as required by subsection (8)(a) of this section until renewal. Certificates renewed to any persons after June 30, 2001, are inactive certificates and the inactive certificate holders are subject to the requirements of subsection (8) of this section.

             (8) Persons holding an inactive certificate:

             (a) Must use or attach the term "inactive" whenever using the title CPA or certified public accountant or referring to the certificate, and print the word "inactive" immediately following the title, whenever the title is printed on a business card, letterhead, or any other document, including documents published or transmitted through electronic media, in the same font and font size as the title; and

             (b) Are prohibited from practicing public accounting.

 

             Sec. 8. RCW 18.04.180 and 1992 c 103 s 8 are each amended to read as follows:

             (1) The board shall issue a ((certificate to a holder of a certificate issued by another state, or shall issue a certificate and)) license to a holder of a certificate/valid license issued by another state that entitles the holder to practice public accountancy, provided that:

             (((1))) (a) Such state makes similar provision to grant reciprocity to a holder of a ((certificate or)) valid certificate ((and valid)) or license in this state; ((and

             (2))) (b) The applicant meets the ((continuing professional education)) CPE requirements of RCW ((18.04.105(8))) 18.04.215(5); ((and

             (3) If the application is for a certificate only:

             (a) The applicant passed the examination required for issuance of his or her certificate with grades that would have been passing grades at that time in this state; and

             (b) The applicant: Meets all current requirements in this state for issuance of a certificate at the time application is made; or at the time of the issuance of the applicant's certificate in the other state, met all the requirements then applicable in this state; or

             (4) If the application is for a certificate and license:

             (a))) (c) The applicant meets the good character requirements of RCW 18.04.105(1)(a); and

             (d) The applicant passed the examination required for issuance of his or her certificate or license with grades that would have been passing grades at that time in this state((;)) and

             (((b) The applicant:)) meets all current requirements in this state for issuance of a license at the time application is made; or at the time of the issuance of the applicant's license in the other state, met all the requirements then applicable in this state; or has had five years of experience within the ten years immediately preceding application in the practice of public accountancy that meets the requirements prescribed by the board.

             (2) The board may accept NASBA's designation of the applicant as substantially equivalent to national standards as meeting the requirement of subsection (1)(d) of this section.

             (3) A licensee who has been granted a license under the reciprocity provisions of this section shall notify the board within thirty days if the license or certificate issued in the other jurisdiction has lapsed or if the status of the license or certificate issued in the other jurisdiction becomes otherwise invalid.

 

             Sec. 9. RCW 18.04.183 and 1999 c 378 s 3 are each amended to read as follows:

             The board shall grant a ((certificate or)) license as a certified public accountant to a holder of a permit, license, or certificate issued by a foreign country's board, agency, or institute, provided that:

             (1) The foreign country where the foreign permit, license, or certificate was issued is a party to an agreement on trade with the United States that encourages the mutual recognition of licensing and certification requirements for the provision of covered services by the parties under the trade agreement; ((and))

             (2) Such foreign country's board, agency, or institute makes similar provision to allow a person who holds a valid ((certificate)) license issued by this state to obtain such foreign country's comparable permit, license, or certificate; ((and))

             (3) The foreign permit, license, or certificate:

             (a) Was duly issued by such foreign country's board, agency, or institute that regulates the practice of public accountancy; and

             (b) Is in good standing at the time of the application; and

             (c) Was issued upon the basis of educational, examination, experience, and ethical requirements substantially equivalent currently or at the time of issuance of the foreign permit, license, or certificate to those in this state; ((and))

             (4) The applicant has within the thirty-six months prior to application completed an accumulation of one hundred twenty hours of ((continuing professional education)) CPE as required under RCW ((18.04.105(8))) 18.04.215(5). The board shall provide for transition from existing to new ((continuing professional education)) CPE requirements; ((and))

             (5) ((If the application is for a certificate:

             (a))) The applicant's foreign permit, license, or certificate was the type of permit, license, or certificate requiring the most stringent qualifications if, in the foreign country, more than one type of permit, license, or certificate is issued. This state's board shall decide which are the most stringent qualifications; ((and

             (b))) (6) The applicant has passed a written examination or its equivalent, approved by the board, that tests knowledge in the areas of United States accounting principles, auditing standards, commercial law, income tax law, and Washington state rules of professional ethics; ((or

             (6) If the application is for a certificate and license:

             (a) The requirements of subsections (1) through (5) of this section are satisfied;)) and

             (((b))) (7) The applicant has within the ((five)) eight years prior to applying for ((the certificate and)) a license under this section, demonstrated, in accordance with the rules issued by the board, one year of public accounting experience, within the foreign country where the foreign permit, license, or certificate was issued, equivalent to the experience required under RCW ((18.04.215(1)(a))) 18.04.105(1)(d) or such other experience or employment which the board in its discretion regards as substantially equivalent.

             The board may adopt by rule new CPE standards that differ from those in subsection (4) of this section or RCW 18.04.215 if the new standards are consistent with the ((continuing professional education)) CPE standards of other states so as to provide to the greatest extent possible, consistent national standards.

             A licensee who has been granted a license under the reciprocity provisions of this section shall notify the board within thirty days if the permit, license, or certificate issued in the other jurisdiction has lapsed or if the status of the permit, license, or certificate issued in the other jurisdiction becomes otherwise invalid.

 

             Sec. 10. RCW 18.04.185 and 1999 c 378 s 4 are each amended to read as follows:

             (((1) Application for certification as certified public accountants by persons who are not residents of this state constitutes appointment of the secretary of state as an agent for service of process in any action or proceeding against the applicants arising from any transaction, activity, or operation connected with or incidental to the practice of public accounting in this state by nonresident holders of certified public accountant certificates.

             (2))) Application for a license to practice public accounting in this state by a certified public accountant or CPA firm who holds a license or permit to practice issued by another state constitutes the appointment of the secretary of state as an agent for service of process in any action or proceeding against the applicant arising from any transaction or operation connected with or incidental to the practice of public accounting in this state by the holder of the license to practice.

 

             Sec. 11. RCW 18.04.195 and 1999 c 378 s 5 are each amended to read as follows:

             (1) A sole proprietorship engaged in business in this state ((in the practice of public accounting)) and offering to issue or issuing reports on financial statements or using the title CPA or certified public accountant shall license, as a firm, every three years with the board ((as a firm)).

             (a) ((The principal purpose and business of the firm shall be to furnish services to the public which are consistent with this chapter and the rules of the board.

             (b))) The ((person)) sole proprietor shall ((be a certified public accountant holding)) hold a license to practice under RCW 18.04.215((.));

             (((c))) (b) Each resident ((licensee)) person in charge of an office ((of the sole proprietorship engaged in this state in the practice of public accounting)) located in this state shall ((be a certified public accountant holding)) hold a license to practice under RCW 18.04.215; and

             (c) The licensed firm must meet competency requirements established by rule by the board.

             (2) A partnership engaged in business in this state ((in the practice of public accounting)) and offering to issue or issuing reports on financial statements or using the title CPA or certified public accountant shall license as a firm every three years with the board ((as a partnership of certified public accountants)), and shall meet the following requirements:

             (a) ((The principal purpose and business of the partnership shall be to furnish services to the public which are consistent with this chapter and the rules of the board;

             (b))) At least one general partner of the partnership shall ((be a certified public accountant holding)) hold a license to practice under RCW 18.04.215;

             (((c))) (b) Each resident ((licensee)) person in charge of an office ((of the partnership)) in this state ((and each resident partner personally engaged within this state in the practice of public accounting)) shall ((be a certified public accountant holding)) hold a license to practice under RCW 18.04.215;

             (c) A simple majority of the ownership of the licensed firm in terms of financial interests and voting rights of all partners or owners shall be held by natural persons who are licensees or holders of a valid license issued under this chapter or by another state that entitles the holder to practice public accounting in this state. The principal partner of the partnership and any partner having authority over issuing reports on financial statements shall hold a license under this chapter or issued by another state that entitles the holder to practice public accounting in this state; and

             (d) The licensed firm must meet competency requirements established by rule by the board.

             (3) A corporation ((organized for the practice of public accounting and)) engaged in business in this state ((in the practice of public accounting)) and offering to issue or issuing reports on financial statements or using the title CPA or certified public accountant shall license as a firm every three years with the board ((as a corporation of certified public accountants)) and shall meet the following requirements:

             (a) ((The principal purpose and business of the corporation shall be to furnish services to the public which are consistent with this chapter and the rules of the board; and

             (b) Each shareholder of the corporation shall be a certified public accountant of some state holding a license to practice and shall be)) A simple majority of the ownership of the licensed firm in terms of financial interests and voting rights of all shareholders or owners shall be held by natural persons who are licensees or holders of a valid license issued under this chapter or by another state that entitles the holder to practice public accounting in this state and is principally employed by the corporation or actively engaged in its business. ((No other person may have any interest in the stock of the corporation.)) The principal officer of the corporation and any officer or director having authority over ((the practice of public accounting by the corporation)) issuing reports on financial statements shall ((be a certified public accountant of some state holding)) hold a license ((to practice)) under this chapter or issued by another state that entitles the holder to practice public accounting in this state;

             (((c))) (b) At least one shareholder of the corporation shall ((be a certified public accountant holding)) hold a license ((to practice)) under RCW 18.04.215;

             (((d))) (c) Each resident ((licensee)) person in charge of an office ((of the corporation)) located in this state ((and each shareholder or director personally engaged within this state in the practice of public accounting)) shall ((be a certified public accountant holding)) hold a license ((to practice)) under RCW 18.04.215;

             (((e))) (d) A written agreement shall bind the corporation or its shareholders to purchase any shares offered for sale by, or not under the ownership or effective control of, a qualified shareholder, and bind any holder not a qualified shareholder to sell the shares to the corporation or its qualified shareholders. The agreement shall be noted on each certificate of corporate stock. The corporation may purchase any amount of its stock for this purpose, notwithstanding any impairment of capital, as long as one share remains outstanding; ((and

             (f))) (e) The corporation shall comply with any other rules pertaining to corporations practicing public accounting in this state as the board may prescribe; and

             (f) The licensed firm must meet competency requirements established by rule by the board.

             (4) A limited liability company engaged in business in this state ((in the practice of public accounting)) and offering to issue or issuing reports on financial statements or using the title CPA or certified public accountant shall license as a firm every three years with the board ((as a limited liability company of certified public accountants)), and shall meet the following requirements:

             (a) ((The principal purpose and business of the limited liability company shall be to furnish services to the public which are consistent with this chapter and the rules of the board;

             (b))) At least one ((manager)) member of the limited liability company shall ((be a certified public accountant holding)) hold a license ((to practice)) under RCW 18.04.215;

             (((c))) (b) Each resident manager or member in charge of an office ((of the limited liability company)) located in this state ((and each resident manager or member personally engaged within this state in the practice of public accounting)) shall ((be a certified public accountant holding)) hold a license ((to practice)) under RCW 18.04.215;

             (c) A simple majority of the ownership of the licensed firm in terms of financial interests and voting rights of all owners shall be held by natural persons who are licensees or holders of a valid license issued under this chapter or by another state that entitles the holder to practice public accounting in this state. The principal member or manager of the limited liability company and any member having authority over issuing reports on financial statements shall hold a license under this chapter or issued by another state that entitles the holder to practice public accounting in this state; and

             (d) The licensed firm must meet competency requirements established by rule by the board.

             (5) Application for a license as a firm shall be made upon the affidavit of the proprietor or person designated as managing partner, member, or shareholder for Washington. This person shall ((be a certified public accountant holding)) hold a license ((to practice)) under RCW 18.04.215. The board shall determine in each case whether the applicant is eligible for a license. A partnership ((or)), corporation, or limited liability company which is licensed to practice under RCW 18.04.215 may use the designation "certified public accountants" or "CPAs" in connection with its partnership, limited liability company, or corporate name. The board shall be given notification within ninety days after the admission or withdrawal of a partner ((or)), shareholder, or member engaged in this state in the practice of public accounting from any partnership ((or)), corporation, or limited liability company so licensed.

             (6) Licensed firms which fall out of compliance with the provisions of this section due to changes in firm ownership or personnel, after receiving or renewing a license, shall notify the board in writing within thirty days of its falling out of compliance and propose a time period in which they will come back into compliance. The board may grant a reasonable period of time for a firm to be in compliance with the provisions of this section. Failure to bring the firm into compliance within a reasonable period of time, as determined by the board, may result in suspension, revocation, or imposition of conditions on the firm's license.

             (7) Fees for the license as a firm and for notification of the board of the admission or withdrawal of a partner ((or)), shareholder, or member shall be determined by the board. Fees shall be paid by the firm at the time the license application form or notice of admission or withdrawal of a partner ((or)), shareholder, or member is filed with the board.

             (8) Nonlicensee owners of licensed firms are:

             (a) Required to fully comply with the provisions of this chapter and board rules;

             (b) Required to be a natural person;

             (c) Required to be an active individual participant in the licensed firm or affiliated entities as these terms are defined by board rule; and

             (d) Subject to discipline by the board for violation of this chapter.

             (9) Resident nonlicensee owners of licensed firms are required to meet:

             (a) The ethics examination, registration, and fee requirements as established by the board rules; and

             (b) The ethics CPE requirements established by the board rules.

 

             Sec. 12. RCW 18.04.205 and 1999 c 378 s 6 are each amended to read as follows:

             (1) Each office established or maintained in this state for the ((practice of public accounting)) purpose of offering to issue or issuing reports on financial statements in this state ((by a certified public accountant, or a partnership or corporation of certified public accountants)) or that uses the title "certified public accountant" or "CPA," shall register with the board under this chapter every three years.

             (2) Each office shall be under the direct supervision of a resident licensee holding a license under RCW 18.04.215 ((who may be a sole proprietor, partner, principal shareholder, or a staff employee)).

             (3) The board shall by rule prescribe the procedure to be followed to register and maintain offices established in this state for the ((practice of public accounting)) purpose of offering to issue or issuing reports on financial statements or that use the title "certified public accountant" or "CPA."

             (4) Fees for the registration of offices shall be determined by the board. Fees shall be paid by the applicant at the time the registration form is filed with the board.

 

             Sec. 13. RCW 18.04.215 and 1999 c 378 s 7 are each amended to read as follows:

             (1) Three-year licenses shall be issued by the board:

             (a) To ((holders of certificates as certified public accountants who have demonstrated, in accordance with rules issued by the board, one year of public accounting experience, or such other experience or employment which the board in its discretion regards as substantially equivalent and who, if their certificate was issued more than forty-eight months prior to application under this section, submit to the board satisfactory proof of having completed an accumulation of one hundred twenty hours of continuing professional education during the thirty-six months preceding the application;)) persons meeting the requirements of RCW 18.04.105(1), 18.04.180, or 18.04.183.

             (b) To certificate holders meeting the requirements of RCW 18.04.105(4).

             (c) To firms under RCW 18.04.195, ((if all offices of the firm in this state are maintained and registered as required under)) meeting the requirements of RCW 18.04.205.

             (2) The board shall by rule, provide for a system of certificate and license renewal and reinstatement. Applicants for ((issuance or)) renewal ((of certificates or licenses)) or reinstatement shall, at the time of filing their applications, list with the board all states and foreign jurisdictions in which they hold or have applied for certificates, permits or licenses to practice.

             (3) An inactive certificate is renewed every three years with renewal subject to the requirements of ethics CPE and the payment of fees, prescribed by the board. Failure to renew the inactive certificate shall cause the inactive certificate to lapse and be subject to reinstatement. The board shall adopt rules providing for fees and procedures for renewal and reinstatement of inactive certificates.

             (4) A license is issued every three years with renewal subject to requirements of CPE and payment of fees, prescribed by the board. Failure to renew the license shall cause the license to lapse and become subject to reinstatement. Persons holding a lapsed license are prohibited from using the title "CPA" or "certified public accountant." Persons holding a lapsed license are prohibited from practicing public accountancy. The board shall adopt rules providing for fees and procedures for issuance, renewal, and reinstatement of licenses.

             (5) The board shall adopt rules providing for CPE for licensees and certificate holders. The rules shall:

             (a) Provide that a licensee shall verify to the board that he or she has completed at least an accumulation of one hundred twenty hours of CPE during the last three-year period to maintain the license;

             (b) Establish CPE requirements; and

             (c) Establish when new licensees shall verify that they have completed the required CPE.

             (6) A certified public accountant who holds a ((permit or)) license issued by another state, and applies for a license in this state, may practice in this state from the date of filing a completed application with the board, until the board has acted upon the application provided the application is made prior to holding out as a certified public accountant in this state and no sanctions or investigations, deemed by the board to be pertinent to public accountancy by other jurisdictions or agencies are in process.

             (((4))) (7) A ((certified public accountant)) licensee shall submit to the board satisfactory proof of having completed an accumulation of one hundred twenty hours of ((continuing education)) CPE recognized and approved by the board during the preceding three years. Failure to furnish this evidence as required shall make the ((certificate invalid)) license lapse and subject to reinstatement procedures, unless the board determines the failure to have been due to retirement((,)) or reasonable cause((, or excusable neglect)).

             The board in its discretion may renew a certificate or license despite failure to furnish evidence of compliance with requirements of ((continuing professional education)) CPE upon condition that the applicant follow a particular program of ((continuing professional education)) CPE. In issuing rules and individual orders with respect to ((continuing professional education)) CPE requirements, the board, among other considerations, may rely upon guidelines and pronouncements of recognized educational and professional associations, may prescribe course content, duration, and organization, and may take into account the accessibility of ((continuing education)) CPE to ((applicants)) licensees and certificate holders and instances of individual hardship.

             (((5))) (8) Fees for ((issuance or)) renewal or reinstatement of certificates and licenses in this state shall be determined by the board under this chapter ((18.04 RCW)). Fees shall be paid by the applicant at the time the application form is filed with the board. The board by rule, may provide for proration of fees for ((certificates and)) licenses or certificates issued between normal renewal dates.

 

             Sec. 14. RCW 18.04.295 and 2000 c 171 s 1 are each amended to read as follows:

             The board ((of accountancy)) shall have the power to: Revoke, suspend, ((or)) refuse to renew ((a)), or reinstate a license or certificate ((or license, and may)); impose a fine in an amount not to exceed ((one)) ten thousand dollars plus the board's investigative and legal costs in bringing charges against a certified public accountant, ((or)) a certificate holder, a licensee, a licensed firm, or a nonlicensee holding an ownership interest in a licensed firm; may impose full restitution to injured parties; may impose conditions precedent to renewal of ((the)) a certificate or a license ((of any certified public accountant)); or may prohibit a nonlicensee from holding an ownership interest in a licensed firm, for any of the following causes:

             (1) Fraud or deceit in obtaining a ((certificate as a certified public accountant, or in obtaining a)) license, or in any filings with the board;

             (2) Dishonesty, fraud, or negligence while representing oneself as a ((CPA)) nonlicensee owner holding an ownership interest in a licensed firm, a licensee, or a certificate holder;

             (3) A violation of any provision of this chapter;

             (4) A violation of a rule of professional conduct promulgated by the board under the authority granted by this chapter;

             (5) Conviction of a crime or an act constituting a crime under:

             (a) The laws of this state;

             (b) The laws of another state, and which, if committed within this state, would have constituted a crime under the laws of this state; or

             (c) Federal law;

             (6) Cancellation, revocation, suspension, or refusal to renew the authority to practice as a certified public accountant by any other state for any cause other than failure to pay a fee or to meet the requirements of ((continuing education)) CPE in the other state;

             (7) Suspension or revocation of the right to practice matters relating to public accounting before any state or federal agency;

             For purposes of subsections (6) and (7) of this section, a certified copy of such revocation, suspension, or refusal to renew shall be prima facie evidence;

             (8) Failure to maintain compliance with the requirements for issuance, renewal, or reinstatement of ((the)) a certificate or license, or to report changes to the board;

             (9) Failure to cooperate with the board by:

             (a) Failure to furnish any papers or documents requested or ordered by the board;

             (b) Failure to furnish in writing a full and complete explanation covering the matter contained in the complaint filed with the board or the inquiry of the board;

             (c) Failure to respond to subpoenas issued by the board, whether or not the recipient of the subpoena is the accused in the proceeding;

             (10) Failure by a nonlicensee owner of a licensed firm to comply with the requirements of this chapter or board rule; and

             (11) Failure to comply with an order of the board.

 

             Sec. 15. RCW 18.04.305 and 1992 c 103 s 12 are each amended to read as follows:

             The board ((of accountancy)) may revoke, suspend, or refuse to renew the license issued to a firm if at any time the firm does not meet the requirements of this chapter for licensing, or for any of the causes enumerated in RCW 18.04.295, or for any of the following additional causes:

             (1) The revocation or suspension of the ((certificate as a certified public accountant)) sole-practitioner's license or the revocation or suspension or refusal to renew the ((certificate or)) license of any partner, manager, member, or shareholder; ((or))

             (2) The revocation, suspension, or refusal to renew the license ((or permit)) of the firm, or any partner, manager, member, or shareholder thereof, to practice public accounting in any other state or foreign jurisdiction for any cause other than failure to pay a fee or to meet the CPE requirements of ((continuing professional education in)) the other state or foreign jurisdiction;

             (3) Failure by a nonlicensee owner of a licensed firm to comply with the requirements of this chapter or board rule; or

             (4) Failure of the firm to comply with the requirements of this chapter or board rule.

 

             Sec. 16. RCW 18.04.335 and 1997 c 58 s 812 are each amended to read as follows:

             (1) Upon application in writing and after hearing pursuant to notice, the board may:

             (a) Modify the suspension of, or reissue a certificate or a license to, an individual whose certificate or license has been revoked or suspended; or

             (b) Modify the suspension of, or reissue a license to a firm whose license has been revoked, suspended, or which the board has refused to renew.

             (2) In the case of suspension for failure to comply with a support order under chapter 74.20A RCW ((or a residential or visitation order under chapter 26.09 RCW)), if the person has continued to meet all other requirements for reinstatement during the suspension, reissuance of a certificate or a license shall be automatic upon the board's receipt of a release issued by the department of social and health services stating that the individual is in compliance with the order.

 

             Sec. 17. RCW 18.04.345 and 1999 c 378 s 8 are each amended to read as follows:

             (1) No person may assume or use the designation "certified public accountant-inactive" or "CPA-inactive" or any other title, designation, words, letters, abbreviation, sign, card, or device tending to indicate that the person is a certified public accountant-inactive or CPA-inactive unless the person holds a ((valid)) certificate ((as a certified public accountant)). Persons holding only a certificate may not practice public accounting.

             (2) No person may hold himself or herself out to the public ((and)) or assume or use the designation "certified public accountant" or "CPA" or any other title, designation, words, letters, abbreviation, sign, card, or device tending to indicate that the person is a certified public accountant or CPA unless the person holds a ((valid certificate as a certified public accountant and holds a valid)) license ((to practice)) under RCW 18.04.215.

             (3) No firm may hold itself out to the public as offering to issue or issuing reports on financial statements, or assume or use the designation "certified public accountant" or "CPA" or any other title, designation, words, letters, abbreviation, sign, card, or device tending to indicate that the firm is composed of certified public accountants or CPAs, unless the firm is licensed under RCW 18.04.195((, holds a valid license to practice under RCW 18.04.215,)) and all offices of the firm in this state ((for the practice of public accounting)) are maintained and registered under RCW 18.04.205.

             (4) No person, partnership, limited liability company, or corporation offering accounting services to the public may hold himself, herself, or itself out to the public, or assume or use along, or in connection with his, hers, or its name, or any other name the title or designation "certified accountant," "chartered accountant," "licensed accountant," "licensed public accountant," "public accountant," or any other title or designation likely to be confused with "certified public accountant" or any of the abbreviations "CA," "LA," "LPA," or "PA," or similar abbreviations likely to be confused with "CPA." ((However, nothing in this chapter prohibits use of the title "accountant" by any person regardless of whether the person has been granted a certificate or holds a license under this chapter.))

             (5) No licensed firm may operate under an alias, a firm name, title, or "DBA" that differs from the firm name that is registered with the board.

             (6) No person may sign, affix, or associate his or her name or any trade or assumed name used by the person in his or her business to any report designated as an "audit," "review," or "compilation," unless the person holds a license to practice under RCW 18.04.215 and a firm license under RCW 18.04.195, and all of the person's offices in this state ((for the practice of public accounting are maintained and)) are licensed under RCW 18.04.205.

             (((6))) (7) No person may sign, affix, or associate a firm name to any report designated as an "audit," "review," or "compilation," unless the firm is licensed under RCW 18.04.195 and 18.04.215, and all of its offices in this state ((for the practice of public accounting)) are maintained and registered under RCW 18.04.205.

             (((7))) (8) No person, partnership, limited liability company, or corporation not holding a license to practice under RCW 18.04.215 may hold himself, herself, or itself out to the public as an "auditor" with or without any other description or designation by use of such word on any sign, card, letterhead, or in any advertisement or directory.

             (((8) No person may assume or use the designation "certified public accountant" or "CPA" in conjunction with names indicating or implying that there is a partnership or corporation, if there is in fact no bona fide partnership or corporation registered under RCW 18.04.195.

             (9) No person, partnership, or corporation holding a license under RCW 18.04.215 may hold himself, herself, or itself out to the public in conjunction with the designation "and Associates" or "and Assoc." unless he or she has in fact a partner or employee who holds a license under RCW 18.04.215.))

 

             Sec. 18. RCW 18.04.350 and 1992 c 103 s 15 are each amended to read as follows:

             (1) Nothing in this chapter prohibits any person not ((a certified public accountant)) holding a license from serving as an employee of a firm licensed((, or as assistant to, a certified public accountant or partnership composed of certified public accountants or corporation of certified public accountants holding a valid license)) under RCW 18.04.215. However, the employee or assistant shall not issue any accounting or financial statement over his or her name.

             (2) ((Nothing in this chapter prohibits a certified public accountant registered in another state, or any accountant of a foreign country holding a certificate, degree or license which permits him to practice therein from temporarily practicing in this state on professional business incident to his regular practice)) (a) An individual, whose principal place of business is not in this state, who has a valid certificate or license as a certified public accountant from another state, and (i) whose state of licensure has education, examination, and experience requirements that are deemed by the board to be substantially equivalent to this state's requirements or (ii) who, as an individual, has education, examination, and experience that are deemed by the board to be substantially equivalent to this state's requirement shall have all the privileges of license holders of this state without the need to obtain a license under RCW 18.04.105 or 18.04.195. However, such individuals shall notify the board, under such circumstances and in such manner as the board determines by rule, of their intent to enter the state under this section. The board shall have the authority to establish a fee for the practice privilege granted under this section by rule.

             (b) An individual that enters the state under this section and is granted this practice privilege shall abide by this chapter and the rules adopted under this chapter and shall be subject to discipline for violation of this chapter. However, such individual is exempt from the continuing education requirements of this chapter provided the individual has met the continuing education requirements of the state in which the individual holds a valid certificate or license. The board may accept NASBA's designation of the individual's state as substantially equivalent to national standards, or NASBA's designation of the applicant as substantially equivalent to national standards, as meeting the requirement for a certified public accountant to be substantially equivalent to this state's requirements.

             (c) Any certificate or license holder of another state exercising the privilege afforded under this section consents, as a condition of the grant of this privilege:

             (i) To the personal and subject matter jurisdiction of the board;

             (ii) To the appointment of the state board which issued the certificate or license as their agent upon whom process may be served in any action or proceeding by this state's board against the certificate holder or licensee.

             (d) A licensee of this state offering or rendering services or using their certified public accountant title in another state shall be subject to disciplinary action in this state for an act committed in another state for which the certificate or permit holder would be subject to discipline for an act committed in the other state provided the board receives timely notification of the act. Notwithstanding RCW 18.04.295, the board may investigate any complaint made by the board of accountancy of another state.

             (3) Nothing in this chapter prohibits a ((certified public accountant, a partnership, or corporation of certified public accountants)) licensee, a licensed firm, or any of their employees from disclosing any data in confidence to other certified public accountants, quality assurance or peer review teams, partnerships, limited liability companies, or corporations of public accountants or to the board or any of its employees engaged in conducting ((quality,)) quality assurance((,)) or peer reviews, or any one of their employees in connection with quality or peer reviews of that accountant's accounting and auditing practice conducted under the auspices of recognized professional associations.

             (4) Nothing in this chapter prohibits a ((certified public accountant, a partnership, or corporation of certified public accountants)) licensee, a licensed firm, or any of their employees from disclosing any data in confidence to any employee, representative, officer, or committee member of a recognized professional association, or to the board ((of accountancy)), or any of its employees or committees in connection with a professional investigation held under the auspices of recognized professional associations or the board ((of accountancy)).

             (5) Nothing in this chapter prohibits any officer, employee, partner, or principal of any organization:

             (a) From affixing his or her signature to any statement or report in reference to the affairs of the organization with any wording designating the position, title, or office which he or she holds in the organization; or

             (b) From describing himself or herself by the position, title, or office he or she holds in such organization.

             (6) Nothing in this chapter prohibits any person((,)) or ((partnership or corporation)) firm composed of persons not holding a license under RCW 18.04.215 from offering or rendering to the public bookkeeping, accounting, tax services, the devising and installing of financial information systems, management advisory, or consulting services, the preparation of tax returns, or the furnishing of advice on tax matters, the preparation of financial statements, written statements describing how such financial statements were prepared, or similar services, provided that persons, partnerships, limited liability companies, or corporations not holding a license under RCW 18.04.215 who offer or render these services do not designate any written statement as an "audit report," "review report," or "compilation report," do not issue any written statement which purports to express or disclaim an opinion on financial statements which have been audited, and do not issue any written statement which expresses assurance on financial statements which have been reviewed.

             (7) Nothing in this chapter prohibits any act of or the use of any words by a public official or a public employee in the performance of his or her duties.

             (8) Nothing contained in this chapter prohibits any person who holds only a valid ((certified public accountant)) certificate from assuming or using the designation "certified public accountant-inactive" or "CPA-inactive" or any other title, designation, words, letters, sign, card, or device tending to indicate the person is a ((certified public accountant)) certificate holder, provided, that such person ((shall)) does not ((hold himself or herself out to the public as engaged in the practice of public accounting unless that person holds a valid license in addition to the certificate under RCW 18.04.215)) perform or offer to perform for the public one or more kinds of services involving the use of accounting or auditing skills, including issuance of reports on financial statements or of one or more kinds of management advisory, financial advisory, consulting services, the preparation of tax returns, or the furnishing of advice on tax matters.

             (9) Nothing in this chapter prohibits the use of the title "accountant" by any person regardless of whether the person has been granted a certificate or holds a license under this chapter. Nothing in this chapter prohibits the use of the title "enrolled agent" or the designation "EA" by any person regardless of whether the person has been granted a certificate or holds a license under this chapter if the person is properly authorized at the time of use to use the title or designation by the United States department of the treasury. The board shall by rule allow the use of other titles by any person regardless of whether the person has been granted a certificate or holds a license under this chapter if the person using the titles or designations is authorized at the time of use by a nationally recognized entity sanctioning the use of board authorized titles.

 

             Sec. 19. RCW 18.04.370 and 1983 c 234 s 19 are each amended to read as follows:

             (1) Any person who violates any provision of this chapter, shall be guilty of a crime, as follows:

             (a) Any person who violates any provision of this chapter is guilty of a misdemeanor, and upon conviction thereof, shall be subject to a fine of not more than ((one)) ten thousand dollars, or to imprisonment for not more than six months, or to both such fine and imprisonment.

             (b) Notwithstanding (a) of this subsection, any person who uses a professional title intended to deceive the public, in violation of RCW 18.04.345, having previously entered into a stipulated agreement and order of assurance with the board, is guilty of a felony, and upon conviction thereof, is subject to a fine of not more than ten thousand dollars, or to imprisonment for not more than two years, or to both such fine and imprisonment.

             (2) With the exception of first time violations of RCW 18.04.345, subject to subsection (3) of this section whenever the board has reason to believe that any person is violating the provisions of this chapter it shall certify the facts to the prosecuting attorney of the county in which such person resides or may be apprehended and the prosecuting attorney shall cause appropriate proceedings to be brought against such person.

             (3) The board may elect to enter into a stipulated agreement and orders of assurance with persons in violation of RCW 18.04.345 who have not previously been found to have violated the provisions of this chapter. The board may order full restitution to injured parties as a condition of a stipulated agreement and order of assurance.

             (4) Nothing herein contained shall be held to in any way affect the power of the courts to grant injunctive or other relief as above provided.

 

             Sec. 20. RCW 18.04.380 and 1986 c 295 s 17 are each amended to read as follows:

             (1) The display or presentation by a person of a card, sign, advertisement, or other printed, engraved, or written instrument or device, bearing a person's name in conjunction with the words "certified public accountant" or any abbreviation thereof((, or "licensed public accountant" or any abbreviation thereof, or "public accountant" or any abbreviation thereof,)) shall be prima facie evidence in any action brought under this chapter that the person whose name is so displayed, caused or procured the display or presentation of the card, sign, advertisement, or other printed, engraved, or written instrument or device, and that the person is holding himself or herself out to be a licensee, a certified public accountant, or a ((public accountant holding a license to practice)) person holding a certificate under this chapter.

             (2) The display or presentation by a person of a card, sign, advertisement, or other printed, engraved, or written instrument or device, bearing a person's name in conjunction with the words certified public accountant-inactive or any abbreviation thereof is prima facie evidence in any action brought under this chapter that the person whose name is so displayed caused or procured the display or presentation of the card, sign, advertisement, or other printed, engraved, or written instrument or device, and that the person is holding himself or herself out to be a certified public accountant-inactive under this chapter.

             (3) In any ((such)) action under subsection (1) or (2) of this section, evidence of the commission of a single act prohibited by this chapter is sufficient to justify an injunction or a conviction without evidence of a general course of conduct.

 

             Sec. 21. RCW 18.04.390 and 1992 c 103 s 16 are each amended to read as follows:

             (1) In the absence of an express agreement between the ((certified public accountant)) licensee or licensed firm and the client to the contrary, all statements, records, schedules, working papers, and memoranda made by a ((certified public accountant)) licensee or licensed firm incident to or in the course of professional service to clients, except reports submitted by a ((certified public accountant to a client)) licensee or licensed firm, are the property of the ((certified public accountant)) licensee or licensed firm.

             (2) No statement, record, schedule, working paper, or memorandum may be sold, transferred, or bequeathed without the consent of the client or his or her personal representative or assignee, to anyone other than one or more surviving partners, shareholders, or new partners or new shareholders of the ((accountant)) licensee, partnership, limited liability company, or corporation, or any combined or merged partnership, limited liability company, or corporation, or successor in interest.

             (3) A licensee shall furnish to the board or to his or her client or former client, upon request and reasonable notice:

             (a) A copy of the licensee's working papers or electronic documents, to the extent that such working papers or electronic documents include records that would ordinarily constitute part of the client's records and are not otherwise available to the client; and

             (b) Any accounting or other records belonging to, or obtained from or on behalf of, the client that the licensee removed from the client's premises or received for the client's account; the licensee may make and retain copies of such documents of the client when they form the basis for work done by him or her.

             (4) Nothing in this section shall require a licensee to keep any work paper or electronic document beyond the period prescribed in any other applicable statute.

             (5) Nothing in this section should be construed as prohibiting any temporary transfer of workpapers or other material necessary in the course of carrying out peer reviews or as otherwise interfering with the disclosure of information pursuant to RCW 18.04.405.

 

             Sec. 22. RCW 18.04.405 and 1992 c 103 s 17 are each amended to read as follows:

             (1) A ((certified public accountant, a partnership or corporation of certified public accountants)) licensee, certificate holder, or licensed firm, or any of their employees shall not disclose any confidential information obtained in the course of a professional transaction except with the consent of the client or former client or as disclosure may be required by law, legal process, the standards of the profession, or as disclosure of confidential information is permitted by RCW 18.04.350 (3) and (4), 18.04.295(8), 18.04.390, and this section in connection with ((quality,)) quality assurance, or peer reviews, investigations, and any proceeding under chapter 34.05 RCW.

             (2) This section shall not be construed as limiting the authority of this state or of the United States or an agency of this state, the board, or of the United States to subpoena and use such confidential information obtained by a licensee, or any of their employees in the course of a professional transaction in connection with any investigation, public hearing, or other proceeding, nor shall this section be construed as prohibiting a licensee or certified public accountant whose professional competence has been challenged in a court of law or before an administrative agency from disclosing confidential information as a part of a defense to the court action or administrative proceeding.

             (3) The proceedings, records, and work papers of a review committee shall be privileged and shall not be subject to discovery, subpoena, or other means of legal process or introduction into evidence in any civil action, arbitration, administrative proceeding, or ((state accountancy)) board proceeding and no member of the review committee or person who was involved in the ((quality)) peer review process shall be permitted or required to testify in any such civil action, arbitration, administrative proceeding, or ((state accountancy)) board proceeding as to any matter produced, presented, disclosed, or discussed during or in connection with the ((quality)) peer review process, or as to any findings, recommendations, evaluations, opinions, or other actions of such committees, or any members thereof. Information, documents, or records that are publicly available are not to be construed as immune from discovery or use in any civil action, arbitration, administrative proceeding, or ((state accountancy)) board proceeding merely because they were presented or considered in connection with the quality assurance or peer review process.

 

             NEW SECTION. Sec. 23. (1) By December 1, 2002, the board of accountancy shall report to the senate committee on labor, commerce, and financial institutions and the house committee on commerce and labor, or successor committees, on the implementation of this act, including but not limited to the provisions governing nonlicensee owners of CPA firms and the fiscal impacts.

             (2) This section does not affect the board's authority to proceed with implementation of this act.

             (3) This section expires January 1, 2003.

 

             NEW SECTION. Sec. 24. 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 July 1, 2001."

 

             Correct the title.

 

Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Lisk, Republican Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Alexander, Barlean, Benson, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Lambert, Linville, Lisk, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Sehlin, Sommers, Talcott, and Tokuda.

             Excused: Representatives Boldt, Gombosky, and Kessler.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SB 5604            Prime Sponsor, Senator Spanel: Allowing the liquor control board to authorize controlled purchase programs. Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 66.44.290 and 1965 c 49 s 1 are each amended to read as follows:

             Every person under the age of twenty-one years who purchases or attempts to purchase liquor shall be guilty of a violation of this title. This section does not apply to persons between the ages of eighteen and twenty-one years who are participating in a controlled purchase program authorized by the liquor control board under rules adopted by the board. Licensees conducting private controlled purchases authorized by the liquor control board must provide written notice describing the controlled purchase program to the licensee's employees. Licensees may not contract with third parties for the conduct of private controlled purchase programs authorized by the liquor control board. Controlled purchases under this section may be coordinated and conducted by the licensee only and may include the participation of the licensee's employees and volunteers only. Violations occurring under a private, controlled purchase program authorized by the liquor control board may not be used for criminal or administrative prosecution."

 

             Correct the title.

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5610       Prime Sponsor, Senate Committee on Transportation: Regulating traffic safety cameras. 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 46.63 RCW to read as follows:

             (1) The use of traffic safety cameras is subject to the following regulations:

             (a) The appropriate legislative authority must enact an ordinance allowing for their use to detect one or more of the following: Stoplight or railroad crossing or speeding in a construction zone violations. When traffic safety cameras are used to detect speeding in a construction zone, the ordinance must require the appropriate governmental transportation entity to establish the traffic safety camera zone. At a minimum, the local ordinance must contain the restrictions described in sections 1 through 4 of this act. Cities and counties using traffic safety cameras before the effective date of this act are subject to the restrictions described in sections 1 through 4 of this act, but are not required to enact an authorizing ordinance.

             (b) Traffic safety cameras may take pictures of the vehicle and the vehicle license plate only.

             (c) The jurisdiction must develop a public notification program for areas in which traffic safety cameras will be used. Under their respective jurisdictions, the law enforcement agency shall plainly mark the locations where the traffic safety cameras are used by placing signs on street locations that clearly indicate to a driver that he or she is entering a zone where traffic laws are enforced by traffic safety cameras.

             (d) A notice of traffic infraction must be mailed to the registered owner of the vehicle within fourteen days of the infraction occurring. The jurisdiction must not issue an additional infraction to the registered owner of the vehicle during the fourteen-day notification period.

             (e) A person receiving a notice of traffic infraction based on evidence detected by a traffic safety camera may respond to the notice by mail.

             (2) Infractions detected through the use of traffic safety cameras will be recorded as are stopping, standing, or parking violations under RCW 46.61.560, but are not part of the registered owner's driving record under RCW 46.52.101 and 46.52.120.

             (3) The traffic safety commission may adopt rules regarding:

             (a) Mechanical and operational standards for traffic safety camera equipment;

             (b) The placement of signs to notify drivers that they are entering a jurisdiction or area that uses traffic safety cameras;

             (c) Recommendations on how cities and counties will educate the public about traffic safety cameras.

             (4) Jurisdictions using traffic safety cameras must comply with any standards adopted under subsection (3) of this section.

 

             Sec. 2. RCW 46.63.030 and 1995 c 219 s 5 are each amended to read as follows:

             (1) A law enforcement officer has the authority to issue a notice of traffic infraction:

             (a) When the infraction is committed in the officer's presence;

             (b) When the officer is acting upon the request of a law enforcement officer in whose presence the traffic infraction was committed; ((or))

             (c) If an officer investigating at the scene of a motor vehicle accident has reasonable cause to believe that the driver of a motor vehicle involved in the accident has committed a traffic infraction; or

             (d) When a notice of traffic infraction may be mailed to the registered owner of or the person renting a vehicle as authorized under subsection (2) of this section.

             (2) When a traffic safety camera is used in compliance with section 1 of this act, a law enforcement officer, whether present or not during the commission of the infraction, or other issuing agency may issue a notice of traffic infraction by mail to the registered owner of the vehicle or the person renting the vehicle. The registered owner of the vehicle or the person renting the vehicle is responsible for the infraction.

             (3) A court may issue a notice of traffic infraction upon receipt of a written statement of the officer that there is reasonable cause to believe that an infraction was committed.

             (((3))) (4) If any motor vehicle without a driver is found parked, standing, or stopped in violation of this title or an equivalent administrative regulation or local law, ordinance, regulation, or resolution, the officer finding the vehicle shall take its registration number and may take any other information displayed on the vehicle which may identify its user, and shall conspicuously affix to the vehicle a notice of traffic infraction.

             (((4))) (5) In the case of failure to redeem an abandoned vehicle under RCW 46.55.120, upon receiving a complaint by a registered tow truck operator that has incurred costs in removing, storing, and disposing of an abandoned vehicle, an officer of the law enforcement agency responsible for directing the removal of the vehicle shall send a notice of infraction by certified mail to the last known address of the registered owner of the vehicle. The officer shall append to the notice of infraction, on a form prescribed by the department of licensing, a notice indicating the amount of costs incurred as a result of removing, storing, and disposing of the abandoned vehicle, less any amount realized at auction, and a statement that monetary penalties for the infraction will not be considered as having been paid until the monetary penalty payable under this chapter has been paid and the court is satisfied that the person has made restitution in the amount of the deficiency remaining after disposal of the vehicle.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 46.63 RCW to read as follows:

             The registered owner of a vehicle is responsible for an infraction under RCW 46.63.030(2) unless within fifteen days after notification of the infraction the registered owner furnishes the officials or agents of the municipality that issued the notice of infraction with:

             (1) An affidavit made under oath, stating that the vehicle involved was, at the time, stolen or in the care, custody, or control of some person other than the registered owner; or

             (2) Testimony in open court under oath that the person was not the operator of the vehicle at the time of the alleged infraction.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 46.63 RCW to read as follows:

             If a notice of traffic infraction is sent to the registered owner under RCW 46.63.030(2) and the registered owner is a rental car business, the infraction will be dismissed against the business if it mails to the issuing agency, within fourteen days of receiving the notice, the name and known mailing address of the individual driving or renting the vehicle when the infraction occurred. If the business is unable to determine who was driving or renting the vehicle at the time the infraction occurred, the business must sign an affidavit making this declaration. The affidavit must be mailed to the issuing agency within fourteen days of receiving the notice of infraction. An affidavit form suitable for this purpose must be included with each infraction issued, along with instructions for its completion and use.

 

             Sec. 5. RCW 46.63.140 and 1980 c 128 s 11 are each amended to read as follows:

             (1) In any traffic infraction case involving a violation of this title or equivalent administrative regulation or local law, ordinance, regulation, or resolution relating to the stopping, standing, or parking of a vehicle, proof that the particular vehicle described in the notice of traffic infraction was stopping, standing, or parking in violation of any such provision of this title or an equivalent administrative regulation or local law, ordinance, regulation, or resolution, together with proof that the person named in the notice of traffic infraction was at the time of the violation the registered owner of the vehicle, ((shall)) constitute in evidence a prima facie presumption that the registered owner of the vehicle was the person who parked or placed the vehicle at the point where, and for the time during which, the violation occurred.

             (2) The foregoing stated presumption ((shall apply)) applies only when the procedure prescribed in RCW 46.63.030(((3))) (4) has been followed.

 

             NEW SECTION. Sec. 6. The legislature respectfully requests the Washington state supreme court to amend the Infraction Rules for Courts of Limited Jurisdiction to conform to this act. Furthermore, the legislature respectfully asks the court to create a notice of traffic infraction that is consistent with this act.

             For two years following the effective date of this act, those local jurisdictions using traffic safety cameras shall send to the state treasurer for deposit into the judicial information systems ten dollars of the local share of the penalty of each paid infraction detected by use of the cameras to offset the court's computer programming costs associated with this act. The administrator for the courts shall notify the jurisdictions using the cameras if the court's costs have been satisfied before two years have expired. The administrator for the courts shall report to the transportation committees of the house of representatives and the senate by January 1, 2003, on the status of the repayment and the actual costs accrued for related computer programming."

 

Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Edmonds; Haigh; Hurst; Jackley; Jarrett; Marine; Murray; Ogden; Rockefeller; Romero; Simpson and Woods.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Ericksen, Republican Vice Chair; Armstrong; G. Chandler; Hatfield; Mielke; Morell; Schindler; Skinner and Sump.

 

             Voting yea: Representatives Ahern, Anderson, Cooper, Edmonds, Fisher, Haigh, Hankins, Hurst, Jackley, Jarrett, Lovick, Marine, Mitchell, Murray, Rockefeller, Romero, Simpson, and Woods.

             Voting nay: Representatives Armstrong, G. Chandler, Ericksen, Hatfield, Mielke, Morell, Schindler, Skinner, and Sump.

             Excused: Representatives Ogden, Reardon, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5621          Prime Sponsor, Senate Committee on Agriculture & International Trade: Authorizing animal massage. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, line 27, after "techniques." strike all material through "section."

 

             On page 2, line 28, after "(2)" insert "An applicant who applies for an endorsement within the first year following the effective date of this act may submit documentation of a minimum of fifty hours of training with up to fifty hours of practical experience or continuing education, or a combination thereof, to fulfill the requirements of this section.

             (3)"

 

             Renumber the remaining subsection consecutively and correct any internal references accordingly.

 

             On page 2, after line 34, insert the following:

             "(5) The board may adopt rules to implement this section."

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

SSB 5637          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Creating a program of watershed health monitoring and assessments. Reported by Committee on 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 a comprehensive program of monitoring is fundamental to making sound public policy and programmatic decisions regarding salmon recovery and watershed health. Monitoring provides accountability for results of management actions and provides the data upon which an adaptive management framework can lead to improvement of strategies and programs. Monitoring is also a required element of any salmon recovery plan submitted to the federal government for approval. While numerous agencies and citizen organizations are engaged in monitoring a wide range of salmon recovery and watershed health parameters, there is a greater need for coordination of monitoring efforts, for using limited monitoring resources to obtain information most useful for achieving relevant local, state, and federal requirements regarding watershed health and salmon recovery, and for making the information more accessible to those agencies and organizations implementing watershed health programs and projects. Regarding salmon recovery monitoring, the state independent science panel has concluded that many programs already monitor indicators relevant to salmonids, but the efforts are largely uncoordinated or unlinked among programs, have different objectives, use different indicators, lack support for sharing data, and lack shared statistical designs to address specific issues raised by listing of salmonid species under the federal endangered species act.

             Therefore, it is the intent of the legislature to encourage the refocusing of existing agency monitoring activities necessary to implement a comprehensive watershed health monitoring program, with a focus on salmon recovery. The program should: Be based on a framework of greater coordination of existing monitoring activities; require monitoring activities most relevant to adopted local, state, and federal watershed health objectives; and facilitate the exchange of monitoring information with agencies and organizations carrying out watershed health, salmon recovery, and water resources management planning and programs.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 90.82 RCW to read as follows:

             In conducting assessments and other studies that include monitoring components or recommendations, the department and planning units shall implement the monitoring recommendations developed under section 3 of this act.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 77.85 RCW to read as follows:

             (1) The monitoring oversight committee is hereby established. The committee shall be comprised of the directors or their designated representatives of:

             (a) The salmon recovery office;

             (b) The department of ecology;

             (c) The department of fish and wildlife;

             (d) The conservation commission;

             (e) The Puget Sound action team;

             (f) The department of natural resources;

             (g) The department of transportation;

             (h) The interagency committee for outdoor recreation; and

             (i) Eight legislators designated as follows: The cochairs of the natural resources committee of the house of representatives; the chair and the ranking minority member of the senate natural resources, parks, and shorelines committee; the cochairs of the agriculture and ecology committee of the house of representatives; and the chair and the ranking minority member of the senate environment, energy, and water committee.

             (2) The director of the salmon recovery office and the chair of the salmon recovery funding board shall cochair the committee. The cochairs shall convene the committee as necessary to develop, for the consideration of the governor and legislature, a comprehensive and coordinated monitoring strategy and action plan on watershed health with a focus on salmon recovery. The committee shall invite representation from the treaty tribes to participate in the committee's efforts. In addition, the committee shall invite participation by other state, local, and federal agencies and other entities as appropriate. The committee shall address the monitoring recommendations of the independent science panel provided under RCW 77.85.040(7) and of the joint legislative audit and review committee in its report number 01-1 on investing in the environment.

             (3) The independent science panel shall act as an advisor to the monitoring oversight committee and shall review all work products developed by the committee and make recommendations to the committee cochairs.

             (4) The committee may make recommendations to individual agencies to improve coordination of monitoring activities.

             (5) The committee shall:

             (a) Define the monitoring goals, objectives, and questions that must be addressed as part of a comprehensive statewide salmon recovery monitoring and adaptive management framework;

             (b) Identify and evaluate existing monitoring activities for inclusion in the framework, while ensuring data consistency and coordination and the filling of monitoring gaps;

             (c) Recommend statistical designs appropriate to the objectives;

             (d) Recommend performance measures appropriate to the objectives and targeted to the appropriate geographical, temporal, and biological scales;

             (e) Recommend standardized monitoring protocols for salmon recovery and watershed health;

             (f) Recommend procedures to ensure quality assurance and quality control of all relevant data;

             (g) Recommend data transfer protocols to support easy access, sharing, and coordination among different collectors and users;

             (h) Recommend ways to integrate monitoring information into decision making;

             (i) Recommend organizational and governance structures for oversight and implementation of the coordinated monitoring framework;

             (j) Recommend stable sources of funding that will ensure the continued operation and maintenance of the state's salmon recovery and watershed health monitoring programs, once established; and

             (k) Identify administrative actions that will be undertaken by state agencies to implement elements of the coordinated monitoring program.

             (6) In developing the coordinated monitoring strategy, the committee shall coordinate with other appropriate state, federal, local, and tribal monitoring efforts, including but not limited to the Northwest power planning council, the Northwest Indian fisheries commission, the national marine fisheries service, and the United States fish and wildlife service. The committee shall also consult with watershed planning units under chapter 90.82 RCW, lead entities under this chapter, professional organizations, and other appropriate groups.

             (7) The cochairs shall provide an interim report to the governor and the members of the appropriate legislative committees by March 1, 2002, on the progress made in implementing this section. By December 1, 2002, the committee shall provide a monitoring strategy and action plan to the governor, and the members of the appropriate legislative committees for achieving a comprehensive watershed health monitoring program with a focus on salmon recovery. The strategy and action plan shall document the results of the committee's actions in addressing the responsibilities described in subsection (5) of this section. In addition, the monitoring strategy and action plan shall include an assessment of existing state agency operations related to monitoring, evaluation, and adaptive management of watershed health and salmon recovery, and shall recommend any operational or statutory changes and funding necessary to fully implement the enhanced coordination program developed under this section. The plan shall make recommendations based upon the goal of fully realizing an enhanced and coordinated monitoring program by June 30, 2007."

 

             Correct the title.

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer Ericksen, Jackley, Murray and Pennington.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5638          Prime Sponsor, Senate Committee on State & Local Government: Making technical corrections to county treasurer statutes. Reported by Committee on Local Government & Housing

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 35.02.140 and 1986 c 234 s 20 are each amended to read as follows:

             Whenever in any territory forming a part of an incorporated city or town which is part of a road district, and road district regular property taxes are collectable on any property within such territory, the same shall, when collected by the county treasurer, be paid to such city or town and placed in the city or town street fund by the city or town((: PROVIDED, That)); except that road district taxes that are delinquent before the date of incorporation shall be paid to the county and placed in the county road fund. This section shall not apply to excess property tax levies securing general indebtedness or any special assessments due in behalf of such property.

 

             Sec. 2. RCW 35.13.270 and 1998 c 106 s 1 are each amended to read as follows:

             Whenever any territory is annexed to a city or town which is part of a road district of the county and road district taxes have been levied but not collected on any property within the annexed territory, the same shall when collected by the county treasurer be paid to the city or town and by the city or town placed in the city or town street fund((: PROVIDED, That)); except that road district taxes that are delinquent before the date of annexation shall be paid to the county and placed in the county road fund. This section shall not apply to any special assessments due in behalf of such property. The city or town is required to provide notification by certified mail, that includes a list of annexed parcel numbers, to the county treasurer and assessor at least thirty days before the effective date of the annexation. The county treasurer is only required to remit to the city or town those road taxes collected thirty days or more after receipt of the notification.

 

             Sec. 3. RCW 35A.14.801 and 1998 c 106 s 2 are each amended to read as follows:

             Whenever any territory is annexed to a code city which is part of a road district of the county and road district taxes have been levied but not collected on any property within the annexed territory, the same shall when collected by the county treasurer be paid to the code city and by the city placed in the city street fund((: PROVIDED, That)); except that road district taxes that are delinquent before the date of annexation shall be paid to the county and placed in the county road fund. This section shall not apply to any special assessments due in behalf of such property. The code city is required to provide notification by certified mail, that includes a list of annexed parcel numbers, to the county treasurer and assessor at least thirty days before the effective date of the annexation. The county treasurer is only required to remit to the code city those road taxes collected thirty or more days after receipt of the notification.

 

             Sec. 4. RCW 36.29.010 and 1998 c 106 s 3 are each amended to read as follows:

             The county treasurer:

             (1) Shall receive all money due the county and disburse it on warrants issued and attested by the county auditor and electronic funds transfer under RCW 39.58.750 as attested by the county auditor;

             (2) Shall issue a receipt in duplicate for all money received other than taxes; the treasurer shall deliver immediately to the person making the payment the original receipt and the duplicate shall be retained by the treasurer;

             (3) Shall affix on the face of all paid warrants the date of redemption or, in the case of proper contract between the treasurer and a qualified public depositary, the treasurer may consider the date affixed by the financial institution as the date of redemption;

             (4) Shall ((indorse)) endorse, before the date of issue by the county or by any taxing district for whom the county treasurer acts as treasurer, on the face of all warrants for which there are not sufficient funds for payment, "interest bearing warrant." When there are funds to redeem outstanding warrants, the county treasurer shall give notice:

             (a) By publication in a legal newspaper published or circulated in the county; or

             (b) By posting at three public places in the county if there is no such newspaper; or

             (c) By notification to the financial institution holding the warrant;

             (5) Shall pay interest on all interest-bearing warrants from the date of issue to the date of notification;

             (6) Shall maintain financial records reflecting receipts and disbursement by fund in accordance with generally accepted accounting principles;

             (7) Shall account for and pay all bonded indebtedness for the county and all special districts for which the county treasurer acts as treasurer;

             (8) Shall invest all funds of the county or any special district in the treasurer's custody, not needed for immediate expenditure, in a manner consistent with appropriate statutes. If cash is needed to redeem warrants issued from any fund in the custody of the treasurer, the treasurer shall liquidate investments in an amount sufficient to cover such warrant redemptions; and

             (9) May provide certain collection services for county departments.

             The treasurer, at the expiration of the term of office, shall make a complete settlement with the county legislative authority, and shall deliver to the successor all public money, books, and papers in the treasurer's possession.

 

             Sec. 5. RCW 36.29.050 and 1969 ex.s. c 48 s 1 are each amended to read as follows:

             When the county treasurer redeems any warrant on which interest is due, ((he)) the treasurer shall enter on ((his)) the warrant register account the amount of interest paid, distinct from the principal.

 

             Sec. 6. RCW 36.29.090 and 1963 c 4 s 36.29.090 are each amended to read as follows:

             Whenever an action based upon official misconduct is commenced against any county treasurer the county commissioners may suspend ((him)) the treasurer from office until such suit is determined, and may appoint some person to fill the vacancy.

 

             Sec. 7. RCW 36.29.100 and 1963 c 4 s 36.29.100 are each amended to read as follows:

             The county treasurer of each county in which there is a city of the first class is ex officio collector of city taxes of such city, and before entering upon the duties of ((his)) office ((he)) the treasurer shall execute in favor of the city and file with the clerk thereof a good and sufficient bond, the penal sum to be fixed by the city council, such bond to be approved by the mayor of such city or other authority thereof by whom the bond of the city treasurer is required to be approved. All special assessments and special taxation for local improvements assessed on property benefited shall be collected by the city treasurer.

 

             Sec. 8. RCW 36.29.160 and 1998 c 106 s 4 are each amended to read as follows:

             The county treasurer shall make segregation, collect, and receive from any owner or owners of any subdivision or portion of any lot, tract or parcel of land upon which assessments or charges have been made or may be made by public utility districts, water-sewer districts, or the county, under the terms of Title 54 RCW, Title 57 RCW, or chapter 36.88, 36.89, or 36.94 RCW, such portion of the assessments or charges levied or to be levied against such lot, tract or parcel of land in payment of such assessment or charges as the board of commissioners of the public utility district, the water-sewer district commissioners or the board of county commissioners, respectively, shall certify to be chargeable to such subdivision, which certificate shall state that such property as segregated is sufficient security for the assessment or charges. Upon making collection upon any such subdivision the county treasurer shall note such payment upon ((his)) the records of the office of the treasurer and give receipt therefor. When a segregation is required, a certified copy of the resolution shall be delivered to the treasurer of the county in which the real property is located who shall proceed to make the segregation ordered upon being tendered a fee of three dollars for each tract of land for which a segregation is to be made.

 

             Sec. 9. RCW 36.29.170 and 1963 c 4 s 36.29.170 are each amended to read as follows:

             The county treasurer shall keep ((his)) the office of the treasurer at the ((seat of justice of his)) county seat, and shall keep the same open for transaction of business during business hours; and ((he and his)) the treasurer and the treasurer's deputy are authorized to administer all oaths necessary in the discharge of the duties of ((his)) the office.

 

             Sec. 10. RCW 36.35.120 and 1993 c 310 s 1 are each amended to read as follows:

             Real property acquired by any county of this state by foreclosure of delinquent taxes may be sold by order of the county legislative authority of the county when in the judgment of the county legislative authority it is deemed in the best interests of the county to sell the real property.

             When the legislative authority desires to sell any such property it may, if deemed advantageous to the county, combine any or all of the several lots and tracts of such property in one or more units, and may reserve from sale coal, oil, gas, gravel, minerals, ores, fossils, timber, or other resources on or in the lands, and the right to mine for and remove the same, and it shall then enter an order on its records fixing the unit or units in which the property shall be sold and the minimum price for each of such units, and whether the sale will be for cash or whether a contract will be offered, and reserving from sale such of the resources as it may determine and from which units such reservations shall apply, and directing the county treasurer to sell such property in the unit or units and at not less than the price or prices and subject to such reservations so fixed by the county legislative authority. The order shall be subject to the approval of the county treasurer if several lots or tracts of land are combined in one unit.

             Except in cases where the sale is to be by direct negotiation as provided in ((this chapter)) RCW 36.35.150, it shall be the duty of the county treasurer upon receipt of such order to publish once a week for three consecutive weeks a notice of the sale of such property in a newspaper of general circulation in the county where the land is situated. The notice shall describe the property to be sold, the unit or units, the reservations, and the minimum price fixed in the order, together with the time and place and terms of sale, in the same manner as foreclosure sales as provided by RCW 84.64.080.

             The person making the bid shall state whether he or she will pay cash for the amount of his or her bid or accept a real estate contract of purchase in accordance with the provisions hereinafter contained. The person making the highest bid shall become the purchaser of the property. If the highest bidder is a contract bidder the purchaser shall be required to pay thirty percent of the total purchase price at the time of the sale and shall enter into a contract with the county as vendor and the purchaser as vendee which shall obligate and require the purchaser to pay the balance of the purchase price in ten equal annual installments commencing November 1st and each year following the date of the sale, and shall require the purchaser to pay twelve percent interest on all deferred payments, interest to be paid at the time the annual installment is due; and may contain a provision authorizing the purchaser to make payment in full at any time of any balance due on the total purchase price plus accrued interest on such balance. The contract shall contain a provision requiring the purchaser to pay before delinquency all subsequent taxes and assessments that may be levied or assessed against the property subsequent to the date of the contract, and shall contain a provision that time is of the essence of the contract and that in event of a failure of the vendee to make payments at the time and in the manner required and to keep and perform the covenants and conditions therein required of him or her that the contract may be forfeited and terminated at the election of the vendor, and that in event of the election all sums theretofore paid by the vendee shall be forfeited as liquidated damages for failure to comply with the provisions of the contract; and shall require the vendor to execute and deliver to the vendee a deed of conveyance covering the property upon the payment in full of the purchase price, plus accrued interest.

             The county legislative authority may by order entered in its records, direct the coal, oil, gas, gravel, minerals, ores, timber, or other resources sold apart from the land, such sale to be conducted in the manner hereinabove prescribed for the sale of the land. Any such reserved minerals or resources not exceeding two hundred dollars in value may be sold, when the county legislative authority deems it advisable, either with or without such publication of the notice of sale, and in such manner as the county legislative authority may determine will be most beneficial to the county.

 

             Sec. 11. RCW 36.35.150 and 1997 c 244 s 2 are each amended to read as follows:

             The county legislative authority may dispose of tax foreclosed property by private negotiation, without a call for bids, for not less than the principal amount of the unpaid taxes in any of the following cases: (1) When the sale is to any governmental agency and for public purposes; (2) when the county legislative authority determines that it is not practical to build on the property due to the physical characteristics of the property or legal restrictions on construction activities on the property; (3) when the property has an assessed value of less than five hundred dollars and the property is sold to an adjoining landowner; or (4) when no acceptable bids were received at the attempted public auction of the property, if the sale is made within ((six)) twelve months from the date of the attempted public auction.

 

             Sec. 12. RCW 36.96.040 and 1979 ex.s. c 5 s 4 are each amended to read as follows:

             After such hearings, the county legislative authority shall make written findings whether each of the special purpose districts that was a subject of the hearings meets each of the criteria of being "inactive." Whenever a special purpose district other than a public utility district has been found to meet a criterion of being inactive, or a public utility district has been found to meet both criteria of being inactive, the county legislative authority shall adopt an ordinance dissolving the special purpose district if it also makes additional written findings detailing why it is in the public interest that the special purpose district be dissolved, and shall provide a copy of the ordinance to the county treasurer. Except for the purpose of winding up its affairs as provided by this chapter, a special purpose district that is so dissolved shall cease to exist and the authority and obligation to carry out the purposes for which it was created shall cease thirty-one days after adoption of the dissolution ordinance.

 

             Sec. 13. RCW 36.96.070 and 1979 ex.s. c 5 s 7 are each amended to read as follows:

             Any moneys or funds of the dissolved special purpose district and any moneys or funds received by the board of trustees from the sale or other disposition of any property of the dissolved special purpose district shall be used, to the extent necessary, for the payment or settlement of any outstanding obligations of the dissolved special purpose district. Any remaining moneys or funds shall be used to pay the county legislative authority for all costs and expenses incurred in the dissolution and liquidation of the dissolved special purpose district. Thereafter, any remaining moneys, funds, or property shall become that of the county in which the dissolved special purpose district was located((: PROVIDED, That)). However, if the territory of the dissolved special purpose district was located within more than one county, the remaining moneys, funds, and personal property shall be apportioned and distributed to each county in the proportion that the geographical area of the dissolved special purpose district within the county bears to the total geographical area of the dissolved special purpose district, and any remaining real property or improvements to real property shall be transferred to the county within whose boundaries it lies. A county to which real property or improvements to real property are transferred under this section does not have an obligation to use the property or improvements for the purposes for which the dissolved special purpose district used the property or improvements and the county does not assume the obligations or liabilities of the dissolved special purpose district as a result of the transfer.

 

             Sec. 14. RCW 39.44.200 and 1990 c 220 s 1 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout RCW 39.44.200 through 39.44.240.

             (1) "Bond" means "bond" as defined in RCW 39.46.020, but also includes any other indebtedness that may be issued by any local government to fund private activities or purposes where the indebtedness is of a nonrecourse nature payable from private sources, including debt issued under chapter 39.50 RCW.

             (2) "Local government" means "local government" as defined in RCW 39.46.020.

             (3) "Type of bond" includes: (a) General obligation bonds, including councilmanic and voter-approved bonds; (b) revenue bonds; (c) local improvement district bonds; (d) special assessment bonds such as those issued by irrigation districts and diking districts; and (e) other classes of bonds.

             (4) "State" means "state" as defined in RCW 39.46.020 but also includes any commissions or other entities of the state.

 

             Sec. 15. RCW 39.46.020 and 1995 c 38 s 6 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Bond" means any agreement which may or may not be represented by a physical instrument, including notes, warrants, or certificates of indebtedness, that evidences an indebtedness of the state or a local government or a fund thereof, where the state or local government agrees to pay a specified amount of money, with or without interest, at a designated time or times to either registered owners or bearers, including debt issued under chapter 39.50 RCW.

             (2) "Local government" means any county, city, town, special purpose district, political subdivision, municipal corporation, or quasi municipal corporation, including any public corporation created by such an entity.

             (3) "Obligation" means an agreement that evidences an indebtedness of the state or a local government, other than a bond, and includes, but is not limited to, conditional sales contracts, lease obligations, and promissory notes.

             (4) "State" includes the state, agencies of the state, and public corporations created by the state or agencies of the state.

             (5) "Treasurer" means the state treasurer, county treasurer, city treasurer, or treasurer of any other municipal corporation.

 

             Sec. 16. RCW 39.50.010 and 1999 c 153 s 54 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) "Governing body" means the legislative authority of a municipal corporation by whatever name designated;

             (2) "Local improvement district" includes local improvement districts, utility local improvement districts, road improvement districts, and other improvement districts that a municipal corporation is authorized by law to establish;

             (3) "Municipal corporation" means any city, town, county, water-sewer district, school district, port district, public utility district, metropolitan municipal corporation, public transportation benefit area, park and recreation district, irrigation district, fire protection district or any other municipal or quasi municipal corporation described as such by statute, or regional transit authority, except joint operating agencies under chapter 43.52 RCW;

             (4) "Ordinance" means an ordinance of a city or town or resolution or other instrument by which the governing body of the municipal corporation exercising any power under this chapter takes formal action and adopts legislative provisions and matters of some permanency; and

             (5) "Short-term obligations" are warrants, notes, capital leases, or other evidences of indebtedness, except bonds.

 

             Sec. 17. RCW 39.50.030 and 1995 c 38 s 9 are each amended to read as follows:

             (1) The issuance of short-term obligations shall be authorized by ordinance of the governing body which ordinance shall fix the maximum amount of the obligations to be issued or, if applicable, the maximum amount which may be outstanding at any time, the maximum term and interest rate or rates to be borne thereby, the manner of sale, maximum price, form including bearer or registered as provided in RCW 39.46.030, terms, conditions, and the covenants thereof. For those municipalities and taxing and assessment districts for which the county treasurer is not the designated treasurer by law, the ordinance may provide for designation and employment of a paying agent for the short-term obligations and may authorize a designated representative of the municipal corporation, ((or if the county, the county treasurer to act on its behalf and)) subject to the terms of the ordinance in selling and delivering short-term obligations authorized and fixing the dates, price, interest rates, and other details as may be specified in the ordinance. For the county and those taxing and assessment districts for which the county treasurer is the designated treasurer by law or other appointment, the county treasurer shall be notified thirty days in advance of borrowing under this chapter and will be the designated paying agent to act on its behalf for all payments of principal, interest, and penalties for that obligation, subject to the terms of the ordinance in selling and delivering short-term obligations authorized and fixing the dates, price, interest rates, and other details as may be specified in the ordinance. Short-term obligations issued under this section shall bear such fixed or variable rate or rates of interest as the governing body considers to be in the best interests of the municipal corporation. Variable rates of interest may be fixed in relationship to such standard or index as the governing body designates.

             The governing body may make contracts for the future sale of short-term obligations pursuant to which the purchasers are committed to purchase the short-term obligations from time to time on the terms and conditions stated in the contract, and may pay such consideration as it considers proper for the commitments. Short-term obligations issued in anticipation of the receipt of taxes shall be paid within six months from the end of the fiscal year in which they are issued. For the purpose of this subsection, short-term obligations issued in anticipation of the sale of general obligation bonds shall not be considered to be obligations issued in anticipation of the receipt of taxes.

             (2) Notwithstanding subsection (1) of this section, such short-term obligations may be issued and sold in accordance with chapter 39.46 RCW.

 

             Sec. 18. RCW 84.38.140 and 1984 c 220 s 27 are each amended to read as follows:

             (1) The ((county treasurer)) department shall collect all the amounts deferred together with interest under this chapter((,)). However, in the event that the department is unable to collect an amount deferred together with interest, that amount deferred together with interest shall be collected by the county treasurer in the manner provided for in chapter 84.56 RCW. For purposes of collection of deferred taxes, the provisions of chapters 84.56, 84.60, and 84.64 RCW shall be applicable.

             (2) When any deferred special assessment and/or real property taxes together with interest are collected the moneys shall be ((credited to a special account in the county treasury. The county treasurer shall remit the amount of deferred special assessment and/or real property taxes together with interest to the department within thirty days from the date of collection.

             (3) The department shall deposit the deferred taxes)) deposited in the state general fund.

 

             Sec. 19. RCW 84.40.042 and 1997 c 393 s 17 are each amended to read as follows:

             (1) When real property is divided in accordance with chapter 58.17 RCW, the assessor shall carefully investigate and ascertain the true and fair value of each lot and assess each lot on that same basis, unless specifically provided otherwise by law. For purposes of this section, "lot" has the same definition as in RCW 58.17.020.

             (a) For each lot on which an advance tax deposit has been paid in accordance with RCW 58.08.040, the assessor shall establish the true and fair value by October 30 of the year following the recording of the plat, replat, altered plat, or binding site plan. The value established shall be the value of the lot as of January 1 of the year the original parcel of real property was last revalued. An additional property tax shall not be due on the land until the calendar year following the year for which the advance tax deposit was paid if the deposit was sufficient to pay the full amount of the taxes due on the property.

             (b) For each lot on which an advance tax deposit has not been paid, the assessor shall establish the true and fair value not later than the calendar year following the recording of the plat, map, subdivision, or replat. For purposes of this section, "subdivision" means a division of land into two or more lots or boundary line adjustments between two or more parcels.

             (c) For each subdivision, all current year and delinquent taxes and assessments on the entire tract must be paid in full in accordance with RCW 58.17.160 and 58.08.030. For purposes of this section, "current year taxes" means taxes that are collectible under RCW 84.56.010 subsequent to February 14.

             (2) When the assessor is required by law to segregate any part or parts of real property, assessed before or after July 27, 1997, as one parcel or when the assessor is required by law to combine parcels of real property assessed before or after July 27, 1997, as two or more parcels, the assessor shall carefully investigate and ascertain the true and fair value of each part or parts of the real property and each combined parcel and assess each part or parts or each combined parcel on that same basis.

 

             Sec. 20. RCW 84.56.250 and 1961 c 15 s 84.56.250 are each amended to read as follows:

             If any county treasurer ((shall wilfully)) willfully refuses or neglects to collect any taxes assessed upon personal property, where the same is collectible, or to file the delinquent list and affidavit, as herein provided, ((he)) the treasurer shall be held, in his or her next settlement with the ((auditor)) county legislative authority, liable for the whole amount of such taxes uncollected, and the same shall be deducted from his or her salary and applied to the several funds for which they were levied.

 

             Sec. 21. RCW 85.38.220 and 1986 c 278 s 10 are each amended to read as follows:

             Any special district may have its operations suspended as provided in this section. The process of suspending a special district's operations may be initiated by: (1) The adoption of a resolution proposing such action by the governing body of the special district; (2) the filing of a petition proposing such action with the county legislative authority of the county in which all or the largest portion of the special district is located, which petition is signed by voters of the special district who own at least ten percent of the acreage in the special district or is signed by ten or more voters of the special district; or (3) the adoption of a resolution proposing such action by the county legislative authority of the county in which all or the largest portion of the special district is located.

             A public hearing on the proposed action shall be held by the county legislative authority at which it shall inquire into whether such action is in the public interest. Notice of the public hearing shall be published in a newspaper of general circulation in the special district, posted in at least four locations in the special district to attract the attention of the public, and mailed to the members of the governing body of the special district, if there are any. After the public hearing, the county legislative authority may adopt a resolution suspending the operations of the special district if it finds such suspension to be in the public interest, and shall provide a copy of the resolution to the county treasurer. When a special district is located in more than one county, the legislative authority of each of such counties must so act before the operations of the special district are suspended.

             After holding a public hearing on the proposed reactivation of a special district that has had its operations suspended, the legislative authority or authorities of the county or counties in which the special district is located may reactivate the special district by adopting a resolution finding such action to be in the public interest. Notice of the public hearing shall be posted and published as provided for the public hearing on a proposed suspension of a special district's operations. The governing body of a reactivated special district shall be appointed as in a newly created special district.

             No special district that owns drainage or flood control improvements may be ((dissolved)) suspended unless the legislative authority of a county accepts responsibility for operation and maintenance of the improvements during the suspension period.

 

             Sec. 22. RCW 85.38.225 and 1991 c 28 s 2 are each amended to read as follows:

             As an alternative to this chapter a drainage district or drainage improvement district located within the boundaries of a county storm drainage and surface water management utility, and which is not currently imposing assessments, may be dissolved by ordinance of the county legislative authority. If the alternative dissolution procedure in this section is used the following shall apply:

             (1) The county storm drainage and surface water management utility shall assume responsibility for payment or settlement of outstanding debts of the dissolved drainage district or drainage improvement district, and shall notify the county treasurer at such time of the assumption of responsibility.

             (2) All assets, including money, funds, improvements, or property, real or personal, shall become assets of the county in which the dissolved drainage district or drainage improvement district was located.

             (3) Notwithstanding RCW 85.38.220, the county storm drainage and surface water management utility may determine how to best manage, operate, maintain, improve, exchange, sell, or otherwise dispose of all property, real and personal, of the dissolved drainage district or drainage improvement district, and may determine to modify, cease the operation of, and/or remove any or all facilities or improvements to real property of the dissolved drainage district or drainage improvement district.

 

             NEW SECTION. Sec. 23. RCW 84.36.015 (Property valued at less than five hundred dollars--Exceptions) and 1997 c 244 s 1 are each repealed."

 

             Correct the title.

 

Signed by Representatives Dunshee, Democratic Co-Chair; Mulliken, Republican Co-Chair; Edwards, Democratic Vice Chair; Mielke, Republican Vice Chair; Berkey; Crouse; DeBolt; Dunn; Edmonds; Hatfield; Jarrett and Kirby.

 

             Voting yea: Representatives Berkey, Crouse, DeBolt, Dunn, Dunshee, Edmonds, Edwards, Hatfield, Jarrett, Mielke, and Mulliken.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5647          Prime Sponsor, Senate Committee on Environment, Energy & Water: Requiring new energy efficiency measures. Reported by Committee on Technology, Telecommunications & Energy

 

MAJORITY recommendation: Do pass as amended.

 

             On page 11, after line 24, insert the following:

             "For a building that is leased by the state, energy audits and implementation of cost effective energy conservation measures are required only for that portion of the building that is leased by the state when the state leases less than one hundred percent of the building. When implementing cost effective energy conservation measures in buildings leased by the state, those measures must generate savings sufficient to finance the building modifications and installations over a loan period not greater than ten years and allow repayment during the term of the lease."

 

Signed by Representatives Crouse, Republican Co-Chair; Poulsen, Democratic Co-Chair; Casada, Republican Vice Chair; Ruderman, Democratic Vice Chair; Anderson; Berkey; Bush; Cooper; DeBolt; Esser; Hunt; Linville; Mielke; Morris; Pflug; Simpson and Wood.

 

MINORITY recommendation: Do not pass. Signed by Representative B. Chandler.

 

             Voting yea: Representatives Crouse, Poulsen, Casada, Ruderman, Anderson, Berkey, Bush, Cooper, DeBolt, Esser, Hunt, Linville, Mielke, Morris, Pflug, Simpson and Wood.

             Voting nay: Representative B. Chandler.

             Excused: Representatives Delvin and Reardon.

 

             Referred to Committee on Capital Budget.

 

March 29, 2001

ESSB 5674       Prime Sponsor, Senate Committee on Environment, Energy & Water: Establishing the Washington climate center. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "NEW SECTION. Sec. 1. (1) A joint select committee on climate change is established. The joint select committee shall study and make recommendations to the legislature on the potential:

             (a) Impacts of climate change in the state; and

             (b) Effects of early action by the state, before action by the federal government or other state governments, on the state's competitive position with respect to other states.

             (2) The joint select committee shall be composed of fifteen members as follows:

             (a) One member of the senate from each of the two major political party caucuses in the senate, appointed by the president of the senate;

             (b) One member of the house of representatives from each of the two major political parties in the house of representatives, appointed by the co-speakers of the house of representatives;

             (c) Two members from the environmental community, appointed by the president of the senate and the co-speakers of the house of representatives;

             (d) Two members from the agriculture industry, appointed by the president of the senate and the co-speakers of the house of representatives;

             (e) Two members from the business community, appointed by the president of the senate and the co-speakers of the house of representatives; and

             (f) One member from each of the following, appointed by the president of the senate and the co-speakers of the house of representatives: The timber industry, county government, city government, irrigation districts, and municipal water purveyors.

             (3) The members of the joint select committee shall elect cochairs from among the committee members who are members of the legislature, each from a different political party. The initial meeting of the joint select committee shall be convened by the directive of the president of the senate and the co-speakers of the house of representatives. Staff support for the joint select committee shall be provided by senate committee services and the office of program research. Members of the committee from the house of representatives and the senate shall be compensated for their expenses as provided by the house of representatives and the senate.

             (4) The joint select committee shall report its interim findings to the legislature regarding the issues identified in subsection (1) of this section by December 31, 2001. The joint select committee shall report final recommendations to the legislature regarding the issues identified in subsection (1) of this section by June 30, 2002.

             (5) This section expires July 1, 2002."

 

             Correct the title.

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall and Sump.

 

MINORITY recommendation: Do not pass. Signed by Representatives Kirby; Roach and Schoesler.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, and Sump.

             Voting nay: Representatives Roach, and Schoesler.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5679          Prime Sponsor, Senate Committee on Health & Long-Term Care: Creating the HIV/AIDS prevention study committee. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, line 20, after "2002." insert "This section expires on January 31, 2002."

 

             On page 2, line 24, after "immediately." insert "This section expires on January 31, 2002."

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Edwards, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

             Excused: Representative Edmonds.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SB 5691            Prime Sponsor, Senator Costa: Adding a limitation on sealing of juvenile offender records. Reported by Committee on Juvenile Justice

 

MAJORITY recommendation: Do pass. Signed by Representatives Delvin, Republican Co-Chair; Dickerson, Democratic Co-Chair; Eickmeyer, Democratic Vice Chair; Marine, Republican Vice Chair; Armstrong; Carrell; Darneille and Tokuda.

 

             Voting yea: Representatives Armstrong, Carrell, Darneille, Delvin, Dickerson, Eickmeyer, Marine, and Tokuda.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

E2SSB 5695     Prime Sponsor, Senate Committee on Ways & Means: Creating alternative routes to teacher certification. 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 finds and declares:

             (1) Teacher qualifications and effectiveness are the most important influences on student learning in schools.

             (2) Preparation of individuals to become well-qualified, effective teachers must be high quality.

             (3) Teachers who complete high-quality alternative route programs with intensive field-based experience, adequate coursework, and strong mentorship do as well or better than teachers who complete traditional preparation programs.

             (4) High-quality alternative route programs can provide more flexibility and expedience for individuals to transition from their current career to teaching.

             (5) High-quality alternative route programs can help school districts fill subject matter shortage areas and areas with shortages due to geographic location.

             (6) Regardless of route, all candidates for residency teacher certification must meet the high standards required by the state.

             The legislature recognizes widespread concerns about the potential for teacher shortages and finds that classified instructional staff in public schools represent a great untapped resource for recruiting the teachers of the future.

 

             NEW SECTION. Sec. 2. There is hereby created a statewide partnership grant program to provide new high-quality alternative routes to residency teacher certification. To the extent funds are appropriated for this specific purpose, funds provided under this partnership grant program shall be used solely for school districts, or consortia of school districts, to partner with state-approved higher education teacher preparation programs to provide one or more of three alternative route programs in section 5 of this act, aimed at recruiting candidates to teaching in subject matter shortage areas and areas with shortages due to geographic location. Districts, or consortia of districts, may also include their educational service districts in their partnership grant program. Partnership programs receiving grants may enroll candidates as early as January 2002.

 

             NEW SECTION. Sec. 3. (1) Each district or consortia of school districts applying for state funds through this program shall submit a proposal to the Washington professional educator standards board specifying:

             (a) The route or routes the partnership program intends to offer and a detailed description of how the routes will be structured and operated by the partnership;

             (b) The number of candidates that will be enrolled per route;

             (c) An identification, indication of commitment, and description of the role of approved teacher preparation programs that are partnering with the district or consortia of districts;

             (d) An assurance of district provision of adequate training for mentor teachers either through participation in a state mentor training academy or district-provided training that meets state-established mentor-training standards specific to the mentoring of alternative route candidates;

             (e) An assurance that significant time will be provided for mentor teachers to spend with the alternative route teacher candidates throughout the internship. Partnerships must provide each candidate with intensive classroom mentoring until such time as the candidate demonstrates the competency necessary to manage the classroom with less intensive supervision and guidance from a mentor;

             (f) A description of the rigorous screening process for applicants to alternative route programs, including entry requirements specific to each route, as provided in section 5 of this act; and

             (g) The design and use of a teacher development plan for each candidate. The plan shall specify the alternative route coursework and training required of each candidate and shall be developed by comparing the candidate's prior experience and coursework with the state's new performance-based standards for residency certification and adjusting any requirements accordingly. The plan shall include the following components:

             (i) A minimum of one-half of a school year, and an additional significant amount of time if necessary, of intensive mentorship, starting with full-time mentoring and progressing to increasingly less intensive monitoring and assistance as the intern demonstrates the skills necessary to take over the classroom with less intensive support. For route one and two candidates, before the supervision is diminished, the mentor of the teacher candidate at the school and the supervisor of the teacher candidate from the higher education teacher preparation program must both agree that the teacher candidate is ready to manage the classroom with less intensive supervision. For route three candidates, the mentor of the teacher candidate shall make the decision;

             (ii) Identification of performance indicators based on the knowledge and skills standards required for residency certification by the state board of education;

             (iii) Identification of benchmarks that will indicate when the standard is met for all performance indicators;

             (iv) A description of strategies for assessing candidate performance on the benchmarks;

             (v) Identification of one or more tools to be used to assess a candidate's performance once the candidate has been in the classroom for about one-half of a school year; and

             (vi) A description of the criteria that would result in residency certification after about one-half of a school year but before the end of the program.

             (2) Districts may apply for program funds to pay stipends to both mentor teachers and interns during their mentored internship. For both intern stipends and accompanying mentor stipends, the per intern district request for funds may not exceed the amount designated by the BA+0 cell on the statewide teacher salary allocation schedule. This amount shall be prorated for internships and mentorships that last less than a full school year. Interns in the program for a full year shall be provided a stipend of at least eighty percent of the amount generated by the BA+0 cell on the statewide teacher salary allocation schedule. This amount shall be prorated for internships that last less than a full school year.

 

             NEW SECTION. Sec. 4. (1) The professional educator standards board, with support from the office of the superintendent of public instruction, shall select school districts and consortia of school districts to receive partnership grants from funds appropriated by the legislature for this purpose. Factors to be considered in selecting proposals include:

             (a) The degree to which the district, or consortia of districts in partnership, are currently experiencing teacher shortages;

             (b) The degree to which the proposal addresses criteria specified in section 3 of this act and is in keeping with specifications of program routes in section 5 of this act;

             (c) The cost-effectiveness of the proposed program; and

             (d) Any demonstrated district and in-kind contributions to the program.

             (2) Selection of proposals shall also take into consideration the need to ensure an adequate number of candidates for each type of route in order to evaluate their success.

             (3) Funds appropriated for the partnership grant program in this chapter shall be administered by the office of the superintendent of public instruction.

 

             NEW SECTION. Sec. 5. Partnership grants funded under this chapter shall operate one to three specific route programs. Successful completion of the program shall make a candidate eligible for residency teacher certification. For route one and two candidates, the mentor of the teacher candidate at the school and the supervisor of the teacher candidate from the higher education teacher preparation program must both agree that the teacher candidate has successfully completed the program. For route three candidates, the mentor of the teacher candidate shall make the determination that the candidate has successfully completed the program.

             (1) Partnership grant programs seeking funds to operate route one programs shall enroll currently employed classified instructional employees with transferable associate degrees seeking residency teacher certification with endorsements in special education, bilingual education, or English as a second language. It is anticipated that candidates enrolled in this route will complete both their baccalaureate degree and requirements for residency certification in two years or less, including a mentored internship to be completed in the final year. In addition, partnership programs shall uphold entry requirements for candidates that include:

             (a) District or building validation of qualifications, including three years of successful student interaction and leadership as a classified instructional employee;

             (b) Successful passage of the statewide basic skills exam, when available; and

             (c) Meeting the age, good moral character, and personal fitness requirements adopted by rule for teachers.

             (2) Partnership grant programs seeking funds to operate route two programs shall enroll currently employed classified staff with baccalaureate degrees seeking residency teacher certification in subject matter shortage areas and areas with shortages due to geographic location. Candidates enrolled in this route must complete a mentored internship complemented by flexibly scheduled training and coursework offered at a local site, such as a school or educational service district, or online or via video-conference over the K-20 network, in collaboration with the partnership program's higher education partner. In addition, partnership grant programs shall uphold entry requirements for candidates that include:

             (a) District or building validation of qualifications, including three years of successful student interaction and leadership as classified staff;

             (b) A baccalaureate degree from a regionally accredited institution of higher education. The individual's college or university grade point average may be considered as a selection factor;

             (c) Successful completion of the content test, once the state content test is available;

             (d) Meeting the age, good moral character, and personal fitness requirements adopted by rule for teachers; and

             (e) Successful passage of the statewide basic skills exam, when available.

             (3) Partnership grant programs seeking funds to operate route three programs shall enroll individuals with baccalaureate degrees, who are not employed in the district at the time of application, or who hold emergency substitute certificates. When selecting candidates for certification through route three, districts shall give priority to individuals who are seeking residency teacher certification in subject matter shortage areas or shortages due to geographic locations. For route three only, the districts may include additional candidates in nonshortage subject areas if the candidates are seeking endorsements with a secondary grade level designation as defined by rule by the state board of education. The districts shall disclose to candidates in nonshortage subject areas available information on the demand in those subject areas. Cohorts of candidates for this route shall attend an intensive summer teaching academy, followed by a full year employed by a district in a mentored internship, followed, if necessary by a second summer teaching academy. In addition, partnership programs shall uphold entry requirements for candidates that include:

             (a) Five years' experience in the work force;

             (b) A baccalaureate degree from a regionally accredited institution of higher education. The individual's grade point average may be considered as a selection factor;

             (c) Successful completion of the content test, once the state content test is available;

             (d) External validation of qualifications, including demonstrated successful experience with students or children, such as references letters and letters of support from previous employers;

             (e) Meeting the age, good moral character, and personal fitness requirements adopted by rule for teachers; and

             (f) Successful passage of statewide basic skills exams, when available.

 

             NEW SECTION. Sec. 6. The alternative route conditional scholarship program is created under the following guidelines:

             (1) The program shall be administered by the higher education coordinating board. In administering the program, the higher education coordinating board has the following powers and duties:

             (a) To adopt necessary rules and develop guidelines to administer the program;

             (b) To collect and manage repayments from participants who do not meet their service obligations; and

             (c) To accept grants and donations from public and private sources for the program.

             (2) The Washington professional educator standards board shall select participants who are eligible to receive conditional scholarships.

             (3) In order to receive conditional scholarship awards, recipients shall be accepted and maintain enrollment in alternative certification routes through the partnership grant program, as provided in section 5 of this act. Recipients must continue to make satisfactory progress towards completion of the alternative route certification program and receipt of a residency teaching certificate.

             (4) For the purpose of this chapter, a conditional scholarship is a loan that is forgiven in whole or in part in exchange for service as a certificated teacher employed in a Washington state K-12 public school. The state shall forgive one year of loan obligation for every two years a recipient teaches in a public school. Recipients that fail to continue a course of study leading to residency teacher certification or cease to teach in a public school in the state of Washington in their endorsement area are required to repay the remaining loan principal with interest.

             (5) Recipients who fail to fulfill the required teaching obligation are required to repay the remaining loan principal with interest and any other applicable fees. The higher education coordinating board shall adopt rules to define the terms for repayment, including applicable interest rates, fees, and deferments.

             (6) To the extent funds are appropriated for this specific purpose, the annual amount of the scholarship is the annual cost of tuition for the alternative route certification program in which the recipient is enrolled, not to exceed four thousand dollars. The board may adjust the annual award by the average rate of resident undergraduate tuition and fee increases at the state universities as defined in RCW 28B.10.016.

             (7) The higher education coordinating board may deposit all appropriations, collections, and any other funds received for the program in this chapter in the student loan account authorized in RCW 28B.102.060.

 

             NEW SECTION. Sec. 7. This chapter expires June 30, 2005.

 

             NEW SECTION. Sec. 8. The Washington state institute for public policy shall submit to the education and fiscal committees of the legislature, the governor, the state board of education, and the Washington professional educator standards board, an interim evaluation of partnership grant programs funded under this chapter by December 1, 2002, and a final evaluation by December 1, 2004. If specific funding for the purposes of this section, referencing this section and this act by bill or chapter number, is not provided by June 30, 2001, in the omnibus appropriations act, this section is null and void.

 

             NEW SECTION. Sec. 9. Sections 1 through 8 and 10 of this act constitute a new chapter in Title 28A RCW.

 

             NEW SECTION. Sec. 10. School districts or approved private schools' ability to employ personnel under certification for emergency or temporary, substitute, or provisional duty as authorized by chapter 28A.410 RCW are not affected by the provisions of this act."

 

             On page 1, line 2 of the title, after "certification;" strike the remainder of the title and insert "adding a new chapter to Title 28A RCW; creating a new section; and providing an expiration date."

 

Signed by Representatives Quall, Democratic Co-Chair; Talcott, Republican Co-Chair; Anderson, Republican Vice Chair; Haigh, Democratic Vice Chair; Ericksen; Keiser; McDermott; Pearson; Rockefeller; Santos; Schmidt and Schual-Berke.

 

MINORITY recommendation: Do not pass. Signed by Representatives Cox and Schindler.

 

             Voting yea: Representatives Quall, Talcott, Anderson, Haigh, Ericksen, Keiser, McDermott, Pearson, Rockefeller, Santos, Schmidt and Schual-Berke.

             Voting nay: Representatives Cox and Schindler.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

ESSB 5703       Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Describing what is not an alteration of a mobile home. (REVISED FOR ENGROSSED: Directing a study to be conducted of mobile/manufactured home alteration and repair permit problems.) Reported by Committee on Commerce & Labor

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "NEW SECTION. Sec. 1. (1) A joint legislative task force is created to review chapter 43.22 RCW as it pertains to the regulation of manufactured and mobile homes. The task force membership shall consist of:

             (a) One member from each caucus of the senate labor, commerce and financial institutions committee, appointed by the president of the senate;

             (b) One member from each caucus of the house commerce and labor committee, appointed by the co-speakers of the house of representatives;  

             (c) Representatives of the mobile/manufactured homeowners, mobile/manufactured home mortgage lenders, mobile/manufactured home manufacturers and retailers, realtors, business and labor representatives of the electrical and plumbing trades, and other state or local government agencies as appropriate, appointed jointly by the president of the senate and the co-speakers of the house of representatives; and

             (d) A representative of the department of labor and industries. The department shall cooperate with the task force and provide such technical expertise as the task force co-chairs may reasonably require.

             (2) The task force shall choose its co-chairs from among its membership.

             (3) The study shall review at least the following issues:

             (a) The fact that many mobile/manufactured homeowners have performed alterations or repairs to their homes without obtaining the required permits with the result that potential buyers may be unable to obtain mortgage financing from the usual sources;

             (b) The costs associated with obtaining required permits, particularly on those occasions when an engineering analysis is required;

             (c) The possibility of reducing the number and type of repairs and alterations that require a permit, consistent with public health and safety considerations;

             (d) The appropriateness of the current legal sanction for not obtaining a permit when required; and

             (e) Any methods, procedures, or changes in the law that can assist mobile/manufactured homeowners in the proper and economical maintenance and improvement of their homes, and the protection of their equity.

             (4) The task force shall use legislative facilities and staff from senate committee services and the office of program research. Each nonlegislative member of the task force is eligible to be reimbursed for travel expenses in accordance with RCW 43.03.050 and 43.03.060. All expenses of the task force, including travel, shall be paid jointly by the senate and the house of representatives.

             (5) The task force shall report its findings and recommendations to the legislature by January 1, 2002.

             (6) This section expires April 1, 2002."

 

             Correct the title.

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5777          Prime Sponsor, Senate Committee on Health & Long-Term Care: Permitting retired and disabled employees to obtain health insurance. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Edmonds, Edwards, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5733          Prime Sponsor, Senate Committee on Transportation: Adjusting day labor allowances for county road construction. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Hankins, Republican Vice Chair; Lovick, Democratic Vice Chair; Ahern; Anderson; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Ogden; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Haigh, Hankins, Hatfield, Hurst, Jackley, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, and Woods.

             Excused: Representatives Ogden, Reardon, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5734          Prime Sponsor, Senate Committee on Agriculture & International Trade: Modifying requirements to receive state allocations for an agricultural fair. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Delvin.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

ESB 5790         Prime Sponsor, Senator Kline: Revising provisions relating to vehicular assault. Reported by Committee on Judiciary

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 46.61.522 and 1996 c 199 s 8 are each amended to read as follows:

              (1) A person is guilty of vehicular assault if he or she operates or drives any vehicle:

             (a) In a reckless manner((,)) and ((this conduct is the proximate cause of serious)) causes substantial bodily ((injury)) harm to another; or

             (b) While under the influence of intoxicating liquor or any drug, as defined by RCW 46.61.502, and ((this conduct is the proximate cause of serious)) causes substantial bodily ((injury)) harm to another; or

             (c) With disregard for the safety of others and causes substantial bodily harm to another.

             (2) (("Serious bodily injury" means bodily injury which involves a substantial risk of death, serious permanent disfigurement, or protracted loss or impairment of the function of any part or organ of the body.

             (3))) Vehicular assault is a class B felony punishable under chapter 9A.20 RCW.

             (3) As used in this section, "substantial bodily harm" has the same meaning as in RCW 9A.04.110.

 

             Sec. 2. RCW 9.41.010 and 1997 c 338 s 46 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Firearm" means a weapon or device from which a projectile or projectiles may be fired by an explosive such as gunpowder.

             (2) "Pistol" means any firearm with a barrel less than sixteen inches in length, or is designed to be held and fired by the use of a single hand.

             (3) "Rifle" means a weapon designed or redesigned, made or remade, and intended to be fired from the shoulder and designed or redesigned, made or remade, and intended to use the energy of the explosive in a fixed metallic cartridge to fire only a single projectile through a rifled bore for each single pull of the trigger.

             (4) "Short-barreled rifle" means a rifle having one or more barrels less than sixteen inches in length and any weapon made from a rifle by any means of modification if such modified weapon has an overall length of less than twenty-six inches.

             (5) "Shotgun" means a weapon with one or more barrels, designed or redesigned, made or remade, and intended to be fired from the shoulder and designed or redesigned, made or remade, and intended to use the energy of the explosive in a fixed shotgun shell to fire through a smooth bore either a number of ball shot or a single projectile for each single pull of the trigger.

             (6) "Short-barreled shotgun" means a shotgun having one or more barrels less than eighteen inches in length and any weapon made from a shotgun by any means of modification if such modified weapon has an overall length of less than twenty-six inches.

             (7) "Machine gun" means any firearm known as a machine gun, mechanical rifle, submachine gun, or any other mechanism or instrument not requiring that the trigger be pressed for each shot and having a reservoir clip, disc, drum, belt, or other separable mechanical device for storing, carrying, or supplying ammunition which can be loaded into the firearm, mechanism, or instrument, and fired therefrom at the rate of five or more shots per second.

             (8) "Antique firearm" means a firearm or replica of a firearm not designed or redesigned for using rim fire or conventional center fire ignition with fixed ammunition and manufactured in or before 1898, including any matchlock, flintlock, percussion cap, or similar type of ignition system and also any firearm using fixed ammunition manufactured in or before 1898, for which ammunition is no longer manufactured in the United States and is not readily available in the ordinary channels of commercial trade.

             (9) "Loaded" means:

             (a) There is a cartridge in the Chamber of the firearm;

             (b) Cartridges are in a clip that is locked in place in the firearm;

             (c) There is a cartridge in the cylinder of the firearm, if the firearm is a revolver;

             (d) There is a cartridge in the tube or magazine that is inserted in the action; or

             (e) There is a ball in the barrel and the firearm is capped or primed if the firearm is a muzzle loader.

             (10) "Dealer" means a person engaged in the business of selling firearms at wholesale or retail who has, or is required to have, a federal firearms license under 18 U.S.C. Sec. 923(a). A person who does not have, and is not required to have, a federal firearms license under 18 U.S.C. Sec. 923(a), is not a dealer if that person makes only occasional sales, exchanges, or purchases of firearms for the enhancement of a personal collection or for a hobby, or sells all or part of his or her personal collection of firearms.

             (11) "Crime of violence" means:

             (a) Any of the following felonies, as now existing or hereafter amended: Any felony defined under any law as a class A felony or an attempt to commit a class A felony, criminal solicitation of or criminal conspiracy to commit a class A felony, manslaughter in the first degree, manslaughter in the second degree, indecent liberties if committed by forcible compulsion, kidnapping in the second degree, arson in the second degree, assault in the second degree, assault of a child in the second degree, extortion in the first degree, burglary in the second degree, residential burglary, and robbery in the second degree;

             (b) Any conviction for a felony offense in effect at any time prior to June 6, 1996, which is comparable to a felony classified as a crime of violence in (a) of this subsection; and

             (c) Any federal or out-of-state conviction for an offense comparable to a felony classified as a crime of violence under (a) or (b) of this subsection.

             (12) "Serious offense" means any of the following felonies or a felony attempt to commit any of the following felonies, as now existing or hereafter amended:

             (a) Any crime of violence;

             (b) Any felony violation of the uniform controlled substances act, chapter 69.50 RCW, that is classified as a class B felony or that has a maximum term of imprisonment of at least ten years;

             (c) Child molestation in the second degree;

             (d) Incest when committed against a child under age fourteen;

             (e) Indecent liberties;

             (f) Leading organized crime;

             (g) Promoting prostitution in the first degree;

             (h) Rape in the third degree;

             (i) Drive-by shooting;

             (j) Sexual exploitation;

             (k) Vehicular assault, when caused by the operation or driving of a vehicle by a person while under the influence of intoxicating liquor or any drug or by the operation or driving of a vehicle in a reckless manner;

             (l) Vehicular homicide, when proximately caused by the driving of any vehicle by any person while under the influence of intoxicating liquor or any drug as defined by RCW 46.61.502, or by the operation of any vehicle in a reckless manner;

             (m) Any other class B felony offense with a finding of sexual motivation, as "sexual motivation" is defined under RCW 9.94A.030;

             (n) Any other felony with a deadly weapon verdict under RCW 9.94A.125; or

             (o) Any felony offense in effect at any time prior to June 6, 1996, that is comparable to a serious offense, or any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as a serious offense.

             (13) "Law enforcement officer" includes a general authority Washington peace officer as defined in RCW 10.93.020, or a specially commissioned Washington peace officer as defined in RCW 10.93.020. "Law enforcement officer" also includes a limited authority Washington peace officer as defined in RCW 10.93.020 if such officer is duly authorized by his or her employer to carry a concealed pistol.

             (14) "Felony" means any felony offense under the laws of this state or any federal or out-of-state offense comparable to a felony offense under the laws of this state.

             (15) "Sell" refers to the actual approval of the delivery of a firearm in consideration of payment or promise of payment of a certain price in money.

             (16) "Barrel length" means the distance from the bolt face of a closed action down the length of the axis of the bore to the crown of the muzzle, or in the case of a barrel with attachments to the end of any legal device permanently attached to the end of the muzzle.

             (17) "Family or household member" means "family" or "household member" as used in RCW 10.99.020.

 

             Sec. 3. RCW 9.94A.030 and 2000 c 28 s 2 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Collect," or any derivative thereof, "collect and remit," or "collect and deliver," when used with reference to the department, means that the department, either directly or through a collection agreement authorized by RCW 9.94A.145, is responsible for monitoring and enforcing the offender's sentence with regard to the legal financial obligation, receiving payment thereof from the offender, and, consistent with current law, delivering daily the entire payment to the superior court clerk without depositing it in a departmental account.

             (2) "Commission" means the sentencing guidelines commission.

             (3) "Community corrections officer" means an employee of the department who is responsible for carrying out specific duties in supervision of sentenced offenders and monitoring of sentence conditions.

             (4) "Community custody" means that portion of an offender's sentence of confinement in lieu of earned release time or imposed pursuant to RCW 9.94A.120(2)(b), 9.94A.650 through 9.94A.670, 9.94A.137, 9.94A.700 through 9.94A.715, or 9.94A.383, served in the community subject to controls placed on the offender's movement and activities by the department. For offenders placed on community custody for crimes committed on or after July 1, 2000, the department shall assess the offender's risk of reoffense and may establish and modify conditions of community custody, in addition to those imposed by the court, based upon the risk to community safety.

             (5) "Community custody range" means the minimum and maximum period of community custody included as part of a sentence under RCW 9.94A.715, as established by the commission or the legislature under RCW 9.94A.040, for crimes committed on or after July 1, 2000.

             (6) "Community placement" means that period during which the offender is subject to the conditions of community custody and/or postrelease supervision, which begins either upon completion of the term of confinement (postrelease supervision) or at such time as the offender is transferred to community custody in lieu of earned release. Community placement may consist of entirely community custody, entirely postrelease supervision, or a combination of the two.

             (7) "Community service" means compulsory service, without compensation, performed for the benefit of the community by the offender.

             (8) "Community supervision" means a period of time during which a convicted offender is subject to crime-related prohibitions and other sentence conditions imposed by a court pursuant to this chapter or RCW 16.52.200(6) or 46.61.524. Where the court finds that any offender has a chemical dependency that has contributed to his or her offense, the conditions of supervision may, subject to available resources, include treatment. For purposes of the interstate compact for out-of-state supervision of parolees and probationers, RCW 9.95.270, community supervision is the functional equivalent of probation and should be considered the same as probation by other states.

             (9) "Confinement" means total or partial confinement.

             (10) "Conviction" means an adjudication of guilt pursuant to Titles 10 or 13 RCW and includes a verdict of guilty, a finding of guilty, and acceptance of a plea of guilty.

             (11) "Crime-related prohibition" means an order of a court prohibiting conduct that directly relates to the circumstances of the crime for which the offender has been convicted, and shall not be construed to mean orders directing an offender affirmatively to participate in rehabilitative programs or to otherwise perform affirmative conduct. However, affirmative acts necessary to monitor compliance with the order of a court may be required by the department.

             (12) "Criminal history" means the list of a defendant's prior convictions and juvenile adjudications, whether in this state, in federal court, or elsewhere. The history shall include, where known, for each conviction (a) whether the defendant has been placed on probation and the length and terms thereof; and (b) whether the defendant has been incarcerated and the length of incarceration.

             (13) "Day fine" means a fine imposed by the sentencing court that equals the difference between the offender's net daily income and the reasonable obligations that the offender has for the support of the offender and any dependents.

             (14) "Day reporting" means a program of enhanced supervision designed to monitor the offender's daily activities and compliance with sentence conditions, and in which the offender is required to report daily to a specific location designated by the department or the sentencing court.

             (15) "Department" means the department of corrections.

             (16) "Determinate sentence" means a sentence that states with exactitude the number of actual years, months, or days of total confinement, of partial confinement, of community supervision, the number of actual hours or days of community service work, or dollars or terms of a legal financial obligation. The fact that an offender through earned release can reduce the actual period of confinement shall not affect the classification of the sentence as a determinate sentence.

             (17) "Disposable earnings" means that part of the earnings of an offender remaining after the deduction from those earnings of any amount required by law to be withheld. For the purposes of this definition, "earnings" means compensation paid or payable for personal services, whether denominated as wages, salary, commission, bonuses, or otherwise, and, notwithstanding any other provision of law making the payments exempt from garnishment, attachment, or other process to satisfy a court-ordered legal financial obligation, specifically includes periodic payments pursuant to pension or retirement programs, or insurance policies of any type, but does not include payments made under Title 50 RCW, except as provided in RCW 50.40.020 and 50.40.050, or Title 74 RCW.

             (18) "Drug offender sentencing alternative" is a sentencing option available to persons convicted of a felony offense other than a violent offense or a sex offense and who are eligible for the option under RCW 9.94A.660.

             (19) "Drug offense" means:

             (a) Any felony violation of chapter 69.50 RCW except possession of a controlled substance (RCW 69.50.401(d)) or forged prescription for a controlled substance (RCW 69.50.403);

             (b) Any offense defined as a felony under federal law that relates to the possession, manufacture, distribution, or transportation of a controlled substance; or

             (c) Any out-of-state conviction for an offense that under the laws of this state would be a felony classified as a drug offense under (a) of this subsection.

             (20) "Earned release" means earned release from confinement as provided in RCW 9.94A.150.

             (21) "Escape" means:

             (a) Escape in the first degree (RCW 9A.76.110), escape in the second degree (RCW 9A.76.120), willful failure to return from furlough (RCW 72.66.060), willful failure to return from work release (RCW 72.65.070), or willful failure to be available for supervision by the department while in community custody (RCW 72.09.310); or

             (b) Any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as an escape under (a) of this subsection.

             (22) "Felony traffic offense" means:

             (a) Vehicular homicide (RCW 46.61.520), vehicular assault (RCW 46.61.522), eluding a police officer (RCW 46.61.024), or felony hit-and-run injury-accident (RCW 46.52.020(4)); or

             (b) Any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as a felony traffic offense under (a) of this subsection.

             (23) "Fine" means a specific sum of money ordered by the sentencing court to be paid by the offender to the court over a specific period of time.

             (24) "First-time offender" means any person who has no prior convictions for a felony and is eligible for the first-time offender waiver under RCW 9.94A.650.

             (25) "Home detention" means a program of partial confinement available to offenders wherein the offender is confined in a private residence subject to electronic surveillance.

             (26) "Legal financial obligation" means a sum of money that is ordered by a superior court of the state of Washington for legal financial obligations which may include restitution to the victim, statutorily imposed crime victims' compensation fees as assessed pursuant to RCW 7.68.035, court costs, county or interlocal drug funds, court-appointed attorneys' fees, and costs of defense, fines, and any other financial obligation that is assessed to the offender as a result of a felony conviction. Upon conviction for vehicular assault while under the influence of intoxicating liquor or any drug, RCW 46.61.522(1)(b), or vehicular homicide while under the influence of intoxicating liquor or any drug, RCW 46.61.520(1)(a), legal financial obligations may also include payment to a public agency of the expense of an emergency response to the incident resulting in the conviction, subject to RCW 38.52.430.

             (27) "Most serious offense" means any of the following felonies or a felony attempt to commit any of the following felonies:

             (a) Any felony defined under any law as a class A felony or criminal solicitation of or criminal conspiracy to commit a class A felony;

             (b) Assault in the second degree;

             (c) Assault of a child in the second degree;

             (d) Child molestation in the second degree;

             (e) Controlled substance homicide;

             (f) Extortion in the first degree;

             (g) Incest when committed against a child under age fourteen;

             (h) Indecent liberties;

             (i) Kidnapping in the second degree;

             (j) Leading organized crime;

             (k) Manslaughter in the first degree;

             (l) Manslaughter in the second degree;

             (m) Promoting prostitution in the first degree;

             (n) Rape in the third degree;

             (o) Robbery in the second degree;

             (p) Sexual exploitation;

             (q) Vehicular assault, when caused by the operation or driving of a vehicle by a person while under the influence of intoxicating liquor or any drug or by the operation or driving of a vehicle in a reckless manner;

             (r) Vehicular homicide, when proximately caused by the driving of any vehicle by any person while under the influence of intoxicating liquor or any drug as defined by RCW 46.61.502, or by the operation of any vehicle in a reckless manner;

             (s) Any other class B felony offense with a finding of sexual motivation;

             (t) Any other felony with a deadly weapon verdict under RCW 9.94A.125;

             (u) Any felony offense in effect at any time prior to December 2, 1993, that is comparable to a most serious offense under this subsection, or any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as a most serious offense under this subsection;

             (v)(i) A prior conviction for indecent liberties under RCW 9A.88.100(1) (a), (b), and (c), chapter 260, Laws of 1975 1st ex. sess. as it existed until July 1, 1979, RCW 9A.44.100(1) (a), (b), and (c) as it existed from July 1, 1979, until June 11, 1986, and RCW 9A.44.100(1) (a), (b), and (d) as it existed from June 11, 1986, until July 1, 1988;

             (ii) A prior conviction for indecent liberties under RCW 9A.44.100(1)(c) as it existed from June 11, 1986, until July 1, 1988, if: (A) The crime was committed against a child under the age of fourteen; or (B) the relationship between the victim and perpetrator is included in the definition of indecent liberties under RCW 9A.44.100(1)(c) as it existed from July 1, 1988, through July 27, 1997, or RCW 9A.44.100(1) (d) or (e) as it existed from July 25, 1993, through July 27, 1997.

             (28) "Nonviolent offense" means an offense which is not a violent offense.

             (29) "Offender" means a person who has committed a felony established by state law and is eighteen years of age or older or is less than eighteen years of age but whose case is under superior court jurisdiction under RCW 13.04.030 or has been transferred by the appropriate juvenile court to a criminal court pursuant to RCW 13.40.110. Throughout this chapter, the terms "offender" and "defendant" are used interchangeably.

             (30) "Partial confinement" means confinement for no more than one year in a facility or institution operated or utilized under contract by the state or any other unit of government, or, if home detention or work crew has been ordered by the court, in an approved residence, for a substantial portion of each day with the balance of the day spent in the community. Partial confinement includes work release, home detention, work crew, and a combination of work crew and home detention.

             (31) "Persistent offender" is an offender who:

             (a)(i) Has been convicted in this state of any felony considered a most serious offense; and

             (ii) Has, before the commission of the offense under (a) of this subsection, been convicted as an offender on at least two separate occasions, whether in this state or elsewhere, of felonies that under the laws of this state would be considered most serious offenses and would be included in the offender score under RCW 9.94A.360; provided that of the two or more previous convictions, at least one conviction must have occurred before the commission of any of the other most serious offenses for which the offender was previously convicted; or

             (b)(i) Has been convicted of: (A) Rape in the first degree, rape of a child in the first degree, child molestation in the first degree, rape in the second degree, rape of a child in the second degree, or indecent liberties by forcible compulsion; (B) murder in the first degree, murder in the second degree, homicide by abuse, kidnapping in the first degree, kidnapping in the second degree, assault in the first degree, assault in the second degree, assault of a child in the first degree, or burglary in the first degree, with a finding of sexual motivation; or (C) an attempt to commit any crime listed in this subsection (31)(b)(i); and

             (ii) Has, before the commission of the offense under (b)(i) of this subsection, been convicted as an offender on at least one occasion, whether in this state or elsewhere, of an offense listed in (b)(i) of this subsection. A conviction for rape of a child in the first degree constitutes a conviction under (b)(i) of this subsection only when the offender was sixteen years of age or older when the offender committed the offense. A conviction for rape of a child in the second degree constitutes a conviction under (b)(i) of this subsection only when the offender was eighteen years of age or older when the offender committed the offense.

             (32) "Postrelease supervision" is that portion of an offender's community placement that is not community custody.

             (33) "Restitution" means a specific sum of money ordered by the sentencing court to be paid by the offender to the court over a specified period of time as payment of damages. The sum may include both public and private costs.

             (34) "Risk assessment" means the application of an objective instrument supported by research and adopted by the department for the purpose of assessing an offender's risk of reoffense, taking into consideration the nature of the harm done by the offender, place and circumstances of the offender related to risk, the offender's relationship to any victim, and any information provided to the department by victims. The results of a risk assessment shall not be based on unconfirmed or unconfirmable allegations.

             (35) "Serious traffic offense" means:

             (a) Driving while under the influence of intoxicating liquor or any drug (RCW 46.61.502), actual physical control while under the influence of intoxicating liquor or any drug (RCW 46.61.504), reckless driving (RCW 46.61.500), or hit-and-run an attended vehicle (RCW 46.52.020(5)); or

             (b) Any federal, out-of-state, county, or municipal conviction for an offense that under the laws of this state would be classified as a serious traffic offense under (a) of this subsection.

             (36) "Serious violent offense" is a subcategory of violent offense and means:

             (a)(i) Murder in the first degree;

             (ii) Homicide by abuse;

             (iii) Murder in the second degree;

             (iv) Manslaughter in the first degree;

             (v) Assault in the first degree;

             (vi) Kidnapping in the first degree;

             (vii) Rape in the first degree;

             (viii) Assault of a child in the first degree; or

             (ix) An attempt, criminal solicitation, or criminal conspiracy to commit one of these felonies; or

             (b) Any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as a serious violent offense under (a) of this subsection.

             (37) "Sex offense" means:

             (a) A felony that is a violation of:

             (i) Chapter 9A.44 RCW other than RCW 9A.44.130(11);

             (ii) RCW 9A.64.020;

             (iii) RCW 9.68A.090; or

             (iv) A felony that is, under chapter 9A.28 RCW, a criminal attempt, criminal solicitation, or criminal conspiracy to commit such crimes;

             (b) Any conviction for a felony offense in effect at any time prior to July 1, 1976, that is comparable to a felony classified as a sex offense in (a) of this subsection;

             (c) A felony with a finding of sexual motivation under RCW 9.94A.127 or 13.40.135; or

             (d) Any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as a sex offense under (a) of this subsection.

             (38) "Sexual motivation" means that one of the purposes for which the defendant committed the crime was for the purpose of his or her sexual gratification.

             (39) "Standard sentence range" means the sentencing court's discretionary range in imposing a nonappealable sentence.

             (40) "Statutory maximum sentence" means the maximum length of time for which an offender may be confined as punishment for a crime as prescribed in chapter 9A.20 RCW, RCW 9.92.010, the statute defining the crime, or other statute defining the maximum penalty for a crime.

             (41) "Total confinement" means confinement inside the physical boundaries of a facility or institution operated or utilized under contract by the state or any other unit of government for twenty-four hours a day, or pursuant to RCW 72.64.050 and 72.64.060.

             (42) "Transition training" means written and verbal instructions and assistance provided by the department to the offender during the two weeks prior to the offender's successful completion of the work ethic camp program. The transition training shall include instructions in the offender's requirements and obligations during the offender's period of community custody.

             (43) "Victim" means any person who has sustained emotional, psychological, physical, or financial injury to person or property as a direct result of the crime charged.

             (44) "Violent offense" means:

             (a) Any of the following felonies:

             (i) Any felony defined under any law as a class A felony or an attempt to commit a class A felony;

             (ii) Criminal solicitation of or criminal conspiracy to commit a class A felony;

             (iii) Manslaughter in the first degree;

             (iv) Manslaughter in the second degree;

             (v) Indecent liberties if committed by forcible compulsion;

             (vi) Kidnapping in the second degree;

             (vii) Arson in the second degree;

             (viii) Assault in the second degree;

             (ix) Assault of a child in the second degree;

             (x) Extortion in the first degree;

             (xi) Robbery in the second degree;

             (xii) Drive-by shooting;

             (xiii) Vehicular assault, when caused by the operation or driving of a vehicle by a person while under the influence of intoxicating liquor or any drug or by the operation or driving of a vehicle in a reckless manner; and

             (xiv) Vehicular homicide, when proximately caused by the driving of any vehicle by any person while under the influence of intoxicating liquor or any drug as defined by RCW 46.61.502, or by the operation of any vehicle in a reckless manner;

             (b) Any conviction for a felony offense in effect at any time prior to July 1, 1976, that is comparable to a felony classified as a violent offense in (a) of this subsection; and

             (c) Any federal or out-of-state conviction for an offense that under the laws of this state would be a felony classified as a violent offense under (a) or (b) of this subsection.

             (45) "Work crew" means a program of partial confinement consisting of civic improvement tasks for the benefit of the community that complies with RCW 9.94A.135.

             (46) "Work ethic camp" means an alternative incarceration program as provided in RCW 9.94A.137 designed to reduce recidivism and lower the cost of corrections by requiring offenders to complete a comprehensive array of real-world job and vocational experiences, character-building work ethics training, life management skills development, substance abuse rehabilitation, counseling, literacy training, and basic adult education.

             (47) "Work release" means a program of partial confinement available to offenders who are employed or engaged as a student in a regular course of study at school.

 

             Sec. 4. RCW 9.94A.320 and 2000 c 225 s 5, 2000 c 119 s 17, and 2000 c 66 s 2 are each reenacted and amended to read as follows:

 

TABLE 2

 

CRIMES INCLUDED WITHIN EACH SERIOUSNESS LEVEL

XVI

Aggravated Murder 1 (RCW 10.95.020)

XV

Homicide by abuse (RCW 9A.32.055)

Malicious explosion 1 (RCW 70.74.280(1))

Murder 1 (RCW 9A.32.030)

XIV

Murder 2 (RCW 9A.32.050)

XIII

Malicious explosion 2 (RCW 70.74.280(2))

Malicious placement of an explosive 1 (RCW 70.74.270(1))

XII

Assault 1 (RCW 9A.36.011)

Assault of a Child 1 (RCW 9A.36.120)

Malicious placement of an imitation device 1 (RCW 70.74.272(1)(a))

Rape 1 (RCW 9A.44.040)

Rape of a Child 1 (RCW 9A.44.073)

XI

Manslaughter 1 (RCW 9A.32.060)

Rape 2 (RCW 9A.44.050)

Rape of a Child 2 (RCW 9A.44.076)

X

Child Molestation 1 (RCW 9A.44.083)

Indecent Liberties (with forcible compulsion) (RCW 9A.44.100(1)(a))

Kidnapping 1 (RCW 9A.40.020)

Leading Organized Crime (RCW 9A.82.060(1)(a))

Malicious explosion 3 (RCW 70.74.280(3))

Manufacture of methamphetamine (RCW 69.50.401(a)(1)(ii))

Over 18 and deliver heroin, methamphetamine, a narcotic from Schedule I or II, or flunitrazepam from Schedule IV to someone under 18 (RCW 69.50.406)

IX

Assault of a Child 2 (RCW 9A.36.130)

Controlled Substance Homicide (RCW 69.50.415)

Explosive devices prohibited (RCW 70.74.180)

Homicide by Watercraft by being under the influence of intoxicating liquor or any drug (RCW 79A.60.050)

Inciting Criminal Profiteering (RCW 9A.82.060(1)(b))

Malicious placement of an explosive 2 (RCW 70.74.270(2))

Over 18 and deliver narcotic from Schedule III, IV, or V or a nonnarcotic, except flunitrazepam or methamphetamine, from Schedule I-V to someone under 18 and 3 years junior (RCW 69.50.406)

Robbery 1 (RCW 9A.56.200)

Sexual Exploitation (RCW 9.68A.040)

Vehicular Homicide by being under the influence of intoxicating liquor or any drug (RCW 46.61.520)

VIII

Arson 1 (RCW 9A.48.020)

Deliver or possess with intent to deliver methamphetamine (RCW 69.50.401(a)(1)(ii))

Hit and Run--Death (RCW 46.52.020(4)(a))

Homicide by Watercraft by the operation of any vessel in a reckless manner (RCW 79A.60.050)

Manslaughter 2 (RCW 9A.32.070)

Manufacture, deliver, or possess with intent to deliver amphetamine (RCW 69.50.401(a)(1)(ii))

Manufacture, deliver, or possess with intent to deliver heroin or cocaine (RCW 69.50.401(a)(1)(i))

Possession of Ephedrine, Pseudoephedrine, or Anhydrous Ammonia with intent to manufacture methamphetamine (RCW 69.50.440)

Promoting Prostitution 1 (RCW 9A.88.070)

Selling for profit (controlled or counterfeit) any controlled substance (RCW 69.50.410)

Theft of Anhydrous Ammonia (RCW 69.55.010)

Vehicular Homicide by the operation of any vehicle in a reckless manner (RCW 46.61.520)

VII

Burglary 1 (RCW 9A.52.020)

Child Molestation 2 (RCW 9A.44.086)

Dealing in depictions of minor engaged in sexually explicit conduct (RCW 9.68A.050)

Drive-by Shooting (RCW 9A.36.045)

Homicide by Watercraft by disregard for the safety of others (RCW 79A.60.050)

Indecent Liberties (without forcible compulsion) (RCW 9A.44.100(1) (b) and (c))

Introducing Contraband 1 (RCW 9A.76.140)

Involving a minor in drug dealing (RCW 69.50.401(f))

Malicious placement of an explosive 3 (RCW 70.74.270(3))

Sending, bringing into state depictions of minor engaged in sexually explicit conduct (RCW 9.68A.060)

Unlawful Possession of a Firearm in the first degree (RCW 9.41.040(1)(a))

Use of a Machine Gun in Commission of a Felony (RCW 9.41.225)

Vehicular Homicide by disregard for the safety of others (RCW 46.61.520)

VI

Bail Jumping with Murder 1 (RCW 9A.76.170(2)(a))

Bribery (RCW 9A.68.010)

Incest 1 (RCW 9A.64.020(1))

Intimidating a Judge (RCW 9A.72.160)

Intimidating a Juror/Witness (RCW 9A.72.110, 9A.72.130)

Malicious placement of an imitation device 2 (RCW 70.74.272(1)(b))

Manufacture, deliver, or possess with intent to deliver narcotics from Schedule I or II (except heroin or cocaine) or flunitrazepam from Schedule IV (RCW 69.50.401(a)(1)(i))

Rape of a Child 3 (RCW 9A.44.079)

Theft of a Firearm (RCW 9A.56.300)

Unlawful Storage of Anhydrous Ammonia (RCW 69.55.020)

V

Abandonment of dependent person 1 (RCW 9A.42.060)

Advancing money or property for extortionate extension of credit (RCW 9A.82.030)

Bail Jumping with class A Felony (RCW 9A.76.170(2)(b))

Child Molestation 3 (RCW 9A.44.089)

Criminal Mistreatment 1 (RCW 9A.42.020)

Custodial Sexual Misconduct 1 (RCW 9A.44.160)

Delivery of imitation controlled substance by person eighteen or over to person under eighteen (RCW 69.52.030(2))

Domestic Violence Court Order Violation (RCW 10.99.040, 10.99.050, 26.09.300, 26.10.220, 26.26.138, 26.50.110, 26.52.070, or 74.34.145)

Extortion 1 (RCW 9A.56.120)

Extortionate Extension of Credit (RCW 9A.82.020)

Extortionate Means to Collect Extensions of Credit (RCW 9A.82.040)

Incest 2 (RCW 9A.64.020(2))

Kidnapping 2 (RCW 9A.40.030)

Perjury 1 (RCW 9A.72.020)

Persistent prison misbehavior (RCW 9.94.070)

Possession of a Stolen Firearm (RCW 9A.56.310)

Rape 3 (RCW 9A.44.060)

Rendering Criminal Assistance 1 (RCW 9A.76.070)

Sexual Misconduct with a Minor 1 (RCW 9A.44.093)

Sexually Violating Human Remains (RCW 9A.44.105)

Stalking (RCW 9A.46.110)

IV

Arson 2 (RCW 9A.48.030)

Assault 2 (RCW 9A.36.021)

Assault by Watercraft (RCW 79A.60.060)

Bribing a Witness/Bribe Received by Witness (RCW 9A.72.090, 9A.72.100)

Commercial Bribery (RCW 9A.68.060)

Counterfeiting (RCW 9.16.035(4))

Escape 1 (RCW 9A.76.110)

Hit and Run--Injury (RCW 46.52.020(4)(b))

Hit and Run with Vessel--Injury Accident (RCW 79A.60.200(3))

Indecent Exposure to Person Under Age Fourteen (subsequent sex offense) (RCW 9A.88.010)

Influencing Outcome of Sporting Event (RCW 9A.82.070)

Knowingly Trafficking in Stolen Property (RCW 9A.82.050(2))

Malicious Harassment (RCW 9A.36.080)

Manufacture, deliver, or possess with intent to deliver narcotics from Schedule III, IV, or V or nonnarcotics from Schedule I-V (except marijuana, amphetamine, methamphetamines, or flunitrazepam) (RCW 69.50.401(a)(1) (iii) through (v))

Residential Burglary (RCW 9A.52.025)

Robbery 2 (RCW 9A.56.210)

Theft of Livestock 1 (RCW 9A.56.080)

Threats to Bomb (RCW 9.61.160)

Use of Proceeds of Criminal Profiteering (RCW 9A.82.080 (1) and (2))

Vehicular Assault by being under the influence of intoxicating liquor or any drug, or by the operation or driving of a vehicle in a reckless manner (RCW 46.61.522)

Willful Failure to Return from Furlough (RCW 72.66.060)

III

Abandonment of dependent person 2 (RCW 9A.42.070)

Assault 3 (RCW 9A.36.031)

Assault of a Child 3 (RCW 9A.36.140)

Bail Jumping with class B or C Felony (RCW 9A.76.170(2)(c))

Burglary 2 (RCW 9A.52.030)

Communication with a Minor for Immoral Purposes (RCW 9.68A.090)

Criminal Gang Intimidation (RCW 9A.46.120)

Criminal Mistreatment 2 (RCW 9A.42.030)

Custodial Assault (RCW 9A.36.100)

Delivery of a material in lieu of a controlled substance (RCW 69.50.401(c))

Escape 2 (RCW 9A.76.120)

Extortion 2 (RCW 9A.56.130)

Harassment (RCW 9A.46.020)

Intimidating a Public Servant (RCW 9A.76.180)

Introducing Contraband 2 (RCW 9A.76.150)

Maintaining a Dwelling or Place for Controlled Substances (RCW 69.50.402(a)(6))

Malicious Injury to Railroad Property (RCW 81.60.070)

Manufacture, deliver, or possess with intent to deliver marijuana (RCW 69.50.401(a)(1)(iii))

Manufacture, distribute, or possess with intent to distribute an imitation controlled substance (RCW 69.52.030(1))

Patronizing a Juvenile Prostitute (RCW 9.68A.100)

Perjury 2 (RCW 9A.72.030)

Possession of Incendiary Device (RCW 9.40.120)

Possession of Machine Gun or Short-Barreled Shotgun or Rifle (RCW 9.41.190)

Promoting Prostitution 2 (RCW 9A.88.080)

 Recklessly Trafficking in Stolen Property (RCW 9A.82.050(1))

Securities Act violation (RCW 21.20.400)

Tampering with a Witness (RCW 9A.72.120)

Telephone Harassment (subsequent conviction or threat of death) (RCW 9.61.230)

Theft of Livestock 2 (RCW 9A.56.080)

Unlawful Imprisonment (RCW 9A.40.040)

Unlawful possession of firearm in the second degree (RCW 9.41.040(1)(b))

Unlawful Use of Building for Drug Purposes (RCW 69.53.010)

Vehicular Assault by the operation or driving of a vehicle with disregard for the safety of others (RCW 46.61.522)

Willful Failure to Return from Work Release (RCW 72.65.070)

II

Computer Trespass 1 (RCW 9A.52.110)

Counterfeiting (RCW 9.16.035(3))

Create, deliver, or possess a counterfeit controlled substance (RCW 69.50.401(b))

Escape from Community Custody (RCW 72.09.310)

Health Care False Claims (RCW 48.80.030)

Malicious Mischief 1 (RCW 9A.48.070)

Possession of controlled substance that is either heroin or narcotics from Schedule I or II or flunitrazepam from Schedule IV (RCW 69.50.401(d))

Possession of phencyclidine (PCP) (RCW 69.50.401(d))

Possession of Stolen Property 1 (RCW 9A.56.150)

Theft 1 (RCW 9A.56.030)

Theft of Rental, Leased, or Lease-purchased Property (valued at one thousand five hundred dollars or more) (RCW 9A.56.096(4))

Trafficking in Insurance Claims (RCW 48.30A.015)

Unlawful Practice of Law (RCW 2.48.180)

Unlicensed Practice of a Profession or Business (RCW 18.130.190(7))

I

Attempting to Elude a Pursuing Police Vehicle (RCW 46.61.024)

False Verification for Welfare (RCW 74.08.055)

Forged Prescription (RCW 69.41.020)

Forged Prescription for a Controlled Substance (RCW 69.50.403)

Forgery (RCW 9A.60.020)

Malicious Mischief 2 (RCW 9A.48.080)

Possess Controlled Substance that is a Narcotic from Schedule III, IV, or V or Non-narcotic from Schedule I-V (except phencyclidine or flunitrazepam) (RCW 69.50.401(d))

Possession of Stolen Property 2 (RCW 9A.56.160)

Reckless Burning 1 (RCW 9A.48.040)

Taking Motor Vehicle Without Permission (RCW 9A.56.070)

Theft 2 (RCW 9A.56.040)

Theft of Rental, Leased, or Lease-purchased Property (valued at two hundred fifty dollars or more but less than one thousand five hundred dollars) (RCW 9A.56.096(4))

Unlawful Issuance of Checks or Drafts (RCW 9A.56.060)

Unlawful Use of Food Stamps (RCW 9.91.140 (2) and (3))

Vehicle Prowl 1 (RCW 9A.52.095)"

 

             Correct the title.

 

Signed by Representatives Carrell, Republican Co-Chair; Lantz, Democratic Co-Chair; Hurst, Democratic Vice Chair; Lambert, Republican Vice Chair; Boldt; Casada; Dickerson; Esser; Lovick and McDermott.

 

             Voting yea: Representatives Boldt, Carrell, Casada, Dickerson, Esser, Hurst, Lambert, Lantz, Lovick, and McDermott.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SSB 5793          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Creating the holding company act for health care service contractors and health maintenance organizations. Reported by Committee on Financial Institutions & Insurance

 

MAJORITY recommendation: Do pass. Signed by Representatives Benson, Republican Co-Chair; Hatfield, Democratic Co-Chair; Bush, Republican Vice Chair; McIntire, Democratic Vice Chair; Barlean; Cairnes; DeBolt; Keiser; Miloscia; Roach; Santos and Simpson.

 

             Voting yea: Representatives Benson, Hatfield, Bush, McIntire, Barlean, Cairnes, DeBolt, Keiser, Miloscia, Roach, Santos and Simpson.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SB 5829            Prime Sponsor, Senator Prentice: Relating to cooperative activities by local governments. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Conway; Darneille; Edmonds; Edwards; Marine and Ruderman.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Skinner, Republican Vice Chair; Alexander; Ballasiotes; McMorris and Pennington.

 

             Voting yea: Representatives Campbell, Cody, Conway, Darneille, Edmonds, Edwards, Marine, Ruderman, and Schual-Berke.

             Voting nay: Representatives Alexander, Ballasiotes, McMorris, Pennington, and Skinner.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESB 5835         Prime Sponsor, Senator Finkbeiner: Removing the expiration date on emergency administration of epinephrine. (REVISED FOR ENGROSSED: Regarding administration of epinephrine.) Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             Beginning on page 2, after line 5, strike all of sections 2, 3, and 4

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Edmonds, Edwards, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5836            Prime Sponsor, Senator Fairley: Creating the community health center capital trust fund account. Reported by Committee on Capital Budget

 

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 current economic conditions and declining resources at the federal, state, and local level adversely affect the ability of low-income and underserved persons to obtain quality and affordable health care. Community health centers provide access to health care to those persons who are otherwise unable to obtain these services.

             (2) The legislature further finds that community health centers face the challenge of meeting a growing demand for services in cramped and outdated facilities and meeting the need of establishing new facilities to serve additional communities with large, underserved populations.

             (3) The legislature declares that it is in the public interest to establish a continuously renewable resource known as the community health center capital trust fund account to assist low and very low-income citizens and other underserved citizens to meet their basic health care needs.

 

             Sec. 2. RCW 70.37.020 and 1994 c 92 s 505 are each amended to read as follows:

             ((As used in this chapter,)) The ((following words and terms have the following meanings,)) definitions in this section apply throughout this chapter unless the context ((indicates or)) clearly requires ((another or different meaning or intent and the singular of any term shall encompass the plural and the plural the singular unless the context indicates)) otherwise((:)).

             (1) "Authority" means the Washington health care facilities authority created by RCW 70.37.030 or any board, body, commission, department or officer succeeding to the principal functions thereof or to whom the powers conferred upon the authority shall be given by law.

             (2) "Bonds" mean bonds, notes or other evidences of indebtedness of the authority issued pursuant hereto.

             (3) "Community health center" means a nonprofit corporation providing health care services to needy populations where all of the following apply: (a) It is tax exempt under section 501(c)(3) of the internal revenue code (26 U.S.C. Sec. 501(c)(3)); (b) it is governed by a community-based board over half of whom are users of health care services; (c) it utilizes a sliding fee scale based on the federal poverty level; (d) at least two-fifths of the patients it serves are uninsured or on medicaid; and (e) at least three-fourths of the patients it serves have incomes below two hundred percent of the federal poverty level.

             (4) "Health care facility" means any land, structure, system, machinery, equipment or other real or personal property or appurtenances useful for or associated with delivery of inpatient or outpatient health care service or support for such care or any combination thereof which is operated or undertaken in connection with hospital, clinic, health maintenance organization, diagnostic or treatment center, extended care facility, or any facility providing or designed to provide therapeutic, convalescent, or preventive health care services, and shall include research and support facilities of a comprehensive cancer center, but excluding, however, any facility which is maintained by a participant primarily for rental or lease to self-employed health care professionals or as an independent nursing home or other facility primarily offering domiciliary care.

             (((4))) (5) "Participant" means any city, county, or other municipal corporation or agency or political subdivision of the state or any corporation, hospital, comprehensive cancer center, or health maintenance organization authorized by law to operate nonprofit health care facilities, or any affiliate, as defined by ((regulations promulgated)) rules adopted by the director of the department of financial institutions pursuant to RCW 21.20.450, which is a nonprofit corporation acting for the benefit of any entity described in this subsection.

             (((5))) (6) "Project" means a specific health care facility or any combination of health care facilities, constructed, purchased, acquired, leased, used, owned, or operated by a participant, and alterations, additions to, renovations, enlargements, betterments, and reconstructions thereof.

 

             NEW SECTION. Sec. 3. (1) The community health center assistance program is created within the authority. The intent of the program is to carry out the purposes of this section and section 4 of this act. The programs and authority powers under this section and section 4 of this act shall be deemed to be in addition to and separate from the other powers, programs, and activities of the authority authorized by law.

             (2) The community health center capital trust fund account is created in the custody of the state treasurer. All receipts from private contributions, repayment of loans, and any other sources must be deposited into the account. It is the intent of the legislature that state funds not be appropriated to this account for the biennium ending June 30, 2003. Expenditures from the account may be used only for the purposes of this section and section 4 of this act. Only the authority or the authority'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. Subaccounts may also be set up within this account.

             (3) The authority shall use moneys from the community health center capital trust fund account established under subsection (2) of this section to guarantee or subsidize loans for community health centers, and for other general purposes associated with making community health center credits more attractive to the municipal bond market, and finance in whole or in part any loans for community health centers.

             (4) Activities eligible for assistance from the community health center capital trust fund account established under subsection (2) of this section include but are not limited to:

             (a) New construction, renovation, or acquisition of an existing building, or acquisition of land to be converted into a community health center;

             (b) Equipment acquisition for community health centers;

             (c) Technical assistance, design and finance services and consultation, administrative costs for eligible community health centers, and costs associated with providing and administering loans to community health centers;

             (d) Loan subsidies;

             (e) Guarantees or payments for eligible projects; and

             (f) Refinancing of existing debt.

             (5) Moneys in the community health center capital trust fund account may be used only for the purposes of this section and section 4 of this act, and not for the administrative costs of the authority.

             (6) Moneys from repayment of loans issued by the authority from the community health center capital trust fund account may be used for all activities necessary for the proper functioning of the community health center assistance program.

             (7) Organizations that may receive assistance from the authority under this section and section 4 of this act are community health centers as defined in RCW 70.37.020. Eligibility for assistance from the authority under this chapter also requires that the recipient have no outstanding tax warrants under RCW 82.32.210 at the time the grant is made.

 

             NEW SECTION. Sec. 4. (1) During each calendar year in which moneys in the community health center capital trust fund account, created in section 3 of this act, are available for use by the authority for the community health center assistance program, the authority shall announce to all known community health centers located in the state of Washington a loan application period of at least ninety days' duration. This announcement shall be made as often as the executive director of the authority deems appropriate for proper utilization of resources. The authority shall then grant as many applications as will utilize available moneys.

             (2) The authority shall evaluate applicants based on the following considerations:

             (a) Applicants must demonstrate the ability to provide health care services to a caseload that is comprised primarily of low-income and underserved persons;

             (b) Applicants must demonstrate the ability, stability, and resources to implement the provisions of its application on an ongoing basis; and

             (c) Applicants must meet the definition of community health center as defined in RCW 70.37.020.

 

             Sec. 5. RCW 70.37.090 and 1974 ex.s. c 147 s 9 are each amended to read as follows:

             The authority shall have power to require community health centers, health care facilities, and other persons applying for its assistance in connection with the investigation and financing of projects to pay fees and charges to provide the authority with funds for investigation, financial feasibility studies, expenses of issuance and sale of bonds and other charges for services provided by the authority in connection with such projects((. All other expenses of the authority)), including compensation of its employees and consultants, expenses of administration, and conduct of its work and business and other expenses. These expenses shall be paid out of such fees and charges, out of contributions and grants to ((it)) the authority, out of the proceeds of bonds issued for projects of participants, or out of revenues of such projects((; none)). No expense may be paid by the state of Washington. The authority shall have power to establish special funds into which such money shall be received and out of which it may be disbursed by the persons and with the procedure and in the manner established by the authority. The authority has the power to invest revenue from fees and charges or other income in excess of expenses. The authority also has the power to establish special funds into which excess revenue from fees and charges, contributions and grants, and investment earnings on any such moneys shall be received and out of which it may be disbursed by grant, loan, or other financing method to individual participants with total assets of fifty million dollars or less to finance health care facilities in accordance with the provisions of this chapter.

 

             NEW SECTION. Sec. 6. Sections 3 and 4 of this act are each added to chapter 70.37 RCW.

 

             NEW SECTION. Sec. 7. 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."

 

Signed by Representatives Alexander, Republican Co-Chair; Murray, Democratic Co-Chair; Armstrong, Republican Vice Chair; Esser, Republican Vice Chair; McIntire, Democratic Vice Chair; Barlean; Bush; Hankins; Hunt; Lantz; O'Brien; Ogden; Poulsen; Reardon; Schoesler; Veloria and Woods.

 

MINORITY recommendation: Do not pass. Signed by Representatives Casada.

 

             Voting yea: Representatives Alexander, Armstrong, Esser, McIntire, Barlean, Bush, Hankins, Hunt, Lantz, Murray, O'Brien, Ogden, Reardon, Schoesler, Veloria, and Woods.

             Voting nay: Representative Casada.

             Excused: Representative Poulsen.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5837          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Establishing a pilot project culturing shellfish on nonproductive oyster reserve land. Reported by Committee on Natural Resources

 

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 77.60 RCW to read as follows:

             (1) The department shall initiate a pilot project to evaluate the feasibility and potential of intensively culturing shellfish on currently nonproductive oyster reserve land in Puget Sound. The pilot program shall include no fewer than three long-term lease agreements with commercial shellfish growers.

             (2) The department shall form one advisory committee each for the Willapa Bay oyster reserve lands and the Puget Sound oyster reserve lands. The advisory committees shall make recommendations on management practices to conserve, protect, and develop oyster reserve lands. The advisory committees may make recommendations regarding the management practices on oyster reserve lands, in particular to ensure that they are managed in a manner that will: (a) Increase revenue through production of high-value shellfish; (b) not be detrimental to the market for shellfish grown on nonreserve lands; and (c) avoid negative impacts to existing shellfish populations. The advisory committees may also make recommendation on the distribution of funds in RCW 77.12.170(1)(k)(i). The department shall attempt to structure each advisory committee to include equal representation between shellfish growers that participate in reserve sales and shellfish growers that do not.

             (3) The department shall submit a brief progress report on the status of the pilot programs to the appropriate standing committees of the legislature by January 7, 2003.

             (4) The department of natural resources, in consultation with the department of fish and wildlife, shall administer the leases for oyster reserves entered into under this chapter. In administering the leases, the department of natural resources shall exercise its authority under RCW 79.96.090. Vacation of state oyster reserves by the department of fish and wildlife shall not be a requirement for the department of natural resources to lease any oyster reserves under this section. The department of natural resources may recover reasonable costs directly associated with the administration of the leases for oyster reserves entered into under this chapter. All administrative fees collected by the department of natural resources pursuant to this section shall be deposited into the resource management cost account established in RCW 79.64.020. The department of fish and wildlife may not assess charges to recover the costs of consulting with the department of natural resources under this subsection.

             (5) The Puget Sound pilot program shall not include the culture of geoduck.

             (6) All receipts from revenues from the lease of land or sale of shellfish from oyster reserve lands must be deposited in the state wildlife fund established under RCW 77.12.170.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 90.71 RCW to read as follows:

             (1) The action team shall establish a shellfish - on-site sewage grant program in Puget Sound and for Pacific and Grays Harbor counties. The action team shall provide funds to local health jurisdictions to be used as grants to individuals for improving their on-site sewage systems. The grants may be provided only in areas that have the potential to adversely affect water quality in commercial and recreational shellfish growing areas. A recipient of a grant shall enter into an agreement with the appropriate local health jurisdiction to maintain the improved on-site sewage system according to specifications required by the local health jurisdiction. The action team shall work closely with local health jurisdictions and shall endeavor to attain geographic equity between Willapa Bay and the Puget Sound when making funds available under this program. For the purposes of this subsection, "geographic equity" means issuing on-site sewage grants at a level that matches the funds generated from the oyster reserve lands in that area.

             (2) In the Puget Sound, the action team shall give first priority to areas that are:

             (a) Identified as "areas of special concern" under WAC 246-272-01001; or

             (b) Included within a shellfish protection district under chapter 90.72 RCW.

             (3) In Grays Harbor and Pacific counties, the action team shall give first priority to preventing the deterioration of water quality in areas where commercial or recreational shellfish are grown.

             (4) The action team and each participating local health jurisdiction shall enter into a memorandum of understanding that will establish an applicant income eligibility requirement for individual grant applicants from within the jurisdiction and other mutually agreeable terms and conditions of the grant program.

             (5) The action team may recover the costs to administer this program not to exceed ten percent of the shellfish - on-site sewage grant program.

             (6) For the 2001-2003 biennium, the action team may use up to fifty percent of the shellfish - on-site sewage grant program funds for grants to local health jurisdictions to establish areas of special concern under WAC 246-272-01001, or for operation and maintenance programs therein, where commercial and recreational uses are present.

 

             Sec. 3. RCW 79.96.110 and 2000 c 11 s 30 are each amended to read as follows:

             (1) In ((case the director of)) the event that the fish and wildlife commission approves the vacation of the whole or any part of ((said)) a reserve, the department of natural resources may vacate and offer for lease such parts or all of ((said)) the reserve as it deems to be for the best interest of the state, and all moneys received for the lease of such lands shall be paid to the department of natural resources((: PROVIDED, That nothing in RCW 79.96.090 through 79.96.110 shall be construed as authorizing the lease of any tidelands which have heretofore, or which may hereafter, be set aside as)).

             (2) Notwithstanding RCW 77.60.020, subsection (1) of this section, or any other provision of state law, the state oyster reserves in Eld Inlet, Hammersley Inlet, or Totten Inlet, situated in Mason or Thurston counties((: PROVIDED FURTHER, That any portion of Plat 138, Clifton's Oyster Reserve, which has already been vacated, may be leased by the department)) shall permanently be designated as state oyster reserve lands.

 

             Sec. 4. RCW 77.12.170 and 2000 c 107 s 216 are each amended to read as follows:

             (1) There is established in the state treasury the state wildlife fund which consists of moneys received from:

             (a) Rentals or concessions of the department;

             (b) The sale of real or personal property held for department purposes;

             (c) The sale of licenses, permits, tags, stamps, and punchcards required by this title, except annual resident adult saltwater and all shellfish licenses, which shall be deposited into the state general fund;

             (d) Fees for informational materials published by the department;

             (e) Fees for personalized vehicle license plates as provided in chapter 46.16 RCW;

             (f) Articles or wildlife sold by the director under this title;

             (g) Compensation for damage to department property or wildlife losses or contributions, gifts, or grants received under RCW 77.12.320 or 77.32.380;

             (h) Excise tax on anadromous game fish collected under chapter 82.27 RCW;

             (i) The sale of personal property seized by the department for food fish, shellfish, or wildlife violations; ((and))

             (j) The department's share of revenues from auctions and raffles authorized by the commission; and

             (k) All receipts from revenues from the lease of land or sale of shellfish from oyster reserve lands under section 1 of this act. Revenues deposited into the fund pursuant to this subsection (1)(k) may only be expended in the following manner:

             (i) Up to forty percent for the management expenses incurred by the department that are directly attributable to the management of the oyster reserve lands and for the expenses associated with new research and development activities at the Pt. Whitney and Nahcotta shellfish laboratories managed by the department. As used in this subsection (1)(k)(i), "new research and development activities" includes an emphasis on the control of aquatic nuisance species and burrowing shrimp;

             (ii) Up to ten percent may be deposited into the state general fund; and

             (iii) All remaining revenues deposited into the fund pursuant to this subsection (1)(k) shall be used for the shellfish - on-site sewage grant program established in section 2 of this act.

             (2) State and county officers receiving any moneys listed in subsection (1) of this section shall deposit them in the state treasury to be credited to the state wildlife fund."

 

             On page 1, line 1 of the title, after "lands;" strike the remainder of the title and insert "amending RCW 79.96.110 and 77.12.170; adding a new section to chapter 77.60 RCW; and adding a new section to chapter 90.71 RCW."

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer Ericksen, Jackley, Murray and Pennington.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

ESSB 5845       Prime Sponsor, Senate Committee on Human Services & Corrections: Regulating siting of sex offender treatment facilities. Reported by Committee on Criminal Justice & Corrections

 

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 the individualized treatment required for constitutional civil commitment includes the realistic possibility of release to a less restrictive alternative rather than total confinement in appropriate cases. The legislature finds that most persons civilly committed under chapter 71.09 RCW who become eligible for release to a less restrictive alternative do not have appropriate housing and that the lack of housing may unduly restrict the person's ability to move to a less restrictive alternative placement. The legislature also finds that these facilities are essential public facilities, are subject to public protest upon siting, and that some cities and counties have imposed moratoriums on zoning and permitting processes. The legislature further finds that this reaction hampers its ability and the ability of the department of social and health services to comply with constitutional and statutory requirements and with court orders to create housing for less restrictive alternative placements. The legislature, therefore, intends to provide statewide guidance for the siting of less restrictive alternative housing for persons placed on less restrictive alternative placements under chapter 71.09 RCW.

             (2) It is the intent of the legislature to:

             (a) Enhance public safety and maximize the potential for successful treatment of sexually violent predators through the tightly managed use of less restrictive alternatives in community-based secure community transition facilities;

             (b) Maximize the safety of communities in which secure community transition facilities are located and ensure public input into secure community transition facilities by enabling community participation in decisions involving these essential public facilities;

             (c) Comply with federal court orders and require the siting of less restrictive alternative housing facilities and to preclude the possibility that the department of social and health services would be unable to site a facility due to local moratoriums and requirements;

             (d) Require the department to work with local jurisdictions to address specific local concerns and develop zoning requirements and development regulations that balance the need for siting with public safety; and

             (e) Improve public safety by strengthening the safeguards in placement, oversight, and monitoring of the persons released to a less restrictive alternative in a secure community transition facility, and by establishing minimum standards for the siting and operation of secure community transition facilities.

             (3) The legislature finds that community participation in siting and oversight is vital to the success of secure community transition facilities for less restrictive alternatives.

 

             Sec. 2. RCW 71.09.020 and 1995 c 216 s 1 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) (("Sexually violent predator" means any person who has been convicted of or charged with a crime of sexual violence and who suffers from a mental abnormality or personality disorder which makes the person likely to engage in predatory acts of sexual violence if not confined in a secure facility.

             (2) "Mental abnormality" means a congenital or acquired condition affecting the emotional or volitional capacity which predisposes the person to the commission of criminal sexual acts in a degree constituting such person a menace to the health and safety of others.)) "Department" means the department of social and health services.

             (2) "Less restrictive alternative" means court-ordered treatment in a setting less restrictive than total confinement.

             (3) "Likely to engage in predatory acts of sexual violence" means that the person more probably than not will engage in such acts. Such likelihood must be evidenced by a recent overt act if the person is not totally confined at the time the petition is filed under RCW 71.09.030.

             (4) "Mental abnormality" means a congenital or acquired condition affecting the emotional or volitional capacity which predisposes the person to the commission of criminal sexual acts in a degree constituting such person a menace to the health and safety of others.

             (5) "Predatory" means acts directed towards strangers or individuals with whom a relationship has been established or promoted for the primary purpose of victimization.

             (((5))) (6) "Recent overt act" means any act that has either caused harm of a sexually violent nature or creates a reasonable apprehension of such harm.

             (((6))) (7) "Risk potential activity" or "risk potential facility" means an activity or facility that provides a higher incidence of risk to the public from persons conditionally released from the special commitment center. Risk potential activities and facilities include: Public and private schools, school bus stops, licensed day care and licensed preschool facilities, public parks, publicly dedicated trails, sports fields, playgrounds, recreational and community centers, churches, synagogues, temples, mosques, and public libraries.

             (8) "Secretary" means the secretary of social and health services or the secretary's designee.

             (9) "Secure facility" means a residential facility for persons civilly confined under the provisions of this chapter. A secure facility is a facility that provides supervision and sex offender treatment services in a total confinement setting. Secure facilities include the special commitment center and any similar facility for males or females designated as a secure facility by the secretary.

             (10) "Secure community transition facility" means a residential facility for persons civilly committed and conditionally released to a less restrictive alternative under this chapter. A secure community transition facility has supervision, security, and either provides or ensures the provision of sex offender treatment services. Secure community transition facilities include but are not limited to the facility established on McNeil Island pursuant to section 3 of this act, and any community-based housing established under this chapter and operated by the secretary or under contract with the secretary.

             (11) "Sexually violent offense" means an act committed on, before, or after July 1, 1990, that is: (a) An act defined in Title 9A RCW as rape in the first degree, rape in the second degree by forcible compulsion, rape of a child in the first or second degree, statutory rape in the first or second degree, indecent liberties by forcible compulsion, indecent liberties against a child under age fourteen, incest against a child under age fourteen, or child molestation in the first or second degree; (b) a felony offense in effect at any time prior to July 1, 1990, that is comparable to a sexually violent offense as defined in (a) of this subsection, or any federal or out-of-state conviction for a felony offense that under the laws of this state would be a sexually violent offense as defined in this subsection; (c) an act of murder in the first or second degree, assault in the first or second degree, assault of a child in the first or second degree, kidnapping in the first or second degree, burglary in the first degree, residential burglary, or unlawful imprisonment, which act, either at the time of sentencing for the offense or subsequently during civil commitment proceedings pursuant to chapter 71.09 RCW, has been determined beyond a reasonable doubt to have been sexually motivated, as that term is defined in RCW 9.94A.030; or (d) an act as described in chapter 9A.28 RCW, that is an attempt, criminal solicitation, or criminal conspiracy to commit one of the felonies designated in (a), (b), or (c) of this subsection.

             (((7) "Less restrictive alternative" means court-ordered treatment in a setting less restrictive than total confinement.

             (8) "Secretary" means the secretary of social and health services or his or her designee.))

             (12) "Sexually violent predator" means any person who has been convicted of or charged with a crime of sexual violence and who suffers from a mental abnormality or personality disorder which makes the person likely to engage in predatory acts of sexual violence if not confined in a secure facility.

 

             NEW SECTION. Sec. 3. A new section is added to chapter 71.09 RCW to read as follows:

             (1)(a) Notwithstanding any other provision of this act, the secretary is authorized to site and operate a secure community transition facility on McNeil Island.

             (b) Notwithstanding RCW 36.70A.103 or any other law, until December 31, 2003, to the extent siting a secure community transition facility on McNeil Island is inconsistent with local comprehensive plans and/or development regulations, this statute preempts and supersedes those local plans and regulations.

             (c) Nothing in this section limits the state's authority to site an essential public facility under RCW 36.70A.200 in conformance with local comprehensive plans and development regulations.

             (2) Upon enactment into law of this act, the state shall immediately enter into negotiations for a mitigation agreement with the county in which the secure community treatment facility established pursuant to this section is located, and with each city in that county that is located within a ten-mile radius of the facility, that will provide state funding, as appropriated for this purpose, in an amount adequate to mitigate anticipated or realized increased costs in law enforcement resulting from any increased risks to public safety brought about by the presence of sexually violent predators in those communities due to the siting of the facility.

 

             NEW SECTION. Sec. 4. A new section is added to chapter 71.09 RCW to read as follows:

             On or before December 1, 2002, the department shall submit a report to the appropriate committees of the legislature regarding policies for the subsequent placement of sexually violent predators on court-ordered conditional release residing in the secure community transition facility established pursuant to section 3 of this act. The report shall address the following:

             (1) The anticipated number of persons who may be eligible for conditional release to a setting less restrictive than the facility established pursuant to section 3 of this act during the 2003-2005 and 2005-2007 biennia;

             (2) The anticipated need, if any, for secure community transition facilities smaller than the facility established pursuant to section 3 of this act;

             (3) Policies that will be implemented to ensure that placement of persons eligible in the future for conditional release to a setting less restrictive than the facility established pursuant to section 3 of this act will be equitably distributed among the counties, and within each county, among jurisdictions in the county. These persons shall not be placed in the county where the facility established pursuant to section 3 of this act is located unless the person, or his or her family members, had an established long-term residence in that county at the time the person was civilly committed.

 

             NEW SECTION. Sec. 5. A new section is added to chapter 71.09 RCW to read as follows:

             (1) The secretary shall adopt rules that balance the average response time of emergency services to the general area of a proposed secure community transition facility, except with respect to the secure community transition facility established pursuant to section 3 of this act, against the proximity of the proposed site to risk potential activities and facilities in existence at the time the site is listed for consideration.

             (2) In balancing the competing criteria of proximity and response time the rule shall endeavor to achieve an average law enforcement response time not greater than five minutes and in no case shall the rule permit location of a facility adjacent to, immediately across a street or parking lot from, or within the line of sight of a risk potential activity or facility in existence at the time a site is listed for consideration. "Within the line of sight" means that it is possible to reasonably visually distinguish and recognize individuals.

             (3) The rule shall require that great weight be given to sites that are the farthest removed from any risk potential activity.

             (4) The rule shall specify how distance from the location is measured and any variations in the measurement based on the size of the property within which a proposed facility is to be located.

             (5) The rule shall establish a method to analyze and compare the criteria for each site in terms of public safety and security, site characteristics, and program components. In making a decision regarding a site following the analysis and comparison, the secretary shall give priority to public safety and security considerations. The analysis and comparison of the criteria are to be documented and made available at the public hearings prescribed in section 9 of this act.

 

             NEW SECTION. Sec. 6. By December 1, 2001, the secretary of the department of social and health services shall determine and report to the legislature whether there is a significant group of potential locations that are outside of a five-minute law enforcement response time zone that are more than two miles from any risk potential activities and whether, in the secretary's judgment, the legislature should require the rule to be revised to permit consideration of these properties.

 

             NEW SECTION. Sec. 7. A new section is added to chapter 71.09 RCW to read as follows:

             The secretary shall establish criteria for the siting of secure community transition facilities, other than the secure community transition facility established pursuant to section 3 of this act, which shall include at least the following minimum requirements:

             (1) No additional secure community transition facility may be sited in a county where the special commitment center and the secure community transition facility established pursuant to section 3 of this act are located.

             (2) Any real property listed for consideration for the location of or use as a secure community transition facility must meet all of the following criteria:

             (a) The proximity and response time criteria established under section 5 of this act;

             (b) The site or building is available for lease for the anticipated use period or for purchase;

             (c) Security monitoring services and appropriate back-up systems are available and reliable;

             (d) Appropriate mental health and sex offender treatment providers must be available within a reasonable commute; and

             (e) Appropriate permitting for a secure community transition facility must be possible under the zoning code of the local jurisdiction.

             (3) For sites which meet the criteria of subsection (2) of this section, the department shall analyze and compare the criteria in subsections (4) through (6) of this section using the method established in section 5 of this act.

             (4) Public safety and security criteria shall include at least the following:

             (a) Whether limited visibility between the facility and adjacent properties can be achieved prior to placement of any person;

             (b) The distance from, and number of, risk potential activities and facilities, as measured using the rules adopted under section 5 of this act;

             (c) The existence of or ability to establish barriers between the site and the risk potential facilities and activities;

             (d) Suitability of the buildings to be used for the secure community transition facility with regard to existing or feasibly modified features; and

              (e) The availability of electronic monitoring that allows a resident's location to be determined with specificity.

             (5) Site characteristics criteria shall include at least the following:

             (a) Reasonableness of rental, lease, or sale terms including length and renewability of a lease or rental agreement;

             (b) Traffic and access patterns associated with the real property;

             (c) Feasibility of complying with zoning requirements within the necessary time frame; and

             (d) A contractor or contractors are available to install, monitor, and repair the necessary security and alarm systems.

             (6) Program characteristics criteria shall include at least the following:

             (a) Reasonable proximity to available medical, mental health, sex offender, and chemical dependency treatment providers and facilities;

             (b) Suitability of the location for programming, staffing, and support considerations;

             (c) Proximity to employment, educational, vocational, and other treatment plan components; and

             (d) In facilities designed to house five or fewer residents, a minimum staffing ratio of one staff per resident during normal waking hours and two awake staff during normal sleeping hours. In no case shall all staff on a shift be persons classified as entry or trainee level staff.

             (7) Unless otherwise ordered by the court, at least one staff member, or other court-authorized and department-approved person must escort each resident when the resident leaves the site for appointments, employment, or other approved activities. Escorting persons must supervise the resident closely and maintain close proximity to the resident.

             (8) For purposes of this section "available" or "availability" of qualified treatment providers includes provider qualifications and willingness to provide services, average commute time, and cost of services.

 

             NEW SECTION. Sec. 8. A new section is added to chapter 71.09 RCW to read as follows:

             Security systems for secure community transition facilities designed to house five or fewer residents shall meet the following minimum qualifications:

             (1)(a) The security panel must be a commercial grade panel with tamper-proof switches and a key-lock to prevent unauthorized access.

             (b) There must be an emergency electrical supply system which shall include a battery back-up system and a generator.

             (2) The system must include personal panic devices for all staff.

             (3) The security system must be capable of being monitored and signaled either by telephone through either a land or cellular telephone system or by private radio network in the event of a total dial-tone failure or through equivalent technologies.

             (4) The department shall issue photo-identification badges to all staff which must be worn at all times.

 

             NEW SECTION. Sec. 9. A new section is added to chapter 71.09 RCW to read as follows:

             (1) Whenever the department operates, or the secretary enters into a contract to operate, a secure community transition facility, the secure community transition facility may be operated only after the public notification and opportunities for review and comment as required by this section.

             (2) The secretary shall establish a process for early and continuous public participation in establishing or relocating secure community transition facilities. Except as provided in subsection (3) of this section, the process shall include, at a minimum, public meetings in the local communities affected, as well as opportunities for written and oral comments, in the following manner:

             (a) If there are more than three sites initially selected as potential locations and the selection process by the secretary or a service provider reduces the number of possible sites for a secure community transition facility to no fewer than three, the secretary or the chief operating officer of the service provider shall notify the public of the possible siting and hold at least two public hearings in each community where a secure community transition facility may be sited.

             (b) When the secretary or service provider has determined the secure community transition facility's location, the secretary or the chief operating officer of the service provider shall hold at least one additional public hearing in the community where the secure community transition facility will be sited.

             (c) When the secretary has entered negotiations with a service provider and only one site is under consideration, then at least two public hearings shall be held.

             (d) To provide adequate notice of, and opportunity for interested persons to comment on, a proposed location, the secretary or the chief operating officer of the service provider shall provide at least fourteen days' advance notice of the meeting to all newspapers of general circulation in the community, all radio and television stations generally available to persons in the community, any school district in which the secure community transition facility would be sited or whose boundary is within two miles of a proposed secure community transition facility, any library district in which the secure community transition facility would be sited, local business or fraternal organizations that request notification from the secretary or agency, and any person or property owner within a one-half mile radius of the proposed secure community transition facility. Before initiating this process, the department of social and health services shall contact local government planning agencies in the communities containing the proposed secure community transition facility. The department of social and health services shall coordinate with local government agencies to ensure that opportunities are provided for effective citizen input and to reduce the duplication of notice and meetings.

             (3) The department shall, prior to operating the secure community transition facility established pursuant to section 3 of this act, hold at least three public hearings in the affected communities within the county where the facility is located. The purpose of the public hearings is to seek input from county and city officials, local law enforcement officials, and the public regarding operations and security measures needed to adequately protect the community from any increased risk to public safety brought about by the presence of sexually violent predators in these communities due to the siting of the facility.

             (4) Except as provided in subsection (3) of this section, this section applies only to secure community transition facilities sited after the effective date of this act.

 

             NEW SECTION. Sec. 10. A new section is added to chapter 71.09 RCW to read as follows:

             (1) The secretary shall develop a process with local governments that allows each community in which a secure community transition facility is located to establish operational advisory boards for the secure community transition facilities. The department of social and health services may conduct community awareness activities to publicize this opportunity. The operational advisory boards developed under this section shall be implemented following the decision to locate a secure community transition facility in a particular community.

             (2) The operational advisory boards may review and make recommendations regarding the security and operations of the secure community transition facility and conditions or modifications necessary with relation to any person who the secretary proposes to place in the secure community transition facility.

             (3) The operational advisory boards, their members, and any agency represented by a member shall not be liable in any cause of action as a result of its recommendations unless the advisory board acts with gross negligence or bad faith in making a recommendation.

             (4) Members of a board shall be reimbursed for travel expenses as provided in RCW 43.03.050 and 43.03.060.

 

             NEW SECTION. Sec. 11. A new section is added to chapter 71.09 RCW to read as follows:

             (1) The secretary shall adopt a violation reporting policy for persons conditionally released to less restrictive alternative placements in secure community transition facilities. The policy shall require written documentation by the department of social and health services and service providers of all violations of conditions set by the department of social and health services, the department of corrections, or the court and establish criteria for returning a violator to the special commitment center or the less restrictive alternative treatment facility. Any conditionally released person who commits a serious violation of conditions shall be returned to the special commitment center, unless arrested by a law enforcement officer, and the court shall be notified immediately and the court shall initiate proceedings under RCW 71.09.098 to revoke or modify the less restrictive alternative placement unless the department makes a good cause showing why proceedings should not be initiated. Nothing in this section limits the authority of the department to return a person to the special commitment center based on a violation that is not a serious violation as defined in this section. For the purposes of this section, "serious violation" includes but is not limited to:

             (a) The commission of any criminal offense;

             (b) Any unlawful use or possession of a controlled substance; and

             (c) Any violation of conditions targeted to address the person's documented pattern of offense that increases the risk to public safety.

             When a person is released to a less restrictive alternative in a secure community transition facility under this chapter and is under the supervision of the department of corrections, notice of any violation of the person's conditions of release must also be made to the department of corrections. 

             (2) Whenever the secretary contracts with a service provider to operate a secure community transition facility, the contract shall include a requirement that the service provider must report to the department of social and health services any known violation of conditions committed by any resident of the secure community transition facility.

             (3) The secretary shall document in writing all violations, penalties, actions by the department of social and health services to remove persons from a secure community transition facility, and contract terminations. The secretary shall give great weight to a service provider's record of violations, penalties, actions by the department of social and health services or the department of corrections to remove persons from a secure community transition facility, and contract terminations in determining to execute, renew, or renegotiate a contract with a service provider.

 

             NEW SECTION. Sec. 12. A new section is added to chapter 71.09 RCW to read as follows:

             The secretary shall adopt rules that contain a schedule of monetary penalties for contractors operating secure community transition facilities, not to exceed the total compensation set forth in the contract, and include provisions for termination of all contracts with a service provider that has repeated or serious violations of section 11 of this act.

 

             NEW SECTION. Sec. 13. A new section is added to chapter 36.70A RCW to read as follows:

             (1) On or before September 1, 2002, the legislative authority of each county in the state, except the county where the special commitment center and the secure community transition facility established pursuant to section 3 of this act are located, shall adopt a countywide planning policy to establish the process for siting and to provide for an equitable distribution of secure community transition facilities as defined in RCW 71.09.020 within the county and the cities located in whole or in part within the county. The countywide planning policy required by this section shall be adopted in cooperation with the cities located in whole or in part within the county. Counties planning under the growth management act may integrate the planning policy required in the section with their growth management act planning process.

             (2) The department of social and health services shall be notified by each county of its intent to begin the countywide planning policy process required by this section and the department shall be invited to participate in this process.

             (3) The countywide planning policy required by this section shall, at a minimum, address the following:

             (a) The location of existing secure community transition facilities;

             (b) The social, economic, and other impacts of the existing secure community transition facilities on the communities in which they are located and the incremental impacts of siting additional secure community transition facilities in these communities;

             (c) A proposed allocation for the siting of future secure community transition facilities among the county and the cities located in whole or in part within the county; and

             (d) Coordination of development regulations, including but not limited to zoning regulations and design standards, to ensure that the proposed allocation of future secure community transition facilities can be achieved.

             (4) The countywide planning policy required by this section shall:

             (a) Be consistent with the siting criteria established pursuant to sections 5 and 7 through 9 of this act; and

             (b) Require any local conditional use permit or other development application process not to exceed sixty days in length and provide for an appeal process.

             (5) Within six months of the date the countywide planning policy required by subsection (1) of this section is adopted, the county and each city within the county shall adopt development regulations implementing the policy adopted under this section through appropriate revisions to their comprehensive plan and development regulations.

 

             NEW SECTION. Sec. 14. A new section is added to chapter 36.70 RCW to read as follows:

             Counties planning under this chapter must adopt a countywide planning policy for the siting of secure community transition facilities that complies with the timelines and requirements of section 13 of this act.

 

             Sec. 15. RCW 36.70A.200 and 1998 c 171 s 3 are each amended to read as follows:

             (1) The comprehensive plan of each county and city that is planning under this chapter shall include a process for identifying and siting essential public facilities. Essential public facilities include those facilities that are typically difficult to site, such as airports, state education facilities and state or regional transportation facilities as defined in RCW 47.06.140, state and local correctional facilities, solid waste handling facilities, and in-patient facilities including substance abuse facilities, mental health facilities, ((and)) group homes, and secure community transition facilities as defined in RCW 71.09.020.

             (2) The office of financial management shall maintain a list of those essential state public facilities that are required or likely to be built within the next six years. The office of financial management may at any time add facilities to the list. No local comprehensive plan or development regulation may preclude the siting of essential public facilities.

 

             Sec. 16. RCW 36.70A.103 and 1991 sp.s. c 32 s 4 are each amended to read as follows:

             State agencies shall comply with the local comprehensive plans and development regulations and amendments thereto adopted pursuant to this chapter except as otherwise provided in section 3 of this act.

 

             NEW SECTION. Sec. 17. A new section is added to chapter 71.09 RCW to read as follows:

             Except as provided in section 4 of this act, nothing in this act shall operate to restrict a court's authority to make less restrictive alternative placements to a committed person's individual residence. A court-ordered less restrictive alternative placement to a committed person's individual residence is not a less restrictive placement to a secure community transition facility.

 

             NEW SECTION. Sec. 18. A new section is added to chapter 71.09 RCW to read as follows:

             Not more than ten correctional employees, as selected by the secretary, who are members of the emergency response team for the McNeil Island correctional facility, shall have the powers and duties of a peace officer while acting in the apprehension of residents who have escaped from the special commitment center or the secure community transition facility established pursuant to section 3 of this act.

 

             NEW SECTION. Sec. 19. 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 immediately."

 

             Correct the title.

 

Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Kagi.

 

MINORITY recommendation: Do not pass. Signed by Representatives Cairnes; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick and Kagi.

             Voting nay: Representatives Cairnes, Kirby and Morell.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SB 5852            Prime Sponsor, Senator Franklin: Reporting on issues pertaining to racial profiling. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ahern, Ballasiotes, Cairnes, Kagi, Kirby, Lovick, Morell, and O'Brien.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SSB 5862          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Streamlining the process of selling valuable materials from state lands. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 79.01.084 and 1982 1st ex.s. c 21 s 150 are each amended to read as follows:

             The commissioner of public lands shall cause to be prepared, and furnish to applicants, blank forms of applications for the appraisal, transfer, and purchase of any state lands and the purchase of ((timber, fallen timber, stone, gravel, or other)) valuable materials situated thereon, and for the lease of state lands((, which)). These forms shall contain ((such)) instructions ((as will)) to inform and aid ((intending)) applicants ((in making applications)).

 

             Sec. 2. RCW 79.01.116 and 1982 1st ex.s. c 21 s 152 are each amended to read as follows:

             (1) In no case shall any lands granted to the state be offered for sale unless the same shall have been appraised by the board of natural resources within ninety days prior to the date fixed for the sale((, and in no case shall any other state lands, or any materials on any state lands, be offered for sale unless the same shall have been appraised by the commissioner of public lands within ninety days prior to the date fixed for the sale)).

             (2) For the sale of valuable materials from state land under this title, if the board of natural resources is required by law to appraise the sale, the board must establish a minimum appraisal value that is valid for a period of one hundred eighty days, or a longer period as may be established by resolution. The board may reestablish the minimum appraisal value at any time. For any valuable materials sales that the board is required by law to appraise, the board may by resolution transfer this authority to the commissioner of public lands.

             (3) Where the board of natural resources has set a minimum appraisal value for a valuable materials sale, the commissioner of public lands may set the final appraisal value of valuable materials for auction, which must be equal to or greater than the board of natural resources' minimum appraisal value. The commissioner may also appraise any valuable materials sale not required by law to be approved by the board of natural resources.

 

             Sec. 3. RCW 79.01.124 and 1982 1st ex.s. c 21 s 154 are each amended to read as follows:

             ((Timber, fallen timber, stone, gravel, or other)) Valuable material situated upon state lands may be sold separate from the land, when in the judgment of the commissioner of public lands, it is for the best interest of the state so to sell the same((, and in case the estimated amount of timber on any tract of state lands, shall exceed one million feet to the quarter section, the timber shall be sold separate from the land)). When application is made for the purchase of any valuable materials ((situated upon state lands, the same inspection and report shall be had as upon an application for the appraisement and sale of such lands, and)), the commissioner of public lands shall appraise the value of the valuable materials ((applied for)) if the commissioner determines it is in the best interest of the state to sell. No ((timber, fallen timber, stone, gravel, or other)) valuable materials((,)) shall be sold for less than the appraised value thereof.

 

             Sec. 4. RCW 79.01.132 and 1999 c 51 s 1 are each amended to read as follows:

             (1) When ((any timber, fallen timber, stone, gravel, or other)) valuable materials on state lands ((is)) are sold separate from the land, ((it)) they may be sold as a lump sum sale or as a scale sale. Lump sum sales under five thousand dollars appraised value shall be paid for in cash on the day of sale. The initial deposit shall be maintained until all contract obligations of the purchaser are satisfied. However, all or a portion of the initial deposit may be applied as the final payment for the valuable materials in the event the department of natural resources determines that adequate security exists for the performance or fulfillment of any remaining obligations of the purchaser under the sale contract.

             (2) The initial deposits required in RCW 79.01.204((,)) may not ((to)) exceed twenty-five percent of the actual or projected purchase price, but in the case of lump sum sales appraised at over five thousand dollars the initial deposit may not be less than five thousand dollars, and shall be made on the day of the sale((, and in the case of)). For those sales appraised below the amount specified in RCW 79.01.200, the department of natural resources may require full cash payment on the day of sale.

             (3) The purchaser shall notify the department of natural resources before any ((timber is cut and before removal or processing of any valuable materials on the sale area, at which time)) operation takes place on the sale site. Upon notification, the department of natural resources ((may)) shall determine and require((, in the amount determined by the department,)) advance payment for the cutting, removal, or processing((, and/or cutting)) of ((timber or other)) the valuable materials, ((or)) or may allow purchasers to guarantee payment by submitting as adequate security bank letters of credit, payment bonds, ((or)) assignments of savings accounts, assignments of certificates of deposit, or other methods acceptable to the department as adequate security. The amount of such advance payments and/or security shall be determined by the department and at all times equal or exceed the value of timber cut and other valuable materials processed or removed until paid for. ((The initial deposit shall be maintained until all contract obligations of the purchaser are satisfied: PROVIDED HOWEVER, That all or a portion of said initial deposit may be applied as the final payment for said materials in the event the department of natural resources determines that adequate security exists for the performance or fulfillment of any remaining obligations of the purchaser under the sale contract.))

             (4) In all cases where ((timber, fallen timber, stone, gravel, or other)) valuable materials ((is)) are sold separate from the land, the same shall revert to the state if not removed from the land within the period specified in the sale contract. ((Said)) The specified period shall not exceed five years from the date of the purchase thereof: PROVIDED, That the specified periods in the sale contract for stone, sand, fill material, or building stone shall not exceed ((twenty)) thirty years((: PROVIDED FURTHER, That)).

             (5) In all cases where, in the judgment of the department of natural resources, the purchaser is acting in good faith and endeavoring to remove such materials, the department of natural resources may extend the time for the removal thereof for any period not exceeding ((twenty)) forty years from the date of purchase for the stone, sand, fill material, or building stone or for a total of ten years beyond the normal termination date specified in the original sale contract for all other material((,)). Extension of a contract is contingent upon payment to the state of a sum to be fixed by the department of natural resources, based on the estimated loss of income per acre to the state resulting from the granting of the extension ((but)). In no event may the extension payment be less than fifty dollars per extension, plus interest on the unpaid portion of the contract. The interest rate shall be fixed, from time to time by rule adopted by the board of natural resources and shall not be less than six percent per annum. The applicable rate of interest as fixed at the date of sale ((and)), the maximum extension payment ((shall be set forth in the contract.)), and the method for calculating the unpaid portion of the contract upon which such interest shall be paid by the purchaser shall be set forth in the contract. The department of natural resources shall pay into the state treasury all sums received for such extension and the same shall be credited to the fund to which was credited the original purchase price of the material so sold.

             ((However,)) (6) A direct sale of valuable materials may be sold to the applicant for cash at full appraised value without notice or advertising. The board of natural resources shall by resolution, establish the value amount of a direct sale not to exceed twenty thousand dollars in appraised sale value, and establish procedures to assure that competitive market prices and accountability will be guaranteed.

             (7) The department may, in addition to any other securities, require a performance security to guarantee compliance with all contract requirements. The security is limited to those types listed in subsection (3) of this section. The value of the performance security will, at all times, equal or exceed the value of work performed or to be performed by the purchaser.

             (8) Any time that the department of natural resources sells timber by contract that includes a performance bond, the department shall require the purchaser to present proof of any and all taxes paid prior to the release of the performance bond. Within thirty days of payment of taxes due by the timber purchaser, the county treasurer shall provide certified evidence of taxes paid, clearly disclosing the sale contract number.

             (9) The provisions of this section apply unless otherwise provided by statute. The board of natural resources shall establish procedures to protect against cedar theft and to ensure adequate notice is given for persons interested in purchasing cedar.

 

             Sec. 5. RCW 79.01.160 and 1959 c 257 s 15 are each amended to read as follows:

             All sales of ((timber)) valuable materials upon state lands shall be made subject to the right, power, and authority of the commissioner of public lands to prescribe rules ((and regulations)) or procedures governing the manner of the sale and removal of the ((timber with a view to the protection of the nonmerchantable timber against destruction or injury by fire or from other causes, and)) valuable materials. Such ((rules or regulations)) procedures shall be binding ((upon the)) when contained within a purchaser's ((of the timber)) contract for valuable materials and ((his)) apply to the purchaser's successors in interest and shall be enforced by the commissioner of public lands.

 

             Sec. 6. RCW 79.01.184 and 1997 c 116 s 2 are each amended to read as follows:

             When the department of natural resources shall have decided to sell any state lands or valuable materials thereon, or with the consent of the board of regents of the University of Washington, or by legislative directive, shall have decided to sell any lot, block, tract, or tracts of university lands, or the ((timber, fallen timber, stone, gravel, or other)) valuable materials thereon, it shall be the duty of the department to ((forthwith)) fix the date, place, and time of sale, and no sale shall be had on any day which is a legal holiday.

             The department shall give notice of the sale by advertisement ((published not less than two times during a four week period prior to the time of sale in at least one newspaper of general circulation in the county in which the whole, or any part of any lot, block, or tract of land to be sold, or the material upon which is to be sold is situated, and by causing)) as described in RCW 79.01.188 at least four weeks prior to the sale date, and post a copy of ((said)) the notice ((to be posted)) in a conspicuous place in the department's Olympia office ((and)), the region headquarters administering such sale, and in the office of the county auditor of such county((, which)). The notice shall specify the place, date, and time of sale, the appraised value thereof, and describe with particularity each parcel of land to be sold, or from which valuable materials are to be sold((, and)). In the case of valuable materials sales, the estimated volume ((thereof,)) will be identified and ((specify that)) the terms of sale will be ((posted)) available in the region headquarters and the department's Olympia office.

             ((However,)) The advertisement is for informational purposes only, and under no circumstances does the information in the notice of sale constitute a warranty that the purchaser will receive the stated values, volumes, or acreage. All purchasers are expected to make their own measurements, evaluations, and appraisals.

             A direct sale of valuable materials may be sold to the applicant for cash at full appraised value without notice or advertising. The board of natural resources shall by resolution, establish the value amount of a direct sale not to exceed twenty thousand dollars in appraised sale value, and establish procedures to ((assure)) ensure that competitive market prices and accountability will be guaranteed.

 

             Sec. 7. RCW 79.01.188 and 1982 1st ex.s. c 21 s 157 are each amended to read as follows:

             The commissioner of public lands shall cause to be printed a list of all public lands, or valuable materials thereon, and the appraised value thereof, that are to be sold ((in the several counties of the state, said lists)). This list should be published in a pamphlet form to be issued at least four weeks prior to the date of any sale of the lands or valuable materials ((enumerated)) thereon((, such lands and materials to be listed under the name of the county wherein located, in alphabetical order giving the appraised values, the character of the same, and such other information as may be of interest to prospective buyers. Said commissioner of public lands shall cause to be distributed to the auditor of each county in the state a sufficient number of such lists to supply the demands made upon them respectively as reported by such auditors. And said county auditors shall keep the list so furnished in a conspicuous place or receptacle on the counter of the public office of their respective departments, and, when requested so to do, shall mail copies of such lists to residents of their counties)). The list should be organized by county and by alphabetical order, and provide sale information to prospective buyers. The commissioner of public lands shall retain for free distribution in his or her office and the ((district)) region offices sufficient copies of ((said lists)) the pamphlet, to be kept in a conspicuous place ((or receptacle on the counter of the general office of the commissioner of public lands, and the districts)), and, when requested so to do, shall mail copies of ((said lists)) the pamphlet as issued to any requesting applicant ((therefor)). ((Proof of publication of the notice of sale shall be made by affidavit of the publisher, or person in charge, of the newspaper publishing the same and proof of posting the notice of sale and the receipt of the lists shall be made by certificate of the county auditor which shall forthwith be sent to and filed with the commissioner of public lands.)) The commissioner of public lands may seek additional means of publishing the information in the pamphlet, such as on the internet, to increase the number of prospective buyers.

 

             Sec. 8. RCW 79.01.204 and 1982 c 27 s 2 are each amended to read as follows:

             Sales by public auction under this chapter shall be conducted under the direction of the department of natural resources(( by)) or its authorized representative ((or by the county auditor of the county in which the sale is held)). The department or department's representative ((and the county auditor)) are hereinafter referred to as auctioneers. On or before the time specified in the notice of sale each bidder shall deposit with the auctioneer, in cash or by certified check, cashier's check, ((or postal)) money order payable to the order of the department of natural resources, or by bid guarantee in the form of bid bond acceptable to the department, an amount equal to the deposit specified in the notice of sale. The deposit shall include a specified amount of the appraised price for the land or valuable materials offered for sale, together with any fee required by law for the issuance of contracts, deeds, or bills of sale. Said deposit may, when prescribed in notice of sale, be considered an opening bid of an amount not less than the minimum appraised price established in the notice of sale. The successful bidder's deposit will be retained by the auctioneer and the difference, if any, between the deposit and the total amount due shall on the day of the sale be paid in cash, certified check, cashier's check, bank draft, ((postal)) or money order, ((or by personal check)) made payable to the department. If a bid bond is used, the share of the total deposit due guaranteed by the bid bond shall, within ten days of the day of sale, be paid in cash, certified check, cashier's check, ((or postal)) money order, or other acceptable payment method payable to the department. Other deposits, if any, shall be returned to the respective bidders at the conclusion of each sale. The auctioneer shall deliver to the purchaser a memorandum of his or her purchase containing a description of the land or materials purchased, the price bid, and the terms of the sale. The auctioneer shall at once send to the department the cash, certified check, cashier's check, bank draft, ((postal)) money order, ((or)) bid guarantee, or other acceptable payment method received from the purchaser, and a copy of the memorandum delivered to the purchaser, together with such additional report of his or her proceedings with reference to such sales as may be required by the department.

 

             Sec. 9. RCW 79.01.232 and 1927 c 255 s 58 are each amended to read as follows:

             When ((timber, fallen timber, stone, gravel, or other)) valuable materials((, shall have been)) are sold separate from the land and the purchase price is paid in full, the commissioner of public lands shall cause a bill of sale, signed by the commissioner and attested by the seal of his or her office, setting forth the time within which such material shall be removed, to be issued to the purchaser and to be recorded in the office of the commissioner of public lands, upon the payment of the fee provided for in this chapter.

 

             NEW SECTION. Sec. 10. A new section is added to chapter 79.01 RCW to read as follows:

             For the purposes of this title, "appraisal" means an estimate of the market value of land or valuable materials. The estimate must reflect the value based on market conditions at the time of the sale or transfer offering. The appraisal must reflect the department of natural resources' best effort to establish a reasonable market value for the purpose of setting a minimum bid at auction or transfer. A purchaser of state lands or valuable materials may not rely upon the appraisal prepared by the department of natural resources for purposes of deciding whether to make a purchase from the department. All purchasers are required to make their own independent appraisals.

 

             Sec. 11. RCW 79.01.240 and 1982 1st ex.s. c 21 s 164 are each amended to read as follows:

             Any sale, transfer, or lease of state lands ((made by mistake, or not in accordance with law, or obtained)) in which the purchaser, transfer recipient, or lessee obtains the sale or lease by fraud or misrepresentation((, shall be)) is void, and the contract of purchase((,)) or lease((, issued thereon,)) shall be of no effect((, and the holder of such contract, or lease, shall be required to surrender the same to the department of natural resources, which, except in the case of fraud on the part of the purchaser, or lessee, shall cause the money paid on account of such surrendered contract, or lease, to be refunded to the holder thereof, provided the same has not been paid into the state treasury)). In the event of fraud, the contract, transferred property, or lease must be surrendered to the department of natural resources, but the purchaser, transfer recipient, or lessee may not be refunded any money paid on account of the surrendered contract, transfer, or lease. In the event that a mistake is discovered in the sale or lease of state lands, or in the sale of valuable materials on state lands, the department may take action to correct the mistake in accordance with RCW 79.01.740 if maintaining the corrected contract, transfer, or lease is in the best interests of the affected trust or trusts.

 

             Sec. 12. RCW 79.01.340 and 1982 1st ex.s. c 21 s 171 are each amended to read as follows:

             Any county or city or the United States of America or state agency desiring to locate, establish, and construct a road or street over and across any state lands of the state of Washington shall by resolution of the board of county commissioners of such county, or city council or other governing body of such city, or proper agency of the United States of America, or state agency, cause to be filed in the office of the department of natural resources a petition for a right of way for such road or street, setting forth the reasons for the establishment thereof, accompanied by a duly attested copy of a plat made by the county or city engineer or proper agency of the United States of America, or state agency, showing the location of the proposed road or street with reference to the legal subdivisions, or lots and blocks of the official plat, or the lands, over and across which such right of way is desired, the amount of land to be taken and the amount of land remaining in each portion of each legal subdivision or lot or block bisected by such proposed road or street.

             Upon the filing of such petition and plat the department of natural resources, if deemed for the best interest of the state to grant the petition, shall cause the land proposed to be taken to be inspected and shall appraise the value of ((any timber)) the land and valuable materials thereon and notify the petitioner of such appraised value.

             If there ((be)) are no ((timber)) valuable materials on the proposed right of way, or upon the payment of the appraised value of ((any timber)) the land and valuable materials thereon, to the department of natural resources in cash, or by certified check drawn upon any bank in this state, or ((postal)) money order, except for all rights of way granted to the department of natural resources on which the ((timber)) valuable materials, if any, shall be sold at public auction or by sealed bid, the department may approve the plat filed with the petition and file and enter the same in the records of his or her office, and such approval and record shall constitute a grant of such right of way from the state.

 

             Sec. 13. RCW 79.01.392 and 1961 c 73 s 8 are each amended to read as follows:

             Upon the filing of the plat and field notes, as provided in RCW 79.01.388, the land applied for and the ((standing timber and/or reproduction)) valuable materials on the right of way applied for, and the marked danger trees to be felled off the right of way, if any, and the improvements included in the right of way applied for, if any, shall be appraised as in the case of an application to purchase state lands. Upon full payment of the appraised value of the land applied for, or upon payment of an annual rental when the department of natural resources deems a rental to be in the best interests of the state, and upon full payment of the appraised value of the ((standing timber, reproduction,)) valuable materials and improvements, if any, the commissioner of public lands shall issue to the applicant a certificate of the grant of such right of way stating the terms and conditions thereof and shall enter the same in the abstracts and records in his or her office, and thereafter any sale or lease of the lands affected by such right of way shall be subject to the easement of such right of way. Should the corporation, company, association, individual, state agency, political subdivision of the state, or the United States of America, securing such right of way ever abandon the use of the same for a period of sixty months or longer for the purposes for which it was granted, the right of way shall revert to the state, or the state's grantee.

 

             Sec. 14. RCW 79.01.795 and 1987 c 126 s 2 are each amended to read as follows:

             When the department finds ((timber)) valuable materials on state land that ((is)) are damaged by fire, wind, flood, or from any other cause, it shall determine if the ((sale)) salvage of the damaged ((timber)) valuable materials is in the best interest of the trust for which the land is held. If ((selling)) salvaging the ((timber)) valuable materials is in the best interest of the trust, the department shall proceed to offer the ((timber)) valuable materials for sale ((within a period not to exceed seven months from the date of first identifying the damaged timber)). The valuable materials, when offered for sale, must be sold in the most expeditious and efficient manner as determined by the department. In determining if the sale is in the best interest of the trust the department shall consider the net value of the ((timber)) valuable materials and relevant elements of the physical and social environment. ((If selling the timber is not in the best interest of the trust, the department shall not offer it for sale until such time as in the department's determination it is in the trust's best interest.

             If elements of the physical or social environment extend the time required to prepare the timber for sale beyond seven months from the date of first identifying the damaged timber, the department shall prepare the timber for sale at the earliest time practicable.))

 

             Sec. 15. RCW 79.64.030 and 1999 c 279 s 1 are each amended to read as follows:

             Funds in the account ((derived)) from the ((gross proceeds of)) moneys received from leases, sales, contracts, licenses, permits, easements, and rights of way issued by the department and affecting school lands, university lands, scientific school lands, normal school lands, capitol building lands, or institutional lands shall be pooled and expended by the department solely for the purpose of defraying the costs and expenses necessarily incurred in managing and administering all of the trust lands enumerated in this section. Such funds may be used for similar costs and expenses in managing and administering other lands managed by the department provided that such expenditures that have been or may be made on such other lands shall be repaid to the resource management cost account together with interest at a rate determined by the board of natural resources.

             Costs and expenses necessarily incurred in managing and administering agricultural college lands shall not be deducted from proceeds ((derived)) received from the sale of such lands or from the sale of resources that are part of the lands. Costs and expenses incurred in managing and administering agricultural college trust lands shall be funded by appropriation under RCW 79.64.090.

             An accounting shall be made annually of the accrued expenditures from the pooled trust funds in the account. In the event the accounting determines that expenditures have been made from moneys ((derived)) received from trust lands for the benefit of other lands, such expenditure shall be considered a debt and an encumbrance against the property benefitted, including property held under chapter 76.12 RCW. The results of the accounting shall be reported to the legislature at the next regular session. The state treasurer is authorized, upon request of the department, to transfer funds between the forest development account and the resource management cost account solely for purpose of repaying loans pursuant to this section.

 

             Sec. 16. RCW 79.64.040 and 1999 c 279 s 2 are each amended to read as follows:

             The board shall determine the amount deemed necessary in order to achieve the purposes of this chapter and shall provide by rule for the deduction of this amount from the ((gross proceeds of)) moneys received from all leases, sales, contracts, licenses, permits, easements, and rights of way issued by the department and affecting public lands, provided that no deduction shall be made from the proceeds from agricultural college lands. Moneys received as deposits from successful bidders, advance payments, and security under RCW 79.01.132 and 79.01.204 prior to December 1, 1981, which have not been subjected to deduction under this section are not subject to deduction under this section. The deductions authorized under this section shall in no event exceed twenty-five percent of the ((total sum)) moneys received by the department in connection with any one transaction pertaining to public lands other than second class tide and shore lands and the beds of navigable waters, and fifty percent of the ((total gross proceeds)) moneys received by the department pertaining to second class tide and shore lands and the beds of navigable waters.

 

             Sec. 17. RCW 79.64.050 and 1961 c 178 s 5 are each amended to read as follows:

             All deductions from ((gross proceeds)) moneys received made in accordance with RCW 79.64.040 shall be paid into the account and the balance shall be paid into the state treasury to the credit of the fund otherwise entitled to the proceeds.

 

             NEW SECTION. Sec. 18. A new section is added to chapter 79.01 RCW to read as follows:

             (1) In the event that the department of natural resources determines that regulatory requirements or some other circumstance beyond the control of both the department and the purchaser has made a valuable materials contract wholly or partially impracticable to perform, the department may cancel any portion of the contract which could not be performed. In the event of such a cancellation, the purchaser shall not be liable for the purchase price of any portions of the contract so canceled. Market price fluctuations shall not constitute an impracticable situation for valuable materials contracts.

             (2) Alternatively, and notwithstanding any other provision in this title, the department of natural resources may substitute valuable materials from another site in exchange for any valuable materials which the department determines have become impracticable to remove under the original contract. Any substituted valuable materials must belong to the identical trust involved in the original contract, and the substitute materials shall be determined by the department of natural resources to have an appraised value that is not greater than the valuable materials remaining under the original contract. The substitute valuable materials and site shall remain subject to all applicable permitting requirements and the state environmental policy act, chapter 43.21C RCW, for the activities proposed at that site. In any such substitution, the value of the materials substituted shall be fixed at the purchase price of the original contract regardless of subsequent market changes. Consent of the purchaser shall be required for any substitution under this section."

 

             Correct the title.

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer Ericksen, Jackley, Murray and Pennington.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

SB 5863            Prime Sponsor, Senator Snyder: Allowing the department of natural resources to exchange certain bedlands to obtain clear title to certain property on the Cowlitz river. Reported by Committee on Capital Budget

 

MAJORITY recommendation: Do pass. Signed by Representatives Alexander, Republican Co-Chair; Murray, Democratic Co-Chair; Armstrong, Republican Vice Chair; Esser, Republican Vice Chair; McIntire, Democratic Vice Chair; Barlean; Bush; Casada; Hankins; Hunt; Lantz; O'Brien; Ogden; Poulsen; Reardon; Schoesler; Veloria and Woods.

 

             Voting yea: Representatives Alexander, Murray, Armstrong, Esser, McIntire, Barlean, Bush, Casada, Hankins, Hunt, Lantz, O'Brien, Ogden, Poulsen, Reardon, Schoesler, Veloria and Woods.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESB 5872         Prime Sponsor, Senator Prentice: Modifying the multiple-unit property tax exemption. Reported by Committee on Finance

 

MAJORITY recommendation: Do pass. Signed by Representatives Cairnes, Republican Co-Chair; Morris, Democratic Co-Chair; Berkey, Democratic Vice Chair; Conway; Santos and Veloria.

 

MINORITY recommendation: Without recommendation. Signed by Representatives Roach, Republican Vice Chair; Carrell and Van Luven.

 

             Voting yea: Representatives Berkey, Cairnes, Conway, Morris, Santos, and Veloria.

             Voting nay: Representatives Carrell, Roach, and Van Luven.

             Excused: Representative Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESSB 5877       Prime Sponsor, Senate Committee on Health & Long-Term Care: Providing licensing standards for mental health counselors, marriage and family therapists, and social workers. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "NEW SECTION. Sec. 1. Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Advanced social work" means the application of social work theory and methods including emotional and biopsychosocial assessment, psychotherapy under the supervision of a licensed independent clinical social worker, case management, consultation, advocacy, counseling, and community organization.

             (2) "Applicant" means a person who completes the required application, pays the required fee, is at least eighteen years of age, and meets any background check requirements and uniform disciplinary act requirements.

             (3) "Committee" means the Washington state mental health counselors, marriage and family therapists, and social workers advisory committee.

             (4) "Department" means the department of health.

             (5) "Disciplining authority" means the department.

             (6) "Independent clinical social work" means the diagnosis and treatment of emotional and mental disorders based on knowledge of human development, the causation and treatment of psychopathology, psychotherapeutic treatment practices, and social work practice as defined in advanced social work. Treatment modalities include but are not limited to diagnosis and treatment of individuals, couples, families, groups, or organizations.

             (7) "Marriage and family therapy" means the diagnosis and treatment of mental and emotional disorders, whether cognitive, affective, or behavioral, within the context of relationships, including marriage and family systems. Marriage and family therapy involves the professional application of psychotherapeutic and family systems theories and techniques in the delivery of services to individuals, couples, and families for the purpose of treating such diagnosed nervous and mental disorders. The practice of marriage and family therapy means the rendering of professional marriage and family therapy services to individuals, couples, and families, singly or in groups, whether such services are offered directly to the general public or through organizations, either public or private, for a fee, monetary or otherwise.

             (8) "Mental health counseling" means the application of principles of human development, learning theory, psychotherapy, group dynamics, and etiology of mental illness and dysfunctional behavior to individuals, couples, families, groups, and organizations, for the purpose of treatment of mental disorders and promoting optimal mental health and functionality. Mental health counseling also includes, but is not limited to, the assessment, diagnosis, and treatment of mental and emotional disorders, as well as the application of a wellness model of mental health.

             (9) "Secretary" means the secretary of health or the secretary's designee.

 

             NEW SECTION. Sec. 2. A person must not represent himself or herself as a licensed advanced social worker, licensed independent clinical social worker, licensed mental health counselor, or licensed marriage and family therapist, without being licensed by the department.

 

             NEW SECTION. Sec. 3. Nothing in this chapter shall be construed to prohibit or restrict:

             (1) The practice of marriage and family therapy, mental health counseling, or social work by an individual otherwise regulated under this title and performing services within the authorized scope of practice;

             (2) The practice of marriage and family therapy, mental health counseling, or social work by an individual employed by the government of the United States or state of Washington while engaged in the performance of duties prescribed by the laws of the United States or state of Washington;

             (3) The practice of marriage and family therapy, mental health counseling, or social work by a person who is a regular student in an educational program based on recognized national standards and approved by the secretary, and whose performance of services is pursuant to a regular course of instruction or assignments from an instructor and under the general supervision of the instructor;

             (4) The practice of marriage and family therapy, mental health counseling, or social work under the auspices of a religious denomination, church, or religious organization.

 

             NEW SECTION. Sec. 4. In addition to any other authority provided by law, the secretary has the authority to:

             (1) Adopt rules under chapter 34.05 RCW necessary to implement this chapter. Any rules adopted shall be in consultation with the committee;

             (2) Establish all licensing, examination, and renewal fees in accordance with RCW 43.70.250;

             (3) Establish forms and procedures necessary to administer this chapter;

             (4) Issue licenses to applicants who have met the education, training, and examination requirements for licensure and to deny a license to applicants who do not meet the requirements;

             (5) Hire clerical, administrative, investigative, and other staff as needed to implement this chapter, and hire individuals licensed under this chapter to serve as examiners for any practical examinations;

             (6) Administer and supervise the grading and taking of examinations for applicants for licensure;

             (7) Determine which states have credentialing requirements substantially equivalent to those of this state, and issue licenses to individuals credentialed in those states without examinations;

             (8) Implement and administer a program for consumer education in consultation with the committee;

             (9) Adopt rules implementing a continuing education program in consultation with the committee;

             (10) Maintain the official record of all applicants and licensees; and

             (11) Establish by rule the procedures for an appeal of an examination failure.

 

             NEW SECTION. Sec. 5. The secretary shall keep an official record of all proceedings. A part of the record shall consist of a register of all applicants for licensing under this chapter and the results of each application.

 

             NEW SECTION. Sec. 6. The Washington state mental health counselors, marriage and family therapists, and social workers advisory committee is established.

             (1) The committee shall be comprised of nine members. Two members shall be licensed mental health counselors. Two members shall be licensed marriage and family therapists. One member shall be a licensed independent clinical social worker, and one member shall be a licensed advanced social worker. Three members must be consumers and represent the public at large and may not be licensed mental health care providers.

             (2) Three members shall be appointed for a term of one year, three members shall be appointed for a term of two years, and three members shall be appointed for a term of three years. Subsequent members shall be appointed for terms of three years. A person must not serve as a member for more than two consecutive terms.

             (3)(a) Each member must be a resident of the state of Washington.

             (b) Each member must not hold an office in a professional association for mental health, social work, or marriage and family therapy and must not be employed by the state of Washington.

             (c) Each professional member must have been actively engaged as a mental health counselor, marriage and family therapist, or social worker for five years immediately preceding appointment.

             (d) The consumer members must represent the general public and be unaffiliated directly or indirectly with the professions licensed under this chapter.

             (4) The secretary shall appoint the committee members.

             (5) Committee members are immune from suit in an action, civil or criminal, based on the department's disciplinary proceedings or other official acts performed in good faith.

             (6) Committee members shall be compensated in accordance with RCW 43.03.240, including travel expenses in carrying out his or her authorized duties in accordance with RCW 43.03.050 and 43.03.060.

             (7) The committee shall elect a chair and vice-chair.

 

             NEW SECTION. Sec. 7. The department of health may seek the advice and assistance of the advisory committee in administering this chapter, including, but not limited to:

             (1) Advice and recommendations regarding the establishment or implementation of rules related to the administration of this chapter;

             (2) Advice, recommendations, and consultation regarding case disposition guidelines and priorities related to unprofessional conduct cases regarding licensed mental health counselors, licensed clinical social workers, licensed advanced social workers, and licensed marriage and family therapists;

             (3) Assistance and consultation of individual committee members as needed in the review, analysis, and disposition of reports of unprofessional conduct and consumer complaints;

             (4) Assistance and recommendations to enhance consumer education; and

             (5) Assistance and recommendations regarding any continuing education and continuing competency programs administered under the provisions of the chapter.

 

             NEW SECTION. Sec. 8. The uniform disciplinary act, chapter 18.130 RCW, governs unlicensed practice, the issuance and denial of licensure, and the discipline of persons licensed under this chapter. The secretary shall be the disciplinary authority under this chapter.

 

             NEW SECTION. Sec. 9. (1) The secretary shall issue a license to any applicant who demonstrates to the satisfaction of the secretary that the applicant meets the following education and experience requirements for the applicant's practice area.

             (a) Licensed social work classifications:

             (i) Licensed advanced social worker:

             (A) Graduation from a master's or doctorate social work educational program accredited by the council on social work education and approved by the secretary based upon nationally recognized standards;

             (B) Successful completion of an approved examination;

             (C) Successful completion of a supervised experience requirement. The experience requirement consists of a minimum of three thousand two hundred hours of experience supervised by a licensed independent clinical social worker or a licensed advanced social worker who has been licensed at least two years. Of those hours, fifty hours must include direct supervision by a licensed advanced social worker or licensed independent clinical social worker; the other forty hours may be with an equally qualified licensed mental health practitioner. Forty hours must be in one-to-one supervision and fifty hours may be in one-to-one supervision or group supervision. Distance supervision is limited to forty supervision hours. Eight hundred hours must be in direct client contact; and

             (D) Successful completion of continuing education requirements of thirty-six hours, with six in professional ethics.

             (ii) Licensed independent clinical social worker:

             (A) Graduation from a master's or doctorate level social work educational program accredited by the council on social work education and approved by the secretary based upon nationally recognized standards;

             (B) Successful completion of an approved examination;

             (C) Successful completion of a supervised experience requirement. The experience requirement consists of a minimum of four thousand hours of experience, of which one thousand hours must be direct client contact, over a three-year period supervised by a licensed independent clinical social worker, with supervision of at least one hundred thirty hours by a licensed mental health practitioner. Of the total supervision, seventy hours must be with an independent clinical social worker; the other sixty hours may be with an equally qualified licensed mental health practitioner. Sixty hours must be in one-to-one supervision and seventy hours may be in one-to-one supervision or group supervision. Distance supervision is limited to sixty supervision hours; and

             (D) Successful completion of continuing education requirements of thirty-six hours, with six in professional ethics.

             (b) Licensed mental health counselor:

             (i) Graduation from a master's or doctoral level educational program in mental health counseling or a related discipline from a college or university approved by the secretary based upon nationally recognized standards;

             (ii) Successful completion of an approved examination;

             (iii) Successful completion of a supervised experience requirement. The experience requirement consists of a minimum of thirty-six months full-time counseling or three thousand hours of postgraduate mental health counseling under the supervision of a qualified licensed mental health counselor in an approved setting. The three thousand hours of required experience includes a minimum of one hundred hours spent in immediate supervision with the qualified licensed mental health counselor, and includes a minimum of one thousand two hundred hours of direct counseling with individuals, couples, families, or groups; and

             (iv) Successful completion of continuing education requirements of thirty-six hours, with six in professional ethics.

             (c) Licensed marriage and family therapist:

             (i) Graduation from a master's degree or doctoral degree educational program in marriage and family therapy or graduation from an educational program in an allied field equivalent to a master's degree or doctoral degree in marriage and family therapy approved by the secretary based upon nationally recognized standards;

             (ii) Successful passage of an approved examination;

             (iii) Successful completion of a supervised experience requirement. The experience requirement consists of a minimum of two calendar years of full-time marriage and family therapy. Of the total supervision, one hundred hours must be with a licensed marriage and family therapist with at least five years' clinical experience; the other one hundred hours may be with an equally qualified licensed mental health practitioner. Total experience requirements include:

             (A) A minimum of three thousand hours of experience, one thousand hours of which must be direct client contact; at least five hundred hours must be gained in diagnosing and treating couples and families; plus

             (B) At least two hundred hours of qualified supervision with a supervisor. At least one hundred of the two hundred hours must be one-on-one supervision, and the remaining hours may be in one-on-one or group supervision.

             Applicants who have completed a master's program accredited by the commission on accreditation for marriage and family therapy education of the American association for marriage and family therapy may be credited with five hundred hours of direct client contact and one hundred hours of formal meetings with an approved supervisor; and

             (iv) Successful completion of continuing education requirements of thirty-six hours, with six in professional ethics.

             (2) The department shall establish by rule what constitutes adequate proof of meeting the criteria.

             (3) In addition, applicants shall be subject to the grounds for denial of a license or issuance of a conditional license under chapter 18.130 RCW.

 

             NEW SECTION. Sec. 10. A person licensed under this chapter must provide clients at the commencement of any program of treatment with accurate disclosure information concerning the practice, in accordance with rules adopted by the department, including the right of clients to refuse treatment, the responsibility of clients to choose the provider and treatment modality which best suits their needs, and the extent of confidentiality provided by this chapter. The disclosure information must also include the license holder's professional education and training, the therapeutic orientation of the practice, the proposed course of treatment where known, financial requirements, and such other information as required by rule. The disclosure must be acknowledged in writing by the client and license holder.

 

             NEW SECTION. Sec. 11. (1) The date and location of examinations shall be established by the secretary. Applicants who have been found by the secretary to meet the other requirements for licensure shall be scheduled for the next examination following the filing of the application. The secretary shall establish by rule the examination application deadline.

             (2) The secretary or the secretary's designees shall examine each applicant by means determined most effective, on subjects appropriate to the scope of practice, as applicable. Such examinations shall be limited to the purpose of determining whether the applicant possesses the minimum skill and knowledge necessary to practice competently.

             (3) The examination papers, all grading of the papers, and the grading of any practical work shall be preserved for a period of not less than one year after the secretary has made and published the decisions. All examinations shall be conducted under fair and wholly impartial methods.

             (4) The secretary may approve an examination prepared or administered by a private testing agency or association of licensing agencies for use by an applicant in meeting the licensing requirements.

 

             NEW SECTION. Sec. 12. Applications for licensing shall be submitted on forms provided by the secretary. The secretary may require any information and documentation which reasonably relates to the need to determine whether the applicant meets the criteria for licensing provided for in this chapter and chapter 18.130 RCW. Each applicant shall pay a fee determined by the secretary under RCW 43.70.250. The fee shall accompany the application.

 

             NEW SECTION. Sec. 13. Any person certified under chapter 18.19 RCW who has met the applicable experience and education requirements is eligible for a license as an advanced social worker, an independent clinical social worker, a marriage and family therapist, or a mental health counselor under this chapter without taking the examination.

 

             NEW SECTION. Sec. 14. An applicant holding a credential in another state may be licensed to practice in this state without examination if the secretary determines that the other state's credentialing standards are substantially equivalent to the licensing standards in this state.

 

             NEW SECTION. Sec. 15. The secretary shall establish by rule the procedural requirements and fees for renewal of a license. Failure to renew shall invalidate the license and all privileges granted by the license. If a license has lapsed for a period longer than three years, the person shall demonstrate competence to the satisfaction of the secretary by taking continuing education courses, or meeting other standards determined by the secretary.

 

             NEW SECTION. Sec. 16. This chapter shall not be construed as permitting the administration or prescription of drugs or in any way infringing upon the practice of medicine and surgery as defined in chapter 18.71 or 18.57 RCW, or in any way infringing upon the practice of psychology as defined in chapter 18.83 RCW, or restricting the scope of the practice of counseling for those registered under chapter 18.19 RCW, or restricting the scope of practice of persons licensed under this chapter.

 

             Sec. 17. RCW 18.19.010 and 1987 c 512 s 1 are each amended to read as follows:

             The qualifications and practices of counselors in this state are virtually unknown to potential clients. Beyond the regulated practices of psychiatry and psychology, there are a considerable variety of disciplines, theories, and techniques employed by other counselors under a number of differing titles. The legislature recognizes the right of all counselors to practice their skills freely, consistent with the requirements of the public health and safety, as well as the right of individuals to choose which counselors best suit their needs and purposes. This chapter shall not be construed to require or prohibit that individual or group policies or contracts of an insurance carrier, health care service contractor, or health maintenance organization provide benefits or coverage for services and supplies provided by a person registered ((or certified)) under this chapter.

 

             Sec. 18. RCW 18.19.020 and 1991 c 3 s 19 are each amended to read as follows:

             Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) (("Certified marriage and family therapist" means a person certified to practice marriage and family therapy pursuant to RCW 18.19.130.

             (2) "Certified mental health counselor" means a person certified to practice mental health counseling pursuant to RCW 18.19.120.

             (3) "Certified social worker" means a person certified to practice social work pursuant to RCW 18.19.110.

             (4))) "Client" means an individual who receives or participates in counseling or group counseling.

             (((5))) (2) "Counseling" means employing any therapeutic techniques, including but not limited to social work, mental health counseling, marriage and family therapy, and hypnotherapy, for a fee that offer, assist or attempt to assist an individual or individuals in the amelioration or adjustment of mental, emotional, or behavioral problems, and includes therapeutic techniques to achieve sensitivity and awareness of self and others and the development of human potential. For the purposes of this chapter, nothing may be construed to imply that the practice of hypnotherapy is necessarily limited to counseling.

             (((6))) (3) "Counselor" means an individual, practitioner, therapist, or analyst who engages in the practice of counseling to the public for a fee, including for the purposes of this chapter, hypnotherapists.

             (((7))) (4) "Department" means the department of health.

             (((8))) (5) "Secretary" means the secretary of the department or the secretary's designee.

 

             Sec. 19. RCW 18.19.030 and 1991 c 3 s 20 are each amended to read as follows:

             No person may, for a fee or as a part of his or her position as an employee of a state agency, practice counseling without being registered to practice by the department under this chapter unless exempt under RCW 18.19.040. ((No person may represent himself or herself as a certified social worker, certified mental health counselor, or certified marriage and family therapist without being so certified by the department under this chapter.))

 

             Sec. 20. RCW 18.19.040 and 1987 c 512 s 4 are each amended to read as follows:

             Nothing in this chapter may be construed to prohibit or restrict:

             (1) The practice of a profession by a person who is either registered, certified, licensed, or similarly regulated under the laws of this state and who is performing services within the person's authorized scope of practice, including any attorney admitted to practice law in this state when providing counseling incidental to and in the course of providing legal counsel;

             (2) The practice of counseling by an employee or trainee of any federal agency, or the practice of counseling by a student of a college or university, if the employee, trainee, or student is practicing solely under the supervision of and accountable to the agency, college, or university, through which he or she performs such functions as part of his or her position for no additional fee other than ordinary compensation;

             (3) The practice of counseling by a person without a mandatory charge;

             (4) The practice of counseling by persons offering services for public and private nonprofit organizations or charities not primarily engaged in counseling for a fee when approved by the organizations or agencies for whom they render their services;

             (5) Evaluation, consultation, planning, policy-making, research, or related services conducted by social scientists for private corporations or public agencies;

             (6) The practice of counseling by a person under the auspices of a religious denomination, church, or organization, or the practice of religion itself;

             (7) Counselors whose residency is not Washington state from providing up to ten days per quarter of training or workshops in the state, as long as they don't hold themselves out to be registered ((or certified)) in Washington state.

 

             Sec. 21. RCW 18.19.050 and 1991 c 3 s 21 are each amended to read as follows:

             (1) In addition to any other authority provided by law, the secretary has the following authority:

             (a) To adopt rules, in accordance with chapter 34.05 RCW, necessary to implement this chapter;

             (b) To set all ((certification,)) registration((,)) and renewal fees in accordance with RCW 43.70.250 and to collect and deposit all such fees in the health professions account established under RCW 43.70.320;

             (c) To establish forms and procedures necessary to administer this chapter;

             (d) To hire clerical, administrative, and investigative staff as needed to implement this chapter;

             (e) To issue a registration to any applicant who has met the requirements for registration; and

             (f) ((To set educational, ethical, and professional standards of practice for certification;

             (g) To prepare and administer or cause to be prepared and administered an examination for all qualified applicants for certification;

             (h) To establish criteria for evaluating the ability and qualifications of persons applying for a certificate, including standards for passing the examination and standards of qualification for certification to practice;

             (i) To evaluate and designate those schools from which graduation will be accepted as proof of an applicant's eligibility to receive a certificate and to establish standards and procedures for accepting alternative training in lieu of such graduation;

             (j) To issue a certificate to any applicant who has met the education, training, and conduct requirements for certification;

             (k) To set competence requirements for maintaining certification; and

             (l))) To develop a dictionary of recognized professions and occupations providing counseling services to the public included under this chapter.

             (2) The uniform disciplinary act, chapter 18.130 RCW, governs the issuance and denial of ((certifications and)) registrations and the discipline of ((certified practitioners and)) registrants under this chapter. The secretary shall be the disciplining authority under this chapter. The absence of educational or training requirements for counselors registered under this chapter or the counselor's use of nontraditional nonabusive therapeutic techniques shall not, in and of itself, give the secretary authority to unilaterally determine the training and competence or to define or restrict the scope of practice of such individuals.

             (3) The department shall publish and disseminate information in order to educate the public about the responsibilities of counselors and the rights and responsibilities of clients established under this chapter. Solely for the purposes of administering this education requirement, the secretary shall assess an additional fee for each ((registration and certification)) application and renewal, equal to five percent of the fee. The revenue collected from the assessment fee may be appropriated by the legislature for the department's use in educating consumers pursuant to this section. The authority to charge the assessment fee shall terminate on June 30, 1994.

 

             Sec. 22. RCW 18.19.060 and 1987 c 512 s 6 are each amended to read as follows:

             Persons registered ((or certified)) under this chapter shall provide clients at the commencement of any program of treatment with accurate disclosure information concerning their practice, in accordance with guidelines developed by the department, that will inform clients of the purposes of and resources available under this chapter, including the right of clients to refuse treatment, the responsibility of clients for choosing the provider and treatment modality which best suits their needs, and the extent of confidentiality provided by this chapter. The disclosure information provided by the counselor, the receipt of which shall be acknowledged in writing by the counselor and client, shall include any relevant education and training, the therapeutic orientation of the practice, the proposed course of treatment where known, any financial requirements, and such other information as the department may require by rule. The disclosure information shall also include a statement that registration of an individual under this chapter does not include a recognition of any practice standards, nor necessarily imply the effectiveness of any treatment.

 

             Sec. 23. RCW 18.19.080 and 1991 c 3 s 23 are each amended to read as follows:

             The secretary shall keep an official record of all proceedings, a part of which record shall consist of a register of all applicants for registration ((or certification)) under this chapter, with the result of each application.

 

             Sec. 24. RCW 18.19.180 and 1991 c 3 s 33 are each amended to read as follows:

             An individual registered ((or certified)) under this chapter shall not disclose the written acknowledgment of the disclosure statement pursuant to RCW 18.19.060 nor any information acquired from persons consulting the individual in a professional capacity when that information was necessary to enable the individual to render professional services to those persons except:

             (1) With the written consent of that person or, in the case of death or disability, the person's personal representative, other person authorized to sue, or the beneficiary of an insurance policy on the person's life, health, or physical condition;

             (2) That a person registered ((or certified)) under this chapter is not required to treat as confidential a communication that reveals the contemplation or commission of a crime or harmful act;

             (3) If the person is a minor, and the information acquired by the person registered ((or certified)) under this chapter indicates that the minor was the victim or subject of a crime, the person registered ((or certified)) may testify fully upon any examination, trial, or other proceeding in which the commission of the crime is the subject of the inquiry;

             (4) If the person waives the privilege by bringing charges against the person registered ((or certified)) under this chapter;

             (5) In response to a subpoena from a court of law or the secretary. The secretary may subpoena only records related to a complaint or report under chapter 18.130 RCW; or

             (6) As required under chapter 26.44 RCW.

 

             Sec. 25. RCW 18.19.190 and 1987 c 512 s 18 are each amended to read as follows:

             This chapter shall not be construed as permitting the administration or prescription of drugs or in any way infringing upon the practice of medicine and surgery as defined in chapter 18.71 RCW, or in any way infringing upon the practice of psychology as defined in chapter 18.83 RCW, or restricting the scope of the practice of counseling for those registered ((or certified)) under this chapter.

 

             Sec. 26. RCW 18.120.020 and 2000 c 93 s 15 are each amended to read as follows:

             The definitions in this section apply throughout this chapter unless the context clearly requires otherwise.

             (1) "Applicant group" includes any health professional group or organization, any individual, or any other interested party which proposes that any health professional group not presently regulated be regulated or which proposes to substantially increase the scope of practice of the profession.

             (2) "Certificate" and "certification" mean a voluntary process by which a statutory regulatory entity grants recognition to an individual who (a) has met certain prerequisite qualifications specified by that regulatory entity, and (b) may assume or use "certified" in the title or designation to perform prescribed health professional tasks.

             (3) "Grandfather clause" means a provision in a regulatory statute applicable to practitioners actively engaged in the regulated health profession prior to the effective date of the regulatory statute which exempts the practitioners from meeting the prerequisite qualifications set forth in the regulatory statute to perform prescribed occupational tasks.

             (4) "Health professions" means and includes the following health and health-related licensed or regulated professions and occupations: Podiatric medicine and surgery under chapter 18.22 RCW; chiropractic under chapter 18.25 RCW; dental hygiene under chapter 18.29 RCW; dentistry under chapter 18.32 RCW; denturism under chapter 18.30 RCW; dispensing opticians under chapter 18.34 RCW; hearing instruments under chapter 18.35 RCW; naturopaths under chapter 18.36A RCW; embalming and funeral directing under chapter 18.39 RCW; midwifery under chapter 18.50 RCW; nursing home administration under chapter 18.52 RCW; optometry under chapters 18.53 and 18.54 RCW; ocularists under chapter 18.55 RCW; osteopathic medicine and surgery under chapters 18.57 and 18.57A RCW; pharmacy under chapters 18.64 and 18.64A RCW; medicine under chapters 18.71 and 18.71A RCW; emergency medicine under chapter 18.73 RCW; physical therapy under chapter 18.74 RCW; practical nurses under chapter 18.79 RCW; psychologists under chapter 18.83 RCW; registered nurses under chapter 18.79 RCW; occupational therapists licensed under chapter 18.59 RCW; respiratory care practitioners licensed under chapter 18.89 RCW; veterinarians and veterinary technicians under chapter 18.92 RCW; health care assistants under chapter 18.135 RCW; massage practitioners under chapter 18.108 RCW; acupuncturists licensed under chapter 18.06 RCW; persons registered ((or certified)) under chapter 18.19 RCW; persons licensed as mental health counselors, marriage and family therapists, and social workers under chapter 18.-- RCW (sections 1 through 16 of this act); dietitians and nutritionists certified by chapter 18.138 RCW; radiologic technicians under chapter 18.84 RCW; and nursing assistants registered or certified under chapter 18.88A RCW.

             (5) "Inspection" means the periodic examination of practitioners by a state agency in order to ascertain whether the practitioners' occupation is being carried out in a fashion consistent with the public health, safety, and welfare.

             (6) "Legislative committees of reference" means the standing legislative committees designated by the respective rules committees of the senate and house of representatives to consider proposed legislation to regulate health professions not previously regulated.

             (7) "License," "licensing," and "licensure" mean permission to engage in a health profession which would otherwise be unlawful in the state in the absence of the permission. A license is granted to those individuals who meet prerequisite qualifications to perform prescribed health professional tasks and for the use of a particular title.

             (8) "Professional license" means an individual, nontransferable authorization to carry on a health activity based on qualifications which include: (a) Graduation from an accredited or approved program, and (b) acceptable performance on a qualifying examination or series of examinations.

             (9) "Practitioner" means an individual who (a) has achieved knowledge and skill by practice, and (b) is actively engaged in a specified health profession.

             (10) "Public member" means an individual who is not, and never was, a member of the health profession being regulated or the spouse of a member, or an individual who does not have and never has had a material financial interest in either the rendering of the health professional service being regulated or an activity directly related to the profession being regulated.

             (11) "Registration" means the formal notification which, prior to rendering services, a practitioner shall submit to a state agency setting forth the name and address of the practitioner; the location, nature and operation of the health activity to be practiced; and, if required by the regulatory entity, a description of the service to be provided.

             (12) "Regulatory entity" means any board, commission, agency, division, or other unit or subunit of state government which regulates one or more professions, occupations, industries, businesses, or other endeavors in this state.

             (13) "State agency" includes every state office, department, board, commission, regulatory entity, and agency of the state, and, where provided by law, programs and activities involving less than the full responsibility of a state agency.

 

             Sec. 27. RCW 18.130.040 and 1999 c 335 s 10 are each amended to read as follows:

             (1) This chapter applies only to the secretary and the boards and commissions having jurisdiction in relation to the professions licensed under the chapters specified in this section. This chapter does not apply to any business or profession not licensed under the chapters specified in this section.

             (2)(a) The secretary has authority under this chapter in relation to the following professions:

             (i) Dispensing opticians licensed under chapter 18.34 RCW;

             (ii) Naturopaths licensed under chapter 18.36A RCW;

             (iii) Midwives licensed under chapter 18.50 RCW;

             (iv) Ocularists licensed under chapter 18.55 RCW;

             (v) Massage operators and businesses licensed under chapter 18.108 RCW;

             (vi) Dental hygienists licensed under chapter 18.29 RCW;

             (vii) Acupuncturists licensed under chapter 18.06 RCW;

             (viii) Radiologic technologists certified and X-ray technicians registered under chapter 18.84 RCW;

             (ix) Respiratory care practitioners licensed under chapter 18.89 RCW;

             (x) Persons registered ((or certified)) under chapter 18.19 RCW;

             (xi) Persons licensed as mental health counselors, marriage and family therapists, and social workers under chapter 18.-- RCW (sections 1 through 16 of this act);

             (xii) Persons registered as nursing pool operators under chapter 18.52C RCW;

             (((xii))) (xiii) Nursing assistants registered or certified under chapter 18.88A RCW;

             (((xiii))) (xiv) Health care assistants certified under chapter 18.135 RCW;

             (((xiv))) (xv) Dietitians and nutritionists certified under chapter 18.138 RCW;

             (((xv))) (xvi) Chemical dependency professionals certified under chapter 18.205 RCW;

             (((xvi))) (xvii) Sex offender treatment providers certified under chapter 18.155 RCW;

             (((xvii))) (xviii) Persons licensed and certified under chapter 18.73 RCW or RCW 18.71.205;

             (((xviii))) (xix) Persons registered as adult family home providers and resident managers under RCW 18.48.020;

             (((xix))) (xx) Denturists licensed under chapter 18.30 RCW;

             (((xx))) (xxi) Orthotists and prosthetists licensed under chapter 18.200 RCW; and

             (((xxi))) (xxii) Surgical technologists registered under chapter 18.215 RCW.

             (b) The boards and commissions having authority under this chapter are as follows:

             (i) The podiatric medical board as established in chapter 18.22 RCW;

             (ii) The chiropractic quality assurance commission as established in chapter 18.25 RCW;

             (iii) The dental quality assurance commission as established in chapter 18.32 RCW;

             (iv) The board of hearing and speech as established in chapter 18.35 RCW;

             (v) The board of examiners for nursing home administrators as established in chapter 18.52 RCW;

             (vi) The optometry board as established in chapter 18.54 RCW governing licenses issued under chapter 18.53 RCW;

             (vii) The board of osteopathic medicine and surgery as established in chapter 18.57 RCW governing licenses issued under chapters 18.57 and 18.57A RCW;

             (viii) The board of pharmacy as established in chapter 18.64 RCW governing licenses issued under chapters 18.64 and 18.64A RCW;

             (ix) The medical quality assurance commission as established in chapter 18.71 RCW governing licenses and registrations issued under chapters 18.71 and 18.71A RCW;

             (x) The board of physical therapy as established in chapter 18.74 RCW;

             (xi) The board of occupational therapy practice as established in chapter 18.59 RCW;

             (xii) The nursing care quality assurance commission as established in chapter 18.79 RCW governing licenses issued under that chapter;

             (xiii) The examining board of psychology and its disciplinary committee as established in chapter 18.83 RCW; and

             (xiv) The veterinary board of governors as established in chapter 18.92 RCW.

             (3) In addition to the authority to discipline license holders, the disciplining authority has the authority to grant or deny licenses based on the conditions and criteria established in this chapter and the chapters specified in subsection (2) of this section. This chapter also governs any investigation, hearing, or proceeding relating to denial of licensure or issuance of a license conditioned on the applicant's compliance with an order entered pursuant to RCW 18.130.160 by the disciplining authority.

             (4) All disciplining authorities shall adopt procedures to ensure substantially consistent application of this chapter, the Uniform Disciplinary Act, among the disciplining authorities listed in subsection (2) of this section.

 

             Sec. 28. RCW 9A.44.010 and 1997 c 392 s 513 and 1997 c 112 s 37 are each reenacted and amended to read as follows:

             As used in this chapter:

             (1) "Sexual intercourse" (a) has its ordinary meaning and occurs upon any penetration, however slight, and

             (b) Also means any penetration of the vagina or anus however slight by an object, when committed on one person by another, whether such persons are of the same or opposite sex, except when such penetration is accomplished for medically recognized treatment or diagnostic purposes, and

             (c) Also means any act of sexual contact between persons involving the sex organs of one person and the mouth or anus of another whether such persons are of the same or opposite sex.

             (2) "Sexual contact" means any touching of the sexual or other intimate parts of a person done for the purpose of gratifying sexual desire of either party or a third party.

             (3) "Married" means one who is legally married to another, but does not include a person who is living separate and apart from his or her spouse and who has filed in an appropriate court for legal separation or for dissolution of his or her marriage.

             (4) "Mental incapacity" is that condition existing at the time of the offense which prevents a person from understanding the nature or consequences of the act of sexual intercourse whether that condition is produced by illness, defect, the influence of a substance or from some other cause.

             (5) "Physically helpless" means a person who is unconscious or for any other reason is physically unable to communicate unwillingness to an act.

             (6) "Forcible compulsion" means physical force which overcomes resistance, or a threat, express or implied, that places a person in fear of death or physical injury to herself or himself or another person, or in fear that she or he or another person will be kidnapped.

             (7) "Consent" means that at the time of the act of sexual intercourse or sexual contact there are actual words or conduct indicating freely given agreement to have sexual intercourse or sexual contact.

             (8) "Significant relationship" means a situation in which the perpetrator is:

             (a) A person who undertakes the responsibility, professionally or voluntarily, to provide education, health, welfare, or organized recreational activities principally for minors;

             (b) A person who in the course of his or her employment supervises minors; or

             (c) A person who provides welfare, health or residential assistance, personal care, or organized recreational activities to frail elders or vulnerable adults, including a provider, employee, temporary employee, volunteer, or independent contractor who supplies services to long-term care facilities licensed or required to be licensed under chapter 18.20, 18.51, 72.36, or 70.128 RCW, and home health, hospice, or home care agencies licensed or required to be licensed under chapter 70.127 RCW, but not including a consensual sexual partner.

             (9) "Abuse of a supervisory position" means a direct or indirect threat or promise to use authority to the detriment or benefit of a minor.

             (10) "Developmentally disabled," for purposes of RCW 9A.44.050(1)(c) and 9A.44.100(1)(c), means a person with a developmental disability as defined in RCW 71A.10.020.

             (11) "Person with supervisory authority," for purposes of RCW 9A.44.050(1) (c) or (e) and 9A.44.100(1) (c) or (e), means any proprietor or employee of any public or private care or treatment facility who directly supervises developmentally disabled, mentally disordered, or chemically dependent persons at the facility.

             (12) "Mentally disordered person" for the purposes of RCW 9A.44.050(1)(e) and 9A.44.100(1)(e) means a person with a "mental disorder" as defined in RCW 71.05.020.

             (13) "Chemically dependent person" for purposes of RCW 9A.44.050(1)(e) and 9A.44.100(1)(e) means a person who is "chemically dependent" as defined in RCW 70.96A.020(4).

             (14) "Health care provider" for purposes of RCW 9A.44.050 and 9A.44.100 means a person who is, holds himself or herself out to be, or provides services as if he or she were: (a) A member of a health care profession under chapter 18.130 RCW; or (b) registered ((or certified)) under chapter 18.19 RCW or licensed under chapter 18.-- RCW (sections 1 through 16 of this act), regardless of whether the health care provider is licensed, certified, or registered by the state.

             (15) "Treatment" for purposes of RCW 9A.44.050 and 9A.44.100 means the active delivery of professional services by a health care provider which the health care provider holds himself or herself out to be qualified to provide.

             (16) "Frail elder or vulnerable adult" means a person sixty years of age or older who has the functional, mental, or physical inability to care for himself or herself. "Frail elder or vulnerable adult" also includes a person found incapacitated under chapter 11.88 RCW, a person over eighteen years of age who has a developmental disability under chapter 71A.10 RCW, a person admitted to a long-term care facility that is licensed or required to be licensed under chapter 18.20, 18.51, 72.36, or 70.128 RCW, and a person receiving services from a home health, hospice, or home care agency licensed or required to be licensed under chapter 70.127 RCW.

 

             Sec. 29. RCW 18.100.050 and 1999 c 128 s 1 are each amended to read as follows:

             (1) An individual or group of individuals duly licensed or otherwise legally authorized to render the same professional services within this state may organize and become a shareholder or shareholders of a professional corporation for pecuniary profit under the provisions of Title 23B RCW for the purpose of rendering professional service. One or more of the legally authorized individuals shall be the incorporators of the professional corporation.

             (2) Notwithstanding any other provision of this chapter, registered architects and registered engineers may own stock in and render their individual professional services through one professional service corporation.

             (3) Licensed health care professionals, providing services to enrolled participants either directly or through arrangements with a health maintenance organization registered under chapter 48.46 RCW or federally qualified health maintenance organization, may own stock in and render their individual professional services through one professional service corporation.

             (4) Professionals may organize a nonprofit nonstock corporation under this chapter and chapter 24.03 RCW to provide professional services, and the provisions of this chapter relating to stock and referring to Title 23B RCW shall not apply to any such corporation.

             (5)(a) Notwithstanding any other provision of this chapter, health care professionals who are licensed or certified pursuant to chapters 18.06, ((18.19,)) 18.-- (sections 1 through 16 of this act), 18.22, 18.25, 18.29, 18.34, 18.35, 18.36A, 18.50, 18.53, 18.55, 18.57, 18.57A, 18.64, 18.71, 18.71A, 18.79, 18.83, 18.89, 18.108, and 18.138 RCW may own stock in and render their individual professional services through one professional service corporation and are to be considered, for the purpose of forming a professional service corporation, as rendering the "same specific professional services" or "same professional services" or similar terms.

             (b) Notwithstanding any other provision of this chapter, health care professionals who are regulated under chapters 18.59 and 18.74 RCW may own stock in and render their individual professional services through one professional service corporation formed for the sole purpose of providing professional services within their respective scope of practice.

             (c) Formation of a professional service corporation under this subsection does not restrict the application of the uniform disciplinary act under chapter 18.130 RCW, or applicable health care professional statutes under Title 18 RCW, including but not limited to restrictions on persons practicing a health profession without being appropriately credentialed and persons practicing beyond the scope of their credential.

 

             Sec. 30. RCW 18.205.090 and 1998 c 243 s 9 are each amended to read as follows:

             (1) The secretary shall issue a certificate to any applicant who demonstrates to the secretary's satisfaction that the following requirements have been met:

             (a) Completion of an educational program approved by the secretary or successful completion of alternate training that meets established criteria;

             (b) Successful completion of an approved examination, based on core competencies of chemical dependency counseling; and

             (c) Successful completion of an experience requirement that establishes fewer hours of experience for applicants with higher levels of relevant education. In meeting any experience requirement established under this subsection, the secretary may not require more than one thousand five hundred hours of experience in chemical dependency counseling for applicants who are licensed under chapter 18.83 RCW or under chapter 18.79 RCW as advanced registered nurse practitioners.

             (2) The secretary shall establish by rule what constitutes adequate proof of meeting the criteria.

             (3) Applicants are subject to the grounds for denial of a certificate or issuance of a conditional certificate under chapter 18.130 RCW.

             (4) Certified chemical dependency professionals shall not be required to be registered under chapter 18.19 RCW or licensed under chapter 18.-- RCW (sections 1 through 16 of this act).

 

             Sec. 31. RCW 25.05.510 and 1998 c 103 s 1103 are each amended to read as follows:

             (1) A person or group of persons licensed or otherwise legally authorized to render professional services, as defined in RCW 18.100.030, within this state may organize and become a member or members of a limited liability partnership under the provisions of this chapter for the purposes of rendering professional service. Nothing in this section prohibits a person duly licensed or otherwise legally authorized to render professional services in any jurisdiction other than this state from becoming a member of a limited liability partnership organized for the purpose of rendering the same professional services. Nothing in this section prohibits a limited liability partnership from rendering professional services outside this state through individuals who are not duly licensed or otherwise legally authorized to render such professional services within this state.

             (2)(a) Notwithstanding any other provision of this chapter, health care professionals who are licensed or certified pursuant to chapters 18.06, ((18.19,)) 18.-- (sections 1 through 16 of this act), 18.22, 18.25, 18.29, 18.34, 18.35, 18.36A, 18.50, 18.53, 18.55, 18.64, 18.79, 18.83, 18.89, 18.108, and 18.138 RCW may join and render their individual professional services through one limited liability partnership and are to be considered, for the purpose of forming a limited liability partnership, as rendering the "same specific professional services" or "same professional services" or similar terms.

             (b) Notwithstanding any other provision of this chapter, health care professionals who are licensed pursuant to chapters 18.57 and 18.71 RCW may join and render their individual professional services through one limited liability partnership and are to be considered, for the purpose of forming a limited liability partnership, as rendering the "same specific professional services" or "same professional services" or similar terms.

             (c) Formation of a limited liability partnership under this subsection does not restrict the application of the uniform disciplinary act under chapter 18.130 RCW, or any applicable health care professional statutes under Title 18 RCW, including but not limited to restrictions on persons practicing a health profession without being appropriately credentialed and persons practicing beyond the scope of their credential.

 

             Sec. 32. RCW 25.15.045 and 1999 c 128 s 2 are each amended to read as follows:

             (1) A person or group of persons licensed or otherwise legally authorized to render professional services within this or any other state may organize and become a member or members of a professional limited liability company under the provisions of this chapter for the purposes of rendering professional service. A "professional limited liability company" is subject to all the provisions of chapter 18.100 RCW that apply to a professional corporation, and its managers, members, agents, and employees shall be subject to all the provisions of chapter 18.100 RCW that apply to the directors, officers, shareholders, agents, or employees of a professional corporation, except as provided otherwise in this section. Nothing in this section prohibits a person duly licensed or otherwise legally authorized to render professional services in any jurisdiction other than this state from becoming a member of a professional limited liability company organized for the purpose of rendering the same professional services. Nothing in this section prohibits a professional limited liability company from rendering professional services outside this state through individuals who are not duly licensed or otherwise legally authorized to render such professional services within this state. Persons engaged in a profession and otherwise meeting the requirements of this chapter may operate under this chapter as a professional limited liability company so long as each member personally engaged in the practice of the profession in this state is duly licensed or otherwise legally authorized to practice the profession in this state and:

             (a) At least one manager of the company is duly licensed or otherwise legally authorized to practice the profession in this state; or

             (b) Each member in charge of an office of the company in this state is duly licensed or otherwise legally authorized to practice the profession in this state.

             (2) If the company's members are required to be licensed to practice such profession, and the company fails to maintain for itself and for its members practicing in this state a policy of professional liability insurance, bond, or other evidence of financial responsibility of a kind designated by rule by the state insurance commissioner and in the amount of at least one million dollars or a greater amount as the state insurance commissioner may establish by rule for a licensed profession or for any specialty within a profession, taking into account the nature and size of the business, then the company's members are personally liable to the extent that, had the insurance, bond, or other evidence of responsibility been maintained, it would have covered the liability in question.

             (3) For purposes of applying the provisions of chapter 18.100 RCW to a professional limited liability company, the terms "director" or "officer" means manager, "shareholder" means member, "corporation" means professional limited liability company, "articles of incorporation" means certificate of formation, "shares" or "capital stock" means a limited liability company interest, "incorporator" means the person who executes the certificate of formation, and "bylaws" means the limited liability company agreement.

             (4) The name of a professional limited liability company must contain either the words "Professional Limited Liability Company," or the words "Professional Limited Liability" and the abbreviation "Co.," or the abbreviation "P.L.L.C." or "PLLC" provided that the name of a professional limited liability company organized to render dental services shall contain the full names or surnames of all members and no other word than "chartered" or the words "professional services" or the abbreviation "P.L.L.C." or "PLLC."

             (5) Subject to the provisions in article VII of this chapter, the following may be a member of a professional limited liability company and may be the transferee of the interest of an ineligible person or deceased member of the professional limited liability company:

             (a) A professional corporation, if its shareholders, directors, and its officers other than the secretary and the treasurer, are licensed or otherwise legally authorized to render the same specific professional services as the professional limited liability company; and

             (b) Another professional limited liability company, if the managers and members of both professional limited liability companies are licensed or otherwise legally authorized to render the same specific professional services.

             (6)(a) Notwithstanding any other provision of this chapter, health care professionals who are licensed or certified pursuant to chapters 18.06, ((18.19,)) 18.-- (sections 1 through 16 of this act), 18.22, 18.25, 18.29, 18.34, 18.35, 18.36A, 18.50, 18.53, 18.55, 18.57, 18.57A, 18.64, 18.71, 18.71A, 18.79, 18.83, 18.89, 18.108, and 18.138 RCW may own membership interests in and render their individual professional services through one limited liability company and are to be considered, for the purpose of forming a limited liability company, as rendering the "same specific professional services" or "same professional services" or similar terms.

             (b) Notwithstanding any other provision of this chapter, health care professionals who are regulated under chapters 18.59 and 18.74 RCW may own membership interests in and render their individual professional services through one limited liability company formed for the sole purpose of providing professional services within their respective scope of practice.

             (c) Formation of a limited liability company under this subsection does not restrict the application of the uniform disciplinary act under chapter 18.130 RCW, or any applicable health care professional statutes under Title 18 RCW, including but not limited to restrictions on persons practicing a health profession without being appropriately credentialed and persons practicing beyond the scope of their credential.

 

             Sec. 33. RCW 48.43.087 and 1996 c 304 s 1 are each amended to read as follows:

             (1) For purposes of this section:

             (a) "Health carrier" includes disability insurers regulated under chapter 48.20 or 48.21 RCW, health care services contractors regulated under chapter 48.44 RCW, plans operating under the health care authority under chapter 41.05 RCW, the basic health plan operating under chapter 70.47 RCW, the state health insurance pool operating under chapter 48.41 RCW, insuring entities regulated under this chapter, and health maintenance organizations regulated under chapter 48.46 RCW.

             (b) "Intermediary" means a person duly authorized to negotiate and execute provider contracts with health carriers on behalf of mental health care practitioners.

             (c) Consistent with their lawful scopes of practice, "mental health care practitioners" includes only the following: Any generally recognized medical specialty of practitioners licensed under chapter 18.57 or 18.71 RCW who provide mental health services, advanced practice psychiatric nurses as authorized by the nursing care quality assurance commission under chapter 18.79 RCW, psychologists licensed under chapter 18.83 RCW, ((social workers, marriage and family therapists, and mental health counselors certified under chapter 18.19 RCW)) and mental health counselors, marriage and family therapists, and social workers licensed under chapter 18.-- RCW (sections 1 through 16 of this act).

             (d) "Mental health services" means outpatient services.

             (2) Consistent with federal and state law and rule, no contract between a mental health care practitioner and an intermediary or between a mental health care practitioner and a health carrier that is written, amended, or renewed after June 6, 1996, may contain a provision prohibiting a practitioner and an enrollee from agreeing to contract for services solely at the expense of the enrollee as follows:

             (a) On the exhaustion of the enrollee's mental health care coverage;

             (b) During an appeal or an adverse certification process;

             (c) When an enrollee's condition is excluded from coverage; or

             (d) For any other clinically appropriate reason at any time.

             (3) If a mental health care practitioner provides services to an enrollee during an appeal or adverse certification process, the practitioner must provide to the enrollee written notification that the enrollee is responsible for payment of these services, unless the health carrier elects to pay for services provided.

             (4) This section does not apply to a mental health care practitioner who is employed full time on the staff of a health carrier.

 

             NEW SECTION. Sec. 34. A new section is added to chapter 70.02 RCW to read as follows:

             Mental health counselors, marriage and family therapists, and social workers licensed under chapter 18.-- RCW (sections 1 through 16 of this act) are subject to this chapter.

 

             NEW SECTION. Sec. 35. 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. 36. Sections 1 through 16 of this act constitute a new chapter in Title 18 RCW.

 

             NEW SECTION. Sec. 37. The following acts or parts of acts are each repealed:

             (1) RCW 18.19.070 (Council established--Membership--Qualifications--Removal--Vacancy--Duties and powers--Compensation) and 1996 c 191 s 4, 1994 sp.s. c 9 s 501, 1991 c 3 s 22, & 1987 c 512 s 7;

             (2) RCW 18.19.110 (Certification of social workers) and 1991 c 3 s 26 & 1987 c 512 s 12;

             (3) RCW 18.19.120 (Certification of mental health counselors--Practice defined--Continuing education) and 1995 c 183 s 1, 1991 c 3 s 27, & 1987 c 512 s 13;

             (4) RCW 18.19.130 (Certification of marriage and family therapists--Practice defined) and 1993 c 259 s 1, 1991 c 3 s 28, & 1987 c 512 s 14;

             (5) RCW 18.19.140 (Applications for certification) and 1991 c 3 s 29 & 1987 c 512 s 17;

             (6) RCW 18.19.150 (Examination of applicants for certification) and 1991 c 3 s 30 & 1987 c 512 s 16;

             (7) RCW 18.19.160 (Certification of persons credentialed out-of-state--Temporary retirement of certified persons) and 1991 c 3 s 31 & 1987 c 512 s 19; and

             (8) RCW 18.19.170 (Renewal of certificates--Continuing education) and 1998 c 32 s 1, 1996 c 191 s 6, 1991 c 3 s 32, & 1987 c 512 s 15."

 

             Correct the title.

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Edmonds, Edwards, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

 

             Referred to Committee on Appropriations.

 

March 30, 2001

SSB 5880          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Creating a forest products commission. Reported by Committee on 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 creation of a forest products commission would assist in expanding the state's economy, because:

             (1) Marketing is a dynamic and changing part of the Washington forest products industry and a vital element in expanding the state economy;

             (2) The sale in the state and export to other states and abroad of forest products made in the state contribute substantial benefits to the economy of the state, provide a large number of jobs and sizeable tax revenues, and are key components of the health of many local communities because many secondary businesses are largely dependent on the health of the forest products industry; and

             (3) Forest products are made from a renewable resource and are more environmentally sound than many alternative products.

 

             NEW SECTION. Sec. 2. Unless the context clearly requires otherwise, the definitions in this section apply throughout this chapter.

             (1) "Commission" means the forest products commission.

             (2) "Department" means the department of agriculture.

             (3) "Director" means the director of the department of agriculture or the director's authorized representative.

             (4) "Forest products" or "timber" means trees of any species maintained for eventual harvest whether planted or of natural growth, standing or down, on privately or publicly owned land, and also includes wood products related thereto, but does not include Christmas trees or other trees on which the timber excise tax provided under chapter 84.33 RCW is not imposed.

             (5) "Person" includes any individual, corporation, firm, partnership, trust, association, or any other organization of individuals.

             (6) "Producer" means any person who harvests timber in Washington state and pays the timber excise tax imposed under chapter 84.33 RCW on at least two million board feet in a calendar year or in four consecutive calendar quarters.

             (7) "Eastern Washington" means that portion of the state lying east of the Cascade mountain range.

             (8) "Western Washington" means that portion of the state lying west of the Cascade mountain range.

 

             NEW SECTION. Sec. 3. (1)(a) There is created a commodity commission to be known and designated as the Washington forest products commission. The commission is composed of nine voting members. The commission may, in its sole discretion, add or remove nonvoting ex officio members to the commission. Of the members, six shall be from western Washington, and three shall be from eastern Washington. After the initial election of commission members, however, if a position cannot be filled by a member from eastern Washington within sixty days from the date on which nominations may first be received because of a lack of candidates, the position may be filled by a member from western Washington. Under no circumstances will there be less than two board members from eastern Washington. If a position was filled by a member from western Washington because of a lack of candidates from eastern Washington, and districts are not used for the nomination and election of members, then a person from eastern Washington must fill the next available vacancy or open position at the next election to bring the number of representatives from eastern Washington up to three members. All members shall be elected by the entire group of producers unless the commission creates districts for the members as authorized in section 5 of this act. If districts are used for the nomination and election of commission members, and it does not appear that one of the positions from eastern Washington will be filled because of a lack of candidates, then a commission member who resides in western Washington must be elected by the entire group of producers as an at-large member. The position of the western Washington member who is elected as an at-large member shall be filled by a member from eastern Washington at the expiration of the term of the at-large member. If districts are not used for the nomination and election of members, the commission shall strive to achieve representation on the commission from the different geographic regions of the state.

             (b) Of the six members from western Washington, three members must have annual harvests of more than seventy-five million board feet, and three members must have annual harvests between two million board feet and seventy-five million board feet.

             (c) Of the two members from eastern Washington, one member must have an annual harvest greater than forty million board feet, and one member must have an annual harvest between two million board feet and forty million board feet. If there is a third member from eastern Washington, the only harvest requirement is that the member have an annual harvest of at least two million board feet.

             (2) The members must be citizens and residents of this state, and over the age of twenty-one years. Each member must currently, and for the five years last preceding his or her election, be actually engaged in producing forest products within the state of Washington, either individually or as an officer of a corporation, firm, partnership, trust, association, or business organization at the level of production required to qualify as a producer. Each member must also derive a substantial amount of his or her income from the production of forest products. The qualifications set forth in this section apply throughout each member's term of office.

             (3) No more than one member of the commission may be employed by, or connected in a proprietary capacity with, the same corporation, firm, partnership, trust, association, or business organization.

             (4) Five voting members of the commission constitute a quorum for the transaction of all business and the carrying out of the duties of the commission.

             (5) The regular term of office of the members is four years from November 1st following their election and until their successors are elected and qualified. However, the first terms of the members elected November 1, 2001, is as follows: Positions one, four, and seven terminate November 1, 2003; positions two, five, and eight terminate November 1, 2004; and positions three, six, and nine terminate November 1, 2005.

 

             NEW SECTION. Sec. 4. (1) The director shall call the initial meeting of producers of forest products for the purpose of nominating their respective members of the commission. Public notice of the meeting shall be given by the director in the manner the director determines is appropriate. A producer may on his or her own motion file his or her name with the director for the purpose of receiving notice of the meeting. The nonreceipt of the notice by any interested person does not invalidate the proceedings.

             (2) Prior to the nomination of commission members, the department of revenue shall provide the director with a list of all qualified producers within the state based upon tax records of the department.

             (3) For the initial election of commission members, any qualified producer may be nominated orally for a commissioner position at the meeting convened by the director. Nominations may also be made within five days prior to the meeting by a written petition filed with the department, signed by at least five producers who reside in the state. If the director determines that one of the positions from eastern Washington will go unfilled because of a lack of candidates, the director shall announce that this position shall be filled by a member from western Washington. If the position designated for eastern Washington is filled by a member from western Washington because of a lack of candidates from eastern Washington, this position shall be designated as position number seven by the director for purposes of section 3(5) of this act. Under no circumstances will there be less than two board members from eastern Washington.

             (4) The initial members of the commission shall be elected by secret mail ballot under the supervision of the director at the same time the referendum is submitted under section 12 of this act calling for the creation of the commission and the imposition of the initial assessment. If a nominee does not receive a majority of the votes on the first ballot, a run-off election shall be held by mail in a similar manner between the two candidates for the position receiving the largest number of votes.

 

             NEW SECTION. Sec. 5. (1) After the initial election of commission members, the commission shall establish rules for electing commission members, including the method used for notification, nominating, and voting. The commission may create commission districts and boundaries, and may also establish a weighted voting procedure for election of commission members. The commission shall hold its annual meeting during the month of October each year for the purpose of nominating commission members and the transaction of other business. Public notice of the meeting shall be given by the commission in the manner it determines is appropriate. A producer may on his or her own motion file his or her name with the commission for the purpose of receiving notice of the meeting. The nonreceipt of the notice by any interested person does not invalidate the proceedings.

             (2) Prior to the nomination of commission members, the department of revenue shall provide the commission with a list of all qualified producers within the state based upon tax records of the department.

 

             NEW SECTION. Sec. 6. (1) In the event a position becomes vacant due to resignation, disqualification, death, or for any other reason, the position until the next annual meeting shall be filled by vote of the remaining members of the commission. At the annual meeting a commissioner shall be elected to fill the balance of the unexpired term.

             (2) Each member of the commission shall be compensated in accordance with RCW 43.03.230 and shall be reimbursed for actual travel expenses incurred in carrying out the provisions of this chapter. Employees of the commission may also be reimbursed for actual travel expenses when on official commission business.

 

             NEW SECTION. Sec. 7. Obligations incurred by the commission and liabilities or claims against the commission may be enforced only against the assets of the commission in the same manner as if it were a corporation and no liability for the debts or actions of the commission exists against either the state of Washington or any subdivision or instrumentality thereof or against any member, officer, employee, or agent of the commission in his or her individual capacity. The members of the commission, including employees of the commission, may not be held responsible individually or any way whatsoever to any person for errors in judgment, mistakes, or other acts, either of commission or omission, as principal, agent, person, or employees, except for their own individual acts of dishonesty or crime. A person or employee may not be held responsible individually for any act or omission of any other members of the commission.

 

             NEW SECTION. Sec. 8. The powers and duties of the commission include:

             (1) To elect a chairman and such officers as the commission deems advisable. The commission shall adopt rules for its own governance, which provide for the holding of an annual meeting for the election of officers and transaction of other business and for such other meetings as the commission may direct;

             (2) To adopt any rules necessary to carry out the purposes of this chapter, in conformance with chapter 34.05 RCW;

             (3) To administer and do all things reasonably necessary to carry out the purposes of this chapter;

             (4) At the pleasure of the commission, to employ a treasurer who is responsible for all receipts and disbursements by the commission and the faithful discharge of whose duties shall be guaranteed by a bond at the sole expense of the commission;

             (5) At the pleasure of the commission, to employ and discharge managers, secretaries, agents, attorneys, and employees and to engage the services of independent contractors as the commission deems necessary, to prescribe their duties, and to fix their compensation;

             (6) To engage directly or indirectly in the promotion of Washington forest products and managed forests, and shall in the good faith judgment of the commission be in aid of the marketing, advertising, or sale of forest products, or of research related to such marketing, advertising, or sale of forest products, or of research related to managed forests;

             (7) To enforce the provisions of this chapter, including investigating and prosecuting violations of this chapter;

             (8) To acquire and transfer personal and real property, establish offices, incur expense, and enter into contracts. Contracts for creation and printing of promotional literature are not subject to chapter 43.78 RCW, but such contracts may be canceled by the commission unless performed under conditions of employment which substantially conform to the laws of this state and the rules of the department of labor and industries. The commission may create such debt and other liabilities as may be reasonable for proper discharge of its duties under this chapter;

             (9) To maintain such account or accounts with one or more qualified public depositaries as the commission may direct, to cause moneys to be deposited therein, and to expend moneys for purposes authorized by this chapter by drafts made by the commission upon such institutions or by other means;

             (10) To cause to be kept and annually closed, in accordance with generally accepted accounting principles, accurate records of all receipts, disbursements, and other financial transactions, available for audit by the state auditor;

             (11) To create and maintain a list of producers and to disseminate information among and solicit the opinions of producers with respect to the discharge of the duties of the commission, directly or by arrangement with trade associations or other instrumentalities;

             (12) To employ, designate as agent, act in concert with, and enter into contracts with any person, council, commission, or other entity for the purpose of promoting the general welfare of the forest products industry and particularly for the purpose of assisting in the sale and distribution of Washington forest products in domestic and foreign commerce, expending moneys as it may deem necessary or advisable for such purpose and for the purpose of paying its proportionate share of the cost of any program providing direct or indirect assistance to the sale and distribution of Washington forest products in domestic or foreign commerce, and employing and paying for vendors of professional services of all kinds;

             (13) To sue and be sued as a commission, without individual liability for acts of the commission within the scope of the powers conferred upon it by this chapter;

             (14) To propose assessment levels for producers subject to referendum approval under section 11 of this act; and

             (15) To participate in federal and state agency hearings, meetings, and other proceedings relating to the regulation, production, manufacture, distribution, sale, or use of forest products.

 

             NEW SECTION. Sec. 9. The commission shall create, provide for, and conduct a research, promotional, and educational campaign as sales and market conditions reasonably require. It shall investigate and ascertain the needs of producers, conditions of markets, and degree of public awareness of products, and take into account the information obtained in the discharge of its duties under this chapter.

 

             NEW SECTION. Sec. 10. (1) The commission shall cause a list to be prepared of all Washington producers of forest products from any information available from the commission, producers' association, or producers, including tax records from the department of revenue. This list shall contain the names and addresses of all persons who produce forest products within this state, the amount of forest products produced during the period designated by the commission, and the assessment amount for each member. The list is considered confidential and may be reviewed only by the employees of the commission, except for information that may be disclosed to the public and commission members under subsection (4) of this section. A qualified person may, at any time, have his or her name placed upon the list by delivering or mailing the information to the commission. This list shall be corrected and brought up to date in accordance with evidence and information available to the commission on or before December 31st of each year, or as soon thereafter as possible. For all purposes of giving notice and holding referendums, the list on hand, corrected up to the day next preceding the date for issuing notices or ballots as the case may be, is, for purposes of this chapter, the list of all producers entitled to notice or to assent or dissent or to vote.

             (2) The commission shall develop a reporting system to document that the producers of forest products in this state are reporting quantities of forest products produced and subject to the assessment as provided in section 11 of this act.

             (3) The department of revenue may charge the commission for the reasonable costs of providing reports of harvest activity on a quarterly basis.

             (4) Any taxpayer information received by the commission from the department of revenue may only be used for the limited purposes of establishing lists of producers necessary to determine eligibility for voting, eligibility for serving as a commission member, the amount of assessments owed, or other necessary purposes as established by law. Any return or tax information received from the department of revenue may be reviewed only by the employees of the commission. Employees may disclose to the public and commission members a list of commission members, groupings of at least three commission members by the amount of forest products harvested over any time period designated by the commission of at least one quarter, and the members who are eligible for the various positions on the commission.

 

             NEW SECTION. Sec. 11. (1) To provide for permanent funding of the forest products commission, an assessment shall be levied by the commission on producers of each species of forest products. The initial rate of assessment that shall be submitted for approval by referendum pursuant to section 12 of this act is fifty-seven cents per thousand board feet. The initial assessment is not effective until approved by a majority of producers as required by section 12 of this act.

             (2) After the initial assessment rate is approved, the commission may adjust the amount of the assessment within a range of forty-five cents up to ninety cents per thousand board feet. The commission shall submit any proposed increase in the assessment to producers pursuant to the referendum process established in this section, and shall supply all known producers with a ballot for the referendum. The commission shall establish the assessment for the marketing year by January 1st of each year, or as soon thereafter as possible. Assessments may only be used for the purposes and objects of this chapter.

             (3) The forest products commission may raise the assessment on forest products in excess of the fiscal growth factor under chapter 43.135 RCW. The assessment limits established by this section are solely to provide prior legislative authority for the purposes of RCW 43.135.055 and are not a limit on the authority of the forest products commission to alter assessments in any manner not limited by RCW 43.135.055. However, any alteration in assessments made under this section must be made with the procedural requirements established by this chapter for altering such assessments.

             (4) The requirement for approval of an assessment is met if: (a) At least fifty-one percent by numbers of producers replying in the referendum vote affirmatively, and these producers represent at least sixty-one percent of the volume of the producers replying in the referendum; or (b) sixty-five percent by numbers of producers replying in the referendum vote affirmatively, and these producers represent at least fifty-one percent of the volume of the producers replying in the referendum. An assessment shall only be approved if at least forty percent of the eligible producers participate in the vote.

 

             NEW SECTION. Sec. 12. (1) For purposes of determining producer participation in the commission, the initial election of commissioners, and for imposition of the original assessment specified in section 11 of this act, the director shall conduct a referendum among all producers of forest products within the state.

             (2) The requirement for approval of the assessment and creation of the commission is met if: (a) At least fifty-one percent by numbers of producers replying in the referendum vote affirmatively, and these producers represent at least sixty-one percent of the volume of the producers replying in the referendum; or (b) sixty-five percent by numbers of producers replying in the referendum vote affirmatively, and these producers represent at least fifty-one percent of the volume of the producers replying in the referendum. The referendum shall only be approved if at least forty percent of the eligible producers participate in the vote.

             (3) If the director determines that the requisite approval has been given, the director shall declare the establishment of the commission and direct it to put into force the assessment authorized in section 11 of this act. If the director finds that the requisite approval has not been given, then this chapter is not operative.

 

             NEW SECTION. Sec. 13. The commission shall deposit moneys collected under section 11 of this act in a separate account in the name of the commission in any bank that is a state depositary. All expenditures and disbursements made from this account under this chapter may be made without the necessity of a specific legislative appropriation. RCW 43.01.050 does not apply to this account or to the moneys received, collected, or expended under this chapter.

 

             NEW SECTION. Sec. 14. A due and payable assessment levied in the amount determined by the commission under section 11 of this act constitutes a personal debt of every person so assessed, or who otherwise owes the assessment, and the assessment is due and payable to the commission when payment is called for by the commission. If a person fails to pay the commission the full amount of the assessment by the date due, the commission may add to the unpaid assessment an amount not exceeding ten percent of the assessment to defray the cost of enforcing its collection. If the person fails to pay any due and payable assessment or other such sum, the commission may bring a civil action for collection against the person or persons in a court of competent jurisdiction. The action shall be tried and judgment rendered as in any other cause of action for a debt due and payable.

 

             NEW SECTION. Sec. 15. All county and state law enforcement officers shall assist in the enforcement of this chapter.

 

             NEW SECTION. Sec. 16. The superior courts are hereby vested with jurisdiction to enforce this chapter and the rules of the commission, and to prevent and restrain violations thereof.

 

             NEW SECTION. Sec. 17. This chapter shall be liberally construed to effectuate its purposes.

 

             Sec. 18. RCW 42.17.31907 and 1996 c 80 s 3 are each amended to read as follows:

             The following agricultural business and commodity commission records are exempt from the disclosure requirements of this chapter:

             (1) Production or sales records required to determine assessment levels and actual assessment payments to commodity commissions formed under chapters 15.24, 15.26, 15.28, 15.44, 15.65, 15.66, 15.74, 15.88, 15.-- (sections 1 through 17 and 22 of this act), and 16.67 RCW or required by the department of agriculture under RCW 15.13.310(4) or 15.49.370(6);

             (2) Consignment information contained on phytosanitary certificates issued by the department of agriculture under chapters 15.13, 15.49, and 15.17 RCW or federal phytosanitary certificates issued under 7 C.F.R. 353 through cooperative agreements with the animal and plant health inspection service, United States department of agriculture, or on applications for phytosanitary certification required by the department of agriculture; and

             (3) Financial and commercial information and records supplied by persons to commodity commissions formed under chapters 15.24, 15.28, 15.44, 15.65, 15.66, 15.74, 15.88, 15.-- (sections 1 through 17 and 22 of this act), and 16.67 RCW with respect to domestic or export marketing activities or individual producer's production information.

 

             Sec. 19. RCW 43.135.055 and 1997 c 303 s 2 are each amended to read as follows:

             (1) No fee may increase in any fiscal year by a percentage in excess of the fiscal growth factor for that fiscal year without prior legislative approval.

             (2) This section does not apply to an assessment made by an agricultural commodity commission or board created by state statute or created under a marketing agreement or order under chapter 15.65 or 15.66 RCW, or to the forest products commission, if the assessment is approved by referendum in accordance with the provisions of the statutes creating the commission or board or chapter 15.65 or 15.66 RCW for approving such assessments.

 

             NEW SECTION. Sec. 20. A new section is added to chapter 82.32 RCW to read as follows:

             The forest products commission, created pursuant to chapter 15.-- RCW (sections 1 through 17 and 22 of this act), constitutes a state agency for purposes of applying the exemption contained in RCW 82.32.330(3)(f) for the disclosure of taxpayer information by the department. Disclosure of return or tax information may be made only to employees of the commission and not to commission members. Employees are authorized to use this information in accordance with section 10(4) of this act. Employees are subject to all civil and criminal penalties provided under RCW 82.32.330 for disclosures made to another person not entitled under the provisions of this section or section 10 of this act to knowledge of such information.

 

             NEW SECTION. Sec. 21. Sections 1 through 17 and 22 of this act constitute a new chapter in Title 15 RCW.

 

             NEW SECTION. Sec. 22. 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 Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley; Murray and Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer Ericksen, Jackley, Murray and Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5896          Prime Sponsor, Senate Committee on Ways & Means: Providing for additional DNA testing of evidence. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5902          Prime Sponsor, Senate Committee on Agriculture & International Trade: Regulating agricultural commodity commissions. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 15.66.030 and 1961 c 11 s 15.66.030 are each amended to read as follows:

             Marketing orders may be made for any one or more of the following purposes:

             (1) To establish plans and conduct programs for advertising and sales promotion, to maintain present markets or to create new or larger markets for any agricultural commodity grown in the state of Washington;

             (2) To provide for carrying on research studies to find more efficient methods of production, processing, handling and marketing of any agricultural commodity;

             (3) To provide for improving standards and grades by defining, establishing and providing labeling requirements with respect to the same;

             (4) To investigate and take necessary action to prevent unfair trade practices;

             (5) To provide information or communicate on matters pertaining to the production, processing, marketing, or uses of an agricultural commodity produced in Washington state to any elected official or officer or employee of any agency;

             (6) To provide marketing information and services for producers of an agricultural commodity;

             (7) To provide information and services for meeting resource conservation objectives of producers of an agricultural commodity;

             (8) To engage in cooperative efforts in the domestic or foreign marketing of food products of an agricultural commodity; and

             (9) To provide for commodity-related education and training.

 

             Sec. 2. RCW 15.66.110 and 1961 c 11 s 15.66.110 are each amended to read as follows:

             Every marketing order shall establish a commodity commission composed of not less than five nor more than thirteen members. In addition, the director shall be an ex officio member of each commodity commission. Commission members shall be citizens and residents of this state if required by the marketing order, and over the age of ((twenty-five years)) eighteen. The term of office of commission members shall be three years with the terms rotating so than one-third of the terms will commence as nearly as practicable each year. However, the first commission shall be selected, one-third for a term of one year, one-third for a term of two years, and one-third for a term of three years, as nearly as practicable. No less than two-thirds of the commission members shall be elected by the affected producers and such elected members shall all be affected producers. The remaining ((one-third)) members shall be appointed by the commission and shall be either affected producers, others active in matters relating to the affected commodity or persons not so related.

 

             Sec. 3. RCW 15.66.140 and 1985 c 261 s 20 are each amended to read as follows:

             Every marketing commission shall have such powers and duties in accordance with provisions of this chapter as may be provided in the marketing order and shall have the following powers and duties:

             (1) To elect a chairman and such other officers as determined advisable;

             (2) To adopt, rescind and amend rules and regulations reasonably necessary for the administration and operation of the commission and the enforcement of its duties under the marketing order;

             (3) To administer, enforce, direct and control the provisions of the marketing order and of this chapter relating thereto;

             (4) To employ and discharge at its discretion such administrators and additional personnel, attorneys, advertising and research agencies and other persons and firms that it may deem appropriate and pay compensation to the same;

             (5) To acquire personal property and purchase or lease office space and other necessary real property and transfer and convey the same;

             (6) To institute and maintain in its own name any and all legal actions, including actions by injunction, mandatory injunction or civil recovery, or proceedings before administrative tribunals or other governmental authorities necessary to carry out the provisions of this chapter and of the marketing order;

             (7) To keep accurate records of all its receipts and disbursements, which records shall be open to inspection and audit by the state auditor or private auditor designated by the state auditor at least every five years;

             (8) Borrow money and incur indebtedness;

             (9) Make necessary disbursements for routine operating expenses;

             (10) To expend funds for commodity-related education, training, and leadership programs as each commission deems expedient;

             (11) To work cooperatively with other local, state, and federal agencies; universities; and national organizations for the purposes provided in the commission's marketing order;

             (12) To enter into contracts or interagency agreements with any private or public agency, whether federal, state, or local, to carry out the purposes provided in the commission's marketing order. Personal service contracts must comply with chapter 39.29 RCW;

             (13) To accept and expend or retain any gifts, bequests, contributions, or grants from private persons or private and public agencies to carry out the purposes provided in the commission's marketing order;

             (14) To enter into contracts or agreements for research in the production, processing, marketing, use, or distribution of an affected commodity;

             (15) To retain in emergent situations the services of private legal counsel to conduct legal actions on behalf of a commission. The retention of a private attorney is subject to review by the office of the attorney general;

             (16) To engage in appropriate fund-raising activities for the purpose of supporting activities of the commission authorized by the marketing order;

             (17) To participate in international, federal, state, and local hearings, meetings, and other proceedings relating to the production, manufacture, regulation, distribution, sale, or use of affected commodities including activities authorized under RCW 42.17.190, including the reporting of those activities to the public disclosure commission; and

             (18) Such other powers and duties that are necessary to carry out the purposes of this chapter.

 

             Sec. 4. RCW 15.65.040 and 1961 c 256 s 4 are each amended to read as follows:

             It is hereby declared to be the policy of this chapter:

             (1) To aid agricultural producers in preventing economic waste in the marketing of their agricultural commodities and in developing more efficient methods of marketing agricultural products.

             (2) To enable agricultural producers of this state, with the aid of the state:

             (a) To develop, and engage in research for developing, better and more efficient production, marketing, and utilization of agricultural products;

             (b) To establish orderly marketing of agricultural commodities;

             (c) To provide for uniform grading and proper preparation of agricultural commodities for market;

             (d) To provide methods and means (including, but not limited to, public relations and promotion) for the maintenance of present markets and for the development of new or larger markets, both domestic and foreign, for agricultural commodities produced within this state and for the prevention, modification, or elimination of trade barriers which obstruct the free flow of such agricultural commodities to market;

             (e) To eliminate or reduce economic waste in the marketing and/or use of agricultural commodities;

             (f) To restore and maintain adequate purchasing power for the agricultural producers of this state;

             (g) To provide information or communicate on matters pertaining to the production, processing, marketing, or uses of an agricultural commodity produced in Washington state to any elected official or officer or employee of any agency;

             (h) To provide marketing information and services for producers of an agricultural commodity;

             (i) To provide information and services for meeting resource conservation objectives of producers of an agricultural commodity;

             (j) To engage in cooperative efforts in the domestic or foreign marketing of food products of an agricultural commodity;

             (k) To provide for commodity-related education and training; and

             (((g))) (l) To accomplish all the declared policies of this chapter.

             (3) To protect the interest of consumers by assuring a sufficient pure and wholesome supply of agricultural commodities of good quality at all seasons and times.

 

             Sec. 5. RCW 15.65.230 and 1961 c 256 s 23 are each amended to read as follows:

             ((The)) A producer member((s)) of each ((such)) commodity board ((shall)) must be a practical producer((s)) of the affected commodity and ((shall)) must be a citizen((s and)), resident((s)) of this state, and over the age of ((twenty-five)) eighteen years((, each of whom is and has)). Each producer board member must be and have been actually engaged in producing such a commodity within the state of Washington for a period of five years and ((has)) have, during that period, derived a substantial portion of his or her income therefrom and ((who is)) not be engaged in business, directly or indirectly, as a handler or other dealer. ((The)) A handler member((s)) of ((such)) each board ((shall)) must be a practical handler((s)) of the affected commodity and ((shall)) must be a citizen((s and)), resident((s)) of this state, and over the age of twenty-five years((, each of whom is and has)). Each handler board member must be and have been, either individually or as an officer or employee of a corporation, firm, partnership, association, or cooperative, actually engaged in handling such a commodity within the state of Washington for a period of five years and ((has)) have, during that period, derived a substantial portion of his or her income therefrom. The qualification of a member((s)) of the board as ((herein)) set forth in this section must continue during ((their)) the term((s)) of office.

 

             Sec. 6. RCW 15.65.280 and 1985 c 261 s 11 are each amended to read as follows:

             The powers and duties of the board shall be:

             (1) To elect a chairman and such other officers as it deems advisable;

             (2) To advise and counsel the director with respect to the administration and conduct of such marketing agreement or order;

             (3) To recommend to the director administrative rules, regulations and orders and amendments thereto for the exercise of his powers in connection with such agreement or order;

             (4) To advise the director upon any and all assessments provided pursuant to the terms of such agreement or order and upon the collection, deposit, withdrawal, disbursement and paying out of all moneys;

             (5) To assist the director in the collection of such necessary information and data as the director may deem necessary in the proper administration of this chapter;

             (6) To administer the order or agreement as its administrative board if the director designates it so to do in such order or agreement;

             (7) To work cooperatively with other local, state, and federal agencies; universities; and national organizations for the purposes provided in the board's marketing order;

             (8) To enter into contracts or interagency agreements with any private or public agency, whether federal, state, or local, to carry out the purposes provided in the board's marketing order. Personal service contracts must comply with chapter 39.29 RCW;

             (9) To accept and expend or retain any gifts, bequests, contributions, or grants from private persons or private and public agencies to carry out the purposes provided in the board's marketing order;

             (10) To retain in emergent situations the services of private legal counsel to conduct legal actions on behalf of a board. The retention of a private attorney is subject to review by the office of the attorney general;

             (11) To engage in appropriate fund-raising activities for the purpose of supporting activities of the board authorized by the marketing order;

             (12) To enter into contracts or agreements for research in the production, processing, marketing, use, or distribution of an affected commodity;

             (13) To participate in international, federal, state, and local hearings, meetings, and other proceedings relating to the production, manufacture, regulation, distribution, sale, or use of affected commodities including activities authorized under RCW 42.17.190, including the reporting of those activities to the public disclosure commission; and

             (14) To perform such other duties as the director may prescribe in the marketing agreement or order.

             Any agreement or order under which the commodity board administers the order or agreement shall (if so requested by the affected producers within the affected area in the proposal or promulgation hearing) contain provisions whereby the director reserves the power to approve or disapprove every order, rule or directive issued by the board, in which event such approval or disapproval shall be based on whether or not the director believes the board's action has been carried out in conformance with the purposes of this chapter.

 

             NEW SECTION. Sec. 7. A new section is added to chapter 15.65 RCW to read as follows:

             A commodity board may establish foundations using board funds as grant money when the foundation benefits the commodity for which the board was established. Board funds may be used for the purposes authorized in the marketing order.

 

             NEW SECTION. Sec. 8. A new section is added to chapter 15.66 RCW to read as follows:

             A commodity commission may establish foundations using commission funds as grant money when the foundation benefits the commodity for which the commission was established. Commission funds may be used for the purposes authorized in the marketing order.

 

             NEW SECTION. Sec. 9. A new section is added to chapter 15.65 RCW to read as follows:

             (1) Each board member of a commodity board established under this chapter may be compensated pursuant to RCW 43.03.230.

             (2) Board members and employees of a commodity board established under this chapter may be reimbursed for actual travel expenses incurred in carrying out the provisions of this chapter, as defined under the commodity board's marketing order. Otherwise, if not defined or referenced in the marketing order, reimbursement for travel expenses shall be in accordance with RCW 43.03.050 and 43.03.060.

             (3) Approval for compensation and travel expenses shall be as defined in the commodity board's marketing order.

 

             NEW SECTION. Sec. 10. A new section is added to chapter 15.66 RCW to read as follows:

             (1) Each commission member of a commodity commission established under this chapter may be compensated pursuant to RCW 43.03.230.

             (2) Commission members and employees of a commodity commission established under this chapter may be reimbursed for actual travel expenses incurred in carrying out the provisions of this chapter, as defined under the commodity commission's marketing order. Otherwise, if not defined or referenced in the marketing order, reimbursement for travel expenses shall be in accordance with RCW 43.03.050 and 43.03.060.

             (3) Approval for compensation and travel expenses shall be as defined in the commodity commission's marketing order.

 

             Sec. 11. RCW 43.03.230 and 1984 c 287 s 3 are each amended to read as follows:

             (1) Any agricultural commodity commission or board established pursuant to Title 15 or 16 RCW shall be identified as a class two group for purposes of compensation.

             (2) Except as otherwise provided in this section, each member of a class two group is eligible to receive compensation in an amount not to exceed ((thirty-five)) one hundred dollars for each day during which the member attends an official meeting of the group or performs statutorily prescribed duties approved by the chairperson of the group. A person shall not receive compensation for a day of service under this section if the person (a) occupies a position, normally regarded as full-time in nature, in any agency of the federal government, Washington state government, or Washington state local government; and (b) receives any compensation from such government for working that day.

             (3) Compensation may be paid a member under this section only if it is authorized under the law dealing in particular with the specific group to which the member belongs or dealing in particular with the members of that specific group."

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 5903            Prime Sponsor, Senator Winsley: Changing physician license fees. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass. Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Alexander, Ballasiotes, Campbell, Cody, Conway, Darneille, Edmonds, Edwards, Marine, McMorris, Pennington, Ruderman, Schual-Berke, and Skinner.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

ESSB 5904       Prime Sponsor, Senate Committee on Agriculture & International Trade: Revising procedures for conservation district elections. (REVISED FOR ENGROSSED: Revising procedures for choosing conservation district supervisors.) Reported by Committee on Agriculture & Ecology

 

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 29.04 RCW to read as follows:

             (1) Nothing in this title shall apply to conservation districts governed under chapter 89.08 RCW, unless a conservation district chooses to have its elections governed under this title.

             (2) A conservation district choosing to have its elections governed under this title shall:

             (a) Still be governed by other nonelection provisions of chapter 89.08 RCW;

             (b) Still be governed by RCW 89.08.160(2); and

             (c) Remain solely responsible for the costs of holding elections under this title.

             (3) Any conservation district choosing to have its elections governed under this title shall make the choice and provide notice to any affected county auditors by May 1st in the year in which the election is to be conducted.

             (4) Candidates and conservation district supervisors in districts that choose to have their elections governed under this title are subject to chapter 42.17 RCW. Candidates and conservation district supervisors in districts whose elections are governed under chapter 89.08 RCW are exempted from the requirements of chapter 42.17 RCW.

 

             Sec. 2. RCW 89.08.160 and 1973 1st ex.s. c 184 s 17 are each amended to read as follows:

             (1) If the commission finds the project practicable, it shall appoint two supervisors, one of whom shall be a landowner or operator of a farm, who shall be qualified by training and experience to perform the specialized skilled services required of them. They, with the three elected supervisors, two of whom shall be landowners or operators of a farm, shall constitute the governing board of the district.

             (2) In all subsequent appointments, at least one appointed supervisor shall be a landowner or operator of a farm. In all subsequent elections, at least two elected supervisors shall be landowners or operators of farms.

             (3) The two appointed supervisors shall file with the secretary of state a sworn application, reciting that a petition was filed with the commission for the creation of the district; that all required proceedings were had thereon; that they were appointed by the commission as such supervisors; and that the application is being filed to complete the organization of the district. It shall contain the names and residences of the applicants, a certified copy of their appointments, the name of the district, the location of the office of the supervisors and the term of office of each applicant.

             (4) The application shall be accompanied by a statement of the commission, reciting that a petition was filed, notice issued, and hearing held thereon as required; that it determined the need for the district and defined the boundaries thereof; that notice was given and an election held on the question of creating the district; that a majority vote favored the district, and that the commission had determined the district practicable; and shall set forth the boundaries of the district.

 

             Sec. 3. RCW 89.08.020 and 1999 c 305 s 1 are each amended to read as follows:

             Unless the context clearly indicates otherwise, as used in this chapter:

             (1) "Commission" and "state conservation commission" mean((s)) the agency created hereunder. All former references to "state soil and water conservation committee", "state committee" or "committee" shall be deemed to be references to the "state conservation commission"((;)).

             (2) "District", or "conservation district" means a governmental subdivision of this state and a public body corporate and politic, organized in accordance with the provisions of chapter 184, Laws of 1973 1st ex. sess., for the purposes, with the powers, and subject to the restrictions set forth in this chapter. All districts created under chapter 184, Laws of 1973 1st ex. sess. shall be known as conservation districts and shall have all the powers and duties set out in chapter 184, Laws of 1973 1st ex. sess. All references in chapter 184, Laws of 1973 1st ex. sess. to "districts", or "soil and water conservation districts" shall be deemed to be reference to "conservation districts"((;)).

             (3) "Board" and "supervisors" mean the board of supervisors of a conservation district((;)).

             (4) "Land occupier" or "occupier of land" includes any person, firm, political subdivision, government agency, municipality, public or private corporation, copartnership, association, or any other entity whatsoever which holds title to, or is in possession of, any lands lying within a district organized under the provisions of chapter 184, Laws of 1973 1st ex. sess., whether as owner, lessee, renter, tenant, or otherwise((;)).

             (5) "District elector" or "voter" means a registered voter in the county where the district is located who resides within the district boundary or in the area affected by a petition((;)).

             (6) "Due notice" means a notice published at least twice, with at least six days between publications, in a publication of general circulation within the affected area, or if there is no such publication by posting at a reasonable number of public places within the area, where it is customary to post notices concerning county and municipal affairs. Any hearing held pursuant to due notice may be postponed from time to time without a new notice((;)).

             (7) "Renewable natural resources", "natural resources" or "resources" includes land, air, water, vegetation, fish, wildlife, wild rivers, wilderness, natural beauty, scenery and open space((;)).

             (8) "Conservation" includes conservation, development, improvement, maintenance, preservation, protection and use, and alleviation of floodwater and sediment damages, and the disposal of excess surface waters.

             (9) "Farm and agricultural land" means either (a) land in any contiguous ownership of twenty or more acres devoted primarily to agricultural uses; (b) any parcel of land 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 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; or (c) any parcel of land of less than five acres devoted primarily to agricultural uses which has produced a gross income of one thousand dollars or more per year for three of the five calendar years preceding the date of application for classification under this chapter. Agricultural lands shall also include farm woodlots of less than twenty and more than five acres and the land on which appurtenances necessary to production, preparation or sale of the agricultural products exist in conjunction with the lands producing such products. Agricultural lands shall 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".

             (10) "Elected supervisor" means a member of the board of supervisors who is not appointed by the conservation commission and who is elected under section 1 of this act or under this chapter.

 

             Sec. 4. RCW 89.08.400 and 1992 c 70 s 1 are each amended to read as follows:

             For those districts that have chosen to conduct elections of supervisors pursuant to this chapter:

             (1) Special assessments are authorized to be imposed for conservation districts as provided in this section. Activities and programs to conserve natural resources, including soil and water, are declared to be of special benefit to lands and may be used as the basis upon which special assessments are imposed.

             (2)(a) Special assessments to finance the activities of a conservation district may be imposed by the county legislative authority of the county in which the conservation district is located for a period or periods each not to exceed ten years in duration.

             The supervisors of a conservation district shall hold a public hearing on a proposed system of assessments prior to the first day of August in the year prior to which it is proposed that the initial special assessments be collected. At that public hearing, the supervisors shall gather information and shall alter the proposed system of assessments when appropriate, including the number of years during which it is proposed that the special assessments be imposed.

             (b) On or before the first day of August in that year, the supervisors of a conservation district shall file the proposed system of assessments, indicating the years during which it is proposed that the special assessments shall be imposed, and a proposed budget for the succeeding year with the county legislative authority of the county within which the conservation district is located. The county legislative authority shall hold a public hearing on the proposed system of assessments. After the hearing, the county legislative authority may accept, or modify and accept, the proposed system of assessments, including the number of years during which the special assessments shall be imposed, if it finds that both the public interest will be served by the imposition of the special assessments and that the special assessments to be imposed on any land will not exceed the special benefit that the land receives or will receive from the activities of the conservation district. The findings of the county legislative authority shall be final and conclusive.

             (c) Special assessments may be altered during this period on individual parcels in accordance with the system of assessments if land is divided or land uses or other factors change.

             (d) Notice of the public hearings held by the supervisors and the county legislative authority shall be posted conspicuously in at least five places throughout the conservation district, and published once a week for two consecutive weeks in a newspaper in general circulation throughout the conservation district, with the date of the last publication at least five days prior to the public hearing.

             (3) A system of assessments shall classify lands in the conservation district into suitable classifications according to benefits conferred or to be conferred by the activities of the conservation district, determine an annual per acre rate of assessment for each classification of land, and indicate the total amount of special assessments proposed to be obtained from each classification of lands. Lands deemed not to receive benefit from the activities of the conservation district shall be placed into a separate classification and shall not be subject to the special assessments. An annual assessment rate shall be stated as either uniform annual per acre amount, or an annual flat rate per parcel plus a uniform annual rate per acre amount, for each classification of land. The maximum annual per acre special assessment rate shall not exceed ten cents per acre. The maximum annual per parcel rate shall not exceed five dollars.

             Public land, including lands owned or held by the state, shall be subject to special assessments to the same extent as privately owned lands. The procedures provided in chapter 79.44 RCW shall be followed if lands owned or held by the state are subject to the special assessments of a conservation district.

             Forest lands used solely for the planting, growing, or harvesting of trees may be subject to special assessments if such lands benefit from the activities of the conservation district, but the per acre rate of special assessment on benefited forest lands shall not exceed one-tenth of the weighted average per acre assessment on all other lands within the conservation district that are subject to its special assessments. The calculation of the weighted average per acre special assessment shall be a ratio calculated as follows: (a) The numerator shall be the total amount of money estimated to be derived from the imposition of per acre special assessments on the nonforest lands in the conservation district; and (b) the denominator shall be the total number of nonforest land acres in the conservation district that receive benefit from the activities of the conservation district and which are subject to the special assessments of the conservation district. No more than ten thousand acres of such forest lands that is both owned by the same person or entity and is located in the same conservation district may be subject to the special assessments that are imposed for that conservation district in any year. Per parcel charges shall not be imposed on forest land parcels. However, in lieu of a per parcel charge, a charge of up to three dollars per forest landowner may be imposed on each owner of forest lands whose forest lands are subject to a per acre rate of assessment.

             (4) A conservation district shall prepare an assessment roll that implements the system of assessments approved by the county legislative authority. The special assessments from the assessment roll shall be spread by the county assessor as a separate item on the tax rolls and shall be collected and accounted for with property taxes by the county treasurer. The amount of a special assessment shall constitute a lien against the land that shall be subject to the same conditions as a tax lien, collected by the treasurer in the same manner as delinquent real property taxes, and subject to the same interest rate and penalty as for delinquent property taxes. The county treasurer shall deduct an amount, as established by the county legislative authority, from the collected special assessments((, as established by the county legislative authority,)) to cover the costs incurred by the county assessor and county treasurer in spreading and collecting the special assessments, but not to exceed the actual costs of such work.

             (5) The special assessments for a conservation district shall not be spread on the tax rolls and shall not be collected with property tax collections in the following year if, after the system of assessments has been approved by the county legislative authority but prior to the fifteenth day of December in that year, a petition has been filed with the county legislative authority objecting to the imposition of such special assessments, which petition has been signed by at least twenty percent of the owners of land that would be subject to the special assessments to be imposed for a conservation district.

 

             NEW SECTION. Sec. 5. A new section is added to chapter 89.08 RCW to read as follows:

             For those districts that have chosen to conduct elections of supervisors pursuant to Title 29 RCW:

             (1) Special assessments are authorized to be imposed for conservation districts as provided in this section. Activities and programs to conserve natural resources, including soil and water, are declared to be of special benefit to lands and may be used as the basis upon which special assessments are imposed.

             (2)(a) Special assessments to finance the activities of a conservation district may be imposed by the board of supervisors for a period or periods each not to exceed ten years in duration.

             The supervisors of a conservation district shall hold a public hearing on a proposed system of assessments prior to the first day of August in the year prior to which it is proposed that the initial special assessments be collected. At that public hearing, the supervisors shall gather information and shall alter the proposed system of assessments when appropriate, including the number of years during which it is proposed that the special assessments be imposed.

             (b) After the public hearing, if the board of supervisors finds that both the public interest will be served by the imposition of the special assessments and that the special assessments to be imposed on any land will not exceed the special benefit that the land receives or will receive from the activities of the conservation district, the board of supervisors shall impose the assessments.

             (c) Special assessments may be altered during this period on individual parcels in accordance with the system of assessments if land is divided or land uses or other factors change.

             (d) Notice of the public hearings held by the supervisors shall be posted conspicuously in at least five places throughout the conservation district, and published once a week for two consecutive weeks in a newspaper in general circulation throughout the conservation district, with the date of the last publication at least five days prior to the public hearing.

             (3) A system of assessments shall classify lands in the conservation district into suitable classifications according to benefits conferred or to be conferred by the activities of the conservation district, determine an annual per acre rate of assessment for each classification of land, and indicate the total amount of special assessments proposed to be obtained from each classification of lands. Lands deemed not to receive benefit from the activities of the conservation district shall be placed into a separate classification and shall not be subject to the special assessments. An annual assessment rate shall be stated as either uniform annual per acre amount, or an annual flat rate per parcel plus a uniform annual rate per acre amount, for each classification of land. The maximum annual per acre special assessment rate shall not exceed ten cents per acre. The maximum annual per parcel rate shall not exceed five dollars.

             Public land, including lands owned or held by the state, shall be subject to special assessments to the same extent as privately owned lands. The procedures provided in chapter 79.44 RCW shall be followed if lands owned or held by the state are subject to the special assessments of a conservation district.

             Forest lands used solely for the planting, growing, or harvesting of trees may be subject to special assessments if such lands benefit from the activities of the conservation district, but the per acre rate of special assessment on benefited forest lands shall not exceed one-tenth of the weighted average per acre assessment on all other lands within the conservation district that are subject to its special assessments. The calculation of the weighted average per acre special assessment shall be a ratio calculated as follows: (a) The numerator shall be the total amount of money estimated to be derived from the imposition of per acre special assessments on the nonforest lands in the conservation district; and (b) the denominator shall be the total number of nonforest land acres in the conservation district that receive benefit from the activities of the conservation district and which are subject to the special assessments of the conservation district. No more than ten thousand acres of such forest lands that is both owned by the same person or entity and is located in the same conservation district may be subject to the special assessments that are imposed for that conservation district in any year. Per parcel charges shall not be imposed on forest land parcels. However, in lieu of a per parcel charge, a charge of up to three dollars per forest landowner may be imposed on each owner of forest lands whose forest lands are subject to a per acre rate of assessment.

             (4) A conservation district shall prepare an assessment roll that implements the system of assessments approved by the board of supervisors. The special assessments from the assessment roll shall be spread by the county assessor as a separate item on the tax rolls and shall be collected and accounted for with property taxes by the county treasurer. The amount of a special assessment shall constitute a lien against the land that shall be subject to the same conditions as a tax lien, collected by the treasurer in the same manner as delinquent real property taxes, and subject to the same interest rate and penalty as for delinquent property taxes. The county treasurer shall deduct an amount, as established by the county legislative authority, from the collected special assessments to cover the costs incurred by the county assessor and county treasurer in spreading and collecting the special assessments, but not to exceed the actual costs of such work.

             (5) The special assessments for a conservation district shall not be spread on the tax rolls and shall not be collected with property tax collections in the following year if, after the system of assessments has been approved by the board of supervisors, but prior to the fifteenth day of December in that year, a petition has been filed with the board of supervisors objecting to the imposition of such special assessments, which petition has been signed by at least twenty percent of the owners of land that would be subject to the special assessments to be imposed for a conservation district.

 

             NEW SECTION. Sec. 6. 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 immediately."

 

             On page 1, line 1 of the title, after "supervisors;" strike the remainder of the title and insert "amending RCW 89.08.160, 89.08.020, and 89.08.400; adding a new section to chapter 29.04 RCW; adding a new section to chapter 89.08 RCW; and declaring an emergency."

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SSB 5905          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Concerning the negotiation, enforcement, and resolution of disputes regarding tribal/state gaming compacts under the federal Indian gaming regulatory act of 1988. Reported by Committee on Commerce & Labor

 

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 9.46 RCW to read as follows:

             Until July 30, 2007, the state consents to the jurisdiction of the federal courts in actions brought by a tribe pursuant to the Indian gaming regulatory act of 1988 or seeking enforcement of a state/tribal compact adopted under the Indian gaming regulatory act, conditioned upon the tribe entering into such a compact and providing similar consent. This limited waiver of sovereign immunity shall not extend to actions other than those expressly set forth herein and properly filed on or before July 29, 2007.

             This section expires July 30, 2007."

 

             Correct the title.

 

Signed by Representatives Clements, Republican Co-Chair; Conway, Democratic Co-Chair; B. Chandler, Republican Vice Chair; Wood, Democratic Vice Chair; Hunt; Kenney; Lisk and McMorris.

 

             Voting yea: Representatives Clements, Conway, B. Chandler, Wood, Hunt, Kenney, Lisk and McMorris.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5906          Prime Sponsor, Senate Committee on Education: Creating the technology in education task force. Reported by Committee on Education

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, line 35, after "and" strike "one representative" and insert "three representatives"

 

Signed by Representatives Quall, Democratic Co-Chair; Talcott, Republican Co-Chair; Anderson, Republican Vice Chair; Haigh, Democratic Vice Chair; Cox; Ericksen; Keiser; McDermott; Pearson; Rockefeller; Santos; Schindler; Schmidt and Schual-Berke.

 

             Voting yea: Representatives Anderson, Cox, Ericksen, Haigh, Keiser, McDermott, Pearson, Quall, Rockefeller, Santos, Schindler, Schmidt, Schual-Berke, and Talcott.

 

             Referred to Committee on Appropriations.

 

March 29, 2001

SSB 5919          Prime Sponsor, Senate Committee on Environment, Energy & Water: Providing for the assessment of potential site locations for water storage projects. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5925          Prime Sponsor, Senate Committee on Environment, Energy & Water: Reusing waste water derived from food processing. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5940          Prime Sponsor, Senate Committee on Education: Strengthening career and technical education. 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 Washington requires strong career and technical education programs to meet the academic and career preparation needs of secondary students. The legislature further finds that career and technical education programs, including the vocational skills centers, provide:

             (a) Support for achievement of the certificate of mastery, particularly by students requiring applied learning opportunities for academic success;

             (b) Support for special needs students to fulfill the occupational preparation required for self-sufficiency in adult life;

             (c) Increases in the number of students who complete high school; and

             (d) Assistance with students' transitions from secondary schools to postsecondary education, training, and employment.

             (2) In order to provide students with a variety of learning experiences that will assist them in achieving the higher standards of education reform, school districts currently offering career and technical education programs shall continue to provide career and technical education programs and school districts not offering career and technical education programs are encouraged to begin providing such programs.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 28C.04 RCW to read as follows:

             (1) To ensure high quality career and technical programs, the office of the superintendent of public instruction shall review and approve the plans of local districts for the delivery of career and technical education. Standards for career and technical programs shall be established by the office of the superintendent of public instruction. These standards should:

             (a) Demonstrate how career and technical education programs will ensure academic rigor; align with the state's education reform requirements; help address the skills gap of Washington's economy; and maintain strong relationships with local career and technical education advisory councils for the design and delivery of career and technical education;

             (b) Demonstrate how secondary career and technical education programs will align with the work force development councils of Washington state, particularly regarding the provision of services out-of-school and the retention of at-risk youth; and

             (c) Demonstrate a strategy to align the five-year planning requirement under the federal Carl Perkins act with the state and district vocational program planning requirements that include:

             (i) An assessment of equipment and technology needs to support the skills training of technical students;

             (ii) An assessment of industry internships required for teachers to ensure the ability to prepare students for industry-defined standards or certifications, or both;

             (iii) An assessment of the costs of supporting job shadows, mentors, community service and industry internships, and other activities for student learning in the community. A formula for the calculation of the full-time equivalent value of these activities shall be included in the new program standards; and

             (iv) A description of the leadership activities to be provided for technical education students.

             (2) The office of the superintendent of public instruction shall recommend a system of funding the implementation of the standards in this section, including regular equipment and technology investments.

             (3) To ensure high quality career education programs and services in secondary schools, the office of the superintendent of public instruction may provide technical assistance to local districts and develop state guidelines for the delivery of career guidance in secondary schools.

             (4) To ensure leadership development, the staff of the office of the superintendent of public instruction may serve as the state advisors to Washington state FFA, Washington future business leaders of America, Washington DECA, Washington SkillsUSA-VICA, Washington family, career and community leaders, and Washington technology students association, and any additional career or technical student organizations that are formed. Working with the directors or executive secretaries of these organizations, the office of the superintendent of public instruction may develop tools for the coordination of leadership activities with the curriculum of technical education programs.

             (5) As used in this section, "career and technical education" means a planned program of courses and learning experiences that begins with exploration of career options; supports basic academic and life skills; and enables achievement of high academic standards, leadership, options for high skill, high wage employment preparation, and advanced and continuing education."

 

             Correct the title.

 

Signed by Representatives Quall, Democratic Co-Chair; Talcott, Republican Co-Chair; Anderson, Republican Vice Chair; Haigh, Democratic Vice Chair; Cox; Ericksen; Keiser; McDermott; Pearson; Rockefeller; Santos; Schindler; Schmidt and Schual-Berke.

 

             Voting yea: Representatives Anderson, Cox, Ericksen, Haigh, Keiser, McDermott, Pearson, Quall, Rockefeller, Santos, Schindler, Schmidt, Schual-Berke, and Talcott.

 

             Referred to Committee on Appropriations.

 

March 28, 2001

ESSB 5942       Prime Sponsor, Senate Committee on Judiciary: Increasing penalties for crimes against dog guides and service animals. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5958          Prime Sponsor, Senate Committee on Labor, Commerce & Financial Institutions: Adopting the Washington life and disability insurance guaranty association act. Reported by Committee on Financial Institutions & Insurance

 

MAJORITY recommendation: Do pass. Signed by Representatives Benson, Republican Co-Chair; Hatfield, Democratic Co-Chair; Bush, Republican Vice Chair; McIntire, Democratic Vice Chair; Barlean; Cairnes; DeBolt; Keiser; Miloscia; Roach; Santos and Simpson.

 

             Voting yea: Representatives Benson, Hatfield, Bush, McIntire, Barlean, Cairnes, DeBolt, Keiser, Miloscia, Roach, Santos and Simpson.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5961          Prime Sponsor, Senate Committee on Natural Resources, Parks & Shorelines: Modifying provisions concerning fisheries and wildlife issues. Reported by Committee on Natural Resources

 

MAJORITY recommendation: Do pass as amended.

 

             Strike everything after the enacting clause and insert the following:

 

             "Sec. 1. RCW 4.24.350 and 1997 c 206 s 1 are each amended to read as follows:

             (1) In any action for damages, whether based on tort or contract or otherwise, a claim or counterclaim for damages may be litigated in the principal action for malicious prosecution on the ground that the action was instituted with knowledge that the same was false, and unfounded, malicious and without probable cause in the filing of such action, or that the same was filed as a part of a conspiracy to misuse judicial process by filing an action known to be false and unfounded.

             (2) In any action, claim, or counterclaim brought by a judicial officer, prosecuting authority, or law enforcement officer for malicious prosecution arising out of the performance or purported performance of the public duty of such officer, an arrest or seizure of property need not be an element of the claim, nor do special damages need to be proved. A judicial officer, prosecuting authority, or law enforcement officer prevailing in such an action may be allowed an amount up to one thousand dollars as liquidated damages, together with a reasonable attorneys' fee, and other costs of suit. A government entity which has provided legal services to the prevailing judicial officer, prosecuting authority, or law enforcement officer has reimbursement rights to any award for reasonable attorneys' fees and other costs, but shall have no such rights to any liquidated damages allowed.

             (3) No action may be brought against an attorney under this section solely because of that attorney's representation of a party in a lawsuit.

             (4) As used in this section:

             (a) "Judicial officer" means a justice, judge, magistrate, or other judicial officer of the state or a city, town, or county.

             (b) "Prosecuting authority" means any officer or employee of the state or a city, town, or county who is authorized by law to initiate a criminal or civil proceeding on behalf of the public.

             (c) "Law enforcement officer" means a member of the state patrol, a sheriff or deputy sheriff, or a member of the police force of a city, town, university, state college, or port district, or a (("wildlife agent" or "ex officio wildlife agent")) fish and wildlife officer or ex officio fish and wildlife officer as defined in RCW 77.08.010.

 

             Sec. 2. RCW 43.70.185 and 1995 c 147 s 7 are each amended to read as follows:

             (1) The department may enter and inspect any property, lands, or waters, of this state in or on which any marine species are located or from which such species are harvested, whether recreationally or for sale or barter, and any land or water of this state which may cause or contribute to the pollution of areas in or on which such species are harvested or processed. The department may take any reasonably necessary samples to determine whether such species or any lot, batch, or quantity of such species is safe for human consumption.

             (2) If the department determines that any species or any lot, batch, or other quantity of such species is unsafe for human consumption because consumption is likely to cause actual harm or because consumption presents a potential risk of substantial harm, the department may by order under chapter 34.05 RCW, prohibit or restrict the commercial or recreational harvest or landing of any marine species except the recreational harvest of shellfish as defined in chapter 69.30 RCW if taken from privately owned tidelands.

             (3) It is unlawful to harvest any marine species in violation of a departmental order prohibiting or restricting such harvest under this section or to possess or sell any marine species so harvested.

             (4) Any person who sells any marine species taken in violation of this section is subject to the penalties provided in RCW 69.30.140 and 69.30.150. Any person who harvests or possesses marine species taken in violation of this section is guilty of a civil infraction and is subject to the penalties provided in RCW 69.30.150. Notwithstanding this section, any person who harvests, possesses, sells, offers to sell, culls, shucks, or packs shellfish is subject to the penalty provisions of chapter 69.30 RCW. Charges shall not be brought against a person under both chapter 69.30 RCW and this section in connection with this same action, incident, or event.

             (5) The criminal provisions of this section are subject to enforcement by fish and wildlife ((enforcement)) officers or ex officio fish and wildlife ((enforcement patrol)) officers as defined in RCW ((75.08.011)) 77.08.010.

             (6) As used in this section, marine species include all fish, invertebrate or plant species which are found during any portion of the life cycle of those species in the marine environment.

 

             Sec. 3. RCW 46.09.200 and 1986 c 100 s 52 are each amended to read as follows:

             The provisions of this chapter shall be enforced by all persons having the authority to enforce any of the laws of this state, including, without limitation, officers of the state patrol, county sheriffs and their deputies, all municipal law enforcement officers within their respective jurisdictions, ((state wildlife agents and deputy wildlife agents)) fish and wildlife officers, state park rangers, ((state fisheries patrolmen,)) and those employees of the department of natural resources designated by the commissioner of public lands under RCW 43.30.310, 76.04.035, and 76.04.045.

 

             Sec. 4. RCW 46.10.200 and 1980 c 78 s 131 are each amended to read as follows:

             The provisions of this chapter shall be enforced by all persons having the authority to enforce any of the laws of this state, including, without limitation, officers of the state patrol, county sheriffs and their deputies, all municipal law enforcement officers within their respective jurisdictions, fish and wildlife ((agents)) officers, state park rangers, ((state fisheries patrol officers,)) and those employees of the department of natural resources designated by the commissioner of public lands under RCW 43.30.310, as having police powers to enforce the laws of this state.

 

             Sec. 5. RCW 69.30.010 and 1995 c 147 s 1 are each amended to read as follows:

             When used in this chapter, the following terms shall have the following meanings:

             (1) "Shellfish" means all varieties of fresh and frozen oysters, mussels, clams, and scallops, either shucked or in the shell, and any fresh or frozen edible products thereof.

             (2) "Sale" means to sell, offer for sale, barter, trade, deliver, consign, hold for sale, consignment, barter, trade, or delivery, and/or possess with intent to sell or dispose of in any commercial manner.

             (3) "Shellfish growing areas" means the lands and waters in and upon which shellfish are grown for harvesting in commercial quantity or for sale for human consumption.

             (4) "Establishment" means the buildings, together with the necessary equipment and appurtenances, used for the storage, culling, shucking, packing and/or shipping of shellfish in commercial quantity or for sale for human consumption.

             (5) "Person" means any individual, partnership, firm, company, corporation, association, or the authorized agents of any such entities.

             (6) "Department" means the state department of health.

             (7) "Secretary" means the secretary of health or his or her authorized representatives.

             (8) "Commercial quantity" means any quantity exceeding: (a) Forty pounds of mussels; (b) one hundred oysters; (c) fourteen horse clams; (d) six geoducks; (e) fifty pounds of hard or soft shell clams; or (f) fifty pounds of scallops. The poundage in this subsection (8) constitutes weight with the shell.

             (9) "Fish and wildlife ((enforcement)) officer" means a ((fisheries patrol officer or an ex officio fisheries patrol)) fish and wildlife officer as defined in RCW ((75.08.011 (4) and (5) or a wildlife agent or an ex officio wildlife agent as defined in RCW 77.08.010 (5) and (6))) 77.08.010.

             (10) "Ex officio fish and wildlife officer" means an ex officio fish and wildlife officer as defined in RCW 77.08.010.

 

             Sec. 6. RCW 69.30.110 and 1995 c 147 s 4 are each amended to read as follows:

             It is unlawful for any person to possess a commercial quantity of shellfish or to sell or offer to sell shellfish in the state which have not been grown, shucked, packed, or shipped in accordance with the provisions of this chapter. Failure of a shellfish grower to display immediately a certificate of approval issued under RCW 69.30.050 to an authorized representative of the department, a fish and wildlife ((enforcement)) officer, or an ex officio fish and wildlife ((enforcement)) officer subjects the grower to the penalty provisions of this chapter, as well as immediate seizure of the shellfish by the representative or officer.

             Failure of a shellfish processor to display a certificate of approval issued under RCW 69.30.060 to an authorized representative of the department, a fish and wildlife ((enforcement)) officer, or an ex officio fish and wildlife ((enforcement)) officer subjects the processor to the penalty provisions of this chapter, as well as immediate seizure of the shellfish by the representative or officer.

             Shellfish seized under this section shall be subject to prompt disposal by the representative or officer and may not be used for human consumption. The state board of health shall develop by rule procedures for the disposal of the seized shellfish.

 

             Sec. 7. RCW 69.30.140 and 1995 c 147 s 6 are each amended to read as follows:

             Any person convicted of violating any of the provisions of this chapter shall be guilty of a gross misdemeanor. A conviction is an unvacated forfeiture of bail or collateral deposited to secure the defendant's appearance in court, the payment of a fine, a plea of guilty, or a finding of guilt on a violation of this chapter, regardless of whether imposition of sentence is deferred or the penalty is suspended, and shall be treated as a ((violation)) conviction for purposes of license ((forfeiture)) revocation and suspension of privileges under RCW ((75.10.120)) 77.15.700(5).

 

             Sec. 8. RCW 70.93.050 and 1980 c 78 s 132 are each amended to read as follows:

             The director shall designate trained employees of the department to be vested with police powers to enforce and administer the provisions of this chapter and all rules ((and regulations)) adopted thereunder. The director shall also have authority to contract with other state and local governmental agencies having law enforcement capabilities for services and personnel reasonably necessary to carry out the enforcement provisions of this chapter. In addition, state patrol officers, fish and wildlife ((agents)) officers, fire wardens, deputy fire wardens and forest rangers, sheriffs and marshals and their deputies, and police officers, and those employees of the department of ecology and the parks and recreation commission vested with police powers all shall enforce the provisions of this chapter and all rules ((and regulations)) adopted thereunder and are hereby empowered to issue citations to and/or arrest without warrant, persons violating any provision of this chapter or any of the rules ((and regulations)) adopted hereunder. All of the foregoing enforcement officers may serve and execute all warrants, citations, and other process issued by the courts in enforcing the provisions of this chapter and rules ((and regulations)) adopted hereunder. In addition, mailing by registered mail of such warrant, citation, or other process to his or her last known place of residence shall be deemed as personal service upon the person charged.

 

             Sec. 9. RCW 76.04.045 and 1986 c 100 s 5 are each amended to read as follows:

             (1) All Washington state patrol officers, ((wildlife agents, fisheries patrol)) fish and wildlife officers, deputy state fire marshals, and state park rangers, while in their respective jurisdictions, shall be ex officio rangers.

             (2) Employees of the United States forest service, when recommended by their forest supervisor, and citizens of the state advantageously located may, at the discretion of the department, be commissioned as rangers and vested with the certain powers and duties of wardens as specified in this chapter and as directed by the department.

             (3) Rangers shall receive no compensation for their services except when employed in cooperation with the state and under the provisions of this chapter and shall not create any indebtedness or incur any liability on behalf of the state: PROVIDED, That rangers actually engaged in extinguishing or preventing the spread of fire on forest land or elsewhere that may endanger forest land shall, when their accounts for such service have been approved by the department, be entitled to receive compensation for such services at a rate to be fixed by the department.

             (4) The department may cancel the commission of any ranger or authority granted to any ex officio ranger who may be incompetent or unwilling to discharge properly the duties of the office.

 

             Sec. 10. RCW 77.08.010 and 2000 c 107 s 207 are each amended to read as follows:

             As used in this title or rules adopted under this title, unless the context clearly requires otherwise:

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

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

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

             (4) "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.

             (5) "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.

             (6) "Ex officio fish and wildlife officer" means a commissioned officer of a municipal, county, state, or federal agency having as its primary function the enforcement of criminal laws in general, while the officer is in the appropriate jurisdiction. The term "ex officio fish and wildlife officer" includes special agents of the national marine fisheries service, state parks commissioned officers, United States fish and wildlife special agents, department of natural resources enforcement officers, and United States forest service officers, while the agents and officers are within their respective jurisdictions.

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

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

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

             (10) "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.

             (11) "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, ((or)) 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.

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

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

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

             (15) "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.

             (16) "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.

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

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

             (19) "Protected wildlife" means wildlife designated by the commission that shall not be hunted or fished.

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

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

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

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

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

             (25) "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.

             (26) "Game farm" means property on which wildlife is held or raised for commercial purposes, trade, or gift. The term "game farm" does not include publicly owned facilities.

             (27) "Person of disability" means a permanently disabled person who is not ambulatory without the assistance of a wheelchair, crutches, or similar devices.

             (28) "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.

             (29) "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.

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

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

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

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

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

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

             (36) "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.

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

             (38) "Resident" means a 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, and who is not licensed to hunt or fish as a resident in another state.

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

             (40) "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.

             (41) "Commercial" means related to or connected with buying, selling, or bartering. ((Fishing for food fish or shellfish with gear unlawful for fishing for personal use, or possessing food fish or shellfish in excess of the limits permitted for personal use are commercial activities.))

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

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

             (44) "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.

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

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

             (47) "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.

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

 

             Sec. 11. RCW 77.12.039 and 2000 c 107 s 5 are each amended to read as follows:

             The director may accept money or real property from persons under conditions requiring the use of the property or money for the protection, rehabilitation, preservation, or conservation of the state wildlife, ((food)) fish, and shellfish resources, or in settlement of claims for damages to wildlife, ((food)) fish, and shellfish resources. The director shall only accept real property useful for the protection, rehabilitation, preservation, or conservation of ((these fisheries)) fish, shellfish, and wildlife resources.

 

             Sec. 12. RCW 77.12.043 and 1985 c 458 s 7 are each amended to read as follows:

             (1) The director may enter into contracts and agreements with a person to secure ((food)) fish or shellfish or for the construction, operation, and maintenance of facilities for the propagation of ((food)) fish or shellfish.

             (2) The director may enter into contracts and agreements to procure from private aquaculturists ((food)) fish or shellfish with which to stock state waters.

 

             Sec. 13. RCW 77.12.045 and 1995 1st sp.s. c 2 s 10 are each amended to read as follows:

             Consistent with federal law, the commission's authority extends to all areas and waters within the territorial boundaries of the state, to the offshore waters, and to the concurrent waters of the Columbia river.

             Consistent with federal law, the commission's authority extends to fishing in offshore waters by residents of this state.

             The commission may adopt rules consistent with the regulations adopted by the United States department of commerce for the offshore waters. The commission may adopt rules consistent with the recommendations or regulations of the Pacific marine fisheries commission, Columbia river compact, the Pacific salmon commission as provided in chapter ((75.40)) 77.75 RCW, or the international Pacific halibut commission.

 

             Sec. 14. RCW 77.12.047 and 2000 c 107 s 7 are each amended to read as follows:

             (1) The commission may adopt, amend, or repeal rules as follows:

             (a) Specifying the times when the taking of wildlife, ((food)) fish, or shellfish is lawful or unlawful.

             (b) Specifying the areas and waters in which the taking and possession of wildlife, ((food)) fish, or shellfish is lawful or unlawful.

             (c) Specifying and defining the gear, appliances, or other equipment and methods that may be used to take wildlife, ((food)) fish, or shellfish, and specifying the times, places, and manner in which the equipment may be used or possessed.

             (d) Regulating the importation, transportation, possession, disposal, landing, and sale of wildlife, ((food)) fish, ((or)) shellfish, or seaweed within the state, whether acquired within or without the state.

             (e) Regulating the prevention and suppression of diseases and pests affecting wildlife, ((food)) fish, or shellfish.

             (f) Regulating the size, sex, species, and quantities of wildlife, ((food)) fish, or shellfish that may be taken, possessed, sold, or disposed of.

             (g) Specifying the statistical and biological reports required from ((fishermen)) fishers, dealers, boathouses, or processors of wildlife, ((food)) fish, or shellfish.

             (h) Classifying species of marine and freshwater life as food fish or shellfish.

             (i) Classifying the species of wildlife, ((food)) fish, and shellfish that may be used for purposes other than human consumption.

             (j) Regulating the taking, sale, possession, and distribution of wildlife, fish, shellfish, or deleterious exotic wildlife.

             (k) Establishing game reserves and closed areas where hunting for wild animals or wild birds may be prohibited.

             (l) Regulating the harvesting of fish, shellfish, and wildlife in the federal exclusive economic zone by vessels or individuals registered or licensed under the laws of this state.

             (m) Authorizing issuance of permits to release, plant, or place fish or shellfish in state waters.

             (n) Governing the possession of fish, shellfish, or wildlife so that the size, species, or sex can be determined visually in the field or while being transported.

             (o) Other rules necessary to carry out this title and the purposes and duties of the department.

             (2) Subsections (1)(a), (b), (c), (d), and (f) of this section do not apply to private tideland owners and lessees and the immediate family members of the owners or lessees of state tidelands, when they take or possess oysters, clams, cockles, borers, or mussels, excluding razor clams, produced on their own private tidelands or their leased state tidelands for personal use.

             "Immediate family member" for the purposes of this section means a spouse, brother, sister, grandparent, parent, child, or grandchild.

             (3) Except for subsection (1)(g) of this section, this section does not apply to private sector cultured aquatic products as defined in RCW 15.85.020. Subsection (1)(g) of this section does apply to such products.

 

             Sec. 15. RCW 77.12.170 and 2000 c 107 s 216 are each amended to read as follows:

             (1) There is established in the state treasury the state wildlife fund which consists of moneys received from:

             (a) Rentals or concessions of the department;

             (b) The sale of real or personal property held for department purposes;

             (c) The sale of licenses, permits, tags, and stamps((, and punchcards)) required by ((this title)) chapter 77.32 RCW and section 56 of this act, except annual resident adult saltwater and all shellfish licenses, which shall be deposited into the state general fund;

             (d) Fees for informational materials published by the department;

             (e) Fees for personalized vehicle license plates as provided in chapter 46.16 RCW;

             (f) Articles or wildlife sold by the director under this title;

             (g) Compensation for damage to department property or wildlife losses or contributions, gifts, or grants received under RCW 77.12.320 or 77.32.380;

             (h) Excise tax on anadromous game fish collected under chapter 82.27 RCW;

             (i) The sale of personal property seized by the department for ((food)) fish, shellfish, or wildlife violations; and

             (j) The department's share of revenues from auctions and raffles authorized by the commission.

             (2) State and county officers receiving any moneys listed in subsection (1) of this section shall deposit them in the state treasury to be credited to the state wildlife fund.

 

             Sec. 16. RCW 77.12.177 and 2000 c 107 s 10 are each amended to read as follows:

             (1) Except as provided in this title, state and county officers receiving the following moneys shall deposit them in the state general fund:

             (a) The sale of commercial licenses required under this title, except for licenses issued under ((chapter 77.32 RCW)) section 56 of this act; and

             (b) Moneys received for damages to food fish or shellfish.

             (2) The director shall make weekly remittances to the state treasurer of moneys collected by the department.

             (3) All fines and forfeitures collected or assessed by a district court for a violation of this title or rule of the department shall be remitted as provided in chapter 3.62 RCW.

             (4) Proceeds from the sale of food fish or shellfish taken in test fishing conducted by the department, to the extent that these proceeds exceed the estimates in the budget approved by the legislature, may be allocated as unanticipated receipts under RCW 43.79.270 to reimburse the department for unanticipated costs for test fishing operations in excess of the allowance in the budget approved by the legislature.

             (5) Proceeds from the sale of salmon carcasses and salmon eggs from state general funded hatcheries by the department of general administration shall be deposited in the regional fisheries enhancement group account established in RCW 77.95.090.

             (6) Moneys received by the commission under RCW 77.12.039, to the extent these moneys exceed estimates in the budget approved by the legislature, may be allocated as unanticipated receipts under RCW 43.79.270. Allocations under this subsection shall be made only for the specific purpose for which the moneys were received, unless the moneys were received in settlement of a claim for damages to food fish or shellfish, in which case the moneys may be expended for the conservation of these resources.

             (7) Proceeds from the sale of herring spawn on kelp fishery licenses by the department, to the extent those proceeds exceed estimates in the budget approved by the legislature, may be allocated as unanticipated receipts under RCW 43.79.270. Allocations under this subsection shall be made only for herring management, enhancement, and enforcement.

 

             Sec. 17. RCW 77.12.204 and 2000 c 107 s 217 are each amended to read as follows:

             The department of fish and wildlife shall implement practices necessary to meet the standards developed under RCW 79.01.295 on agency-owned and managed agricultural and grazing lands. The standards may be modified on a site-specific basis as necessary and as determined by the department of fish and wildlife((, for species that these agencies respectively manage,)) to achieve the goals established under RCW 79.01.295(1). Existing lessees shall be provided an opportunity to participate in any site-specific field review. Department agricultural and grazing leases issued after December 31, 1994, shall be subject to practices to achieve the standards that meet those developed pursuant to RCW 79.01.295.

             This section shall in no way prevent the department of fish and wildlife from managing its lands according to the provisions of RCW ((75.08.012)) 77.04.012, 77.12.210, or rules adopted pursuant to this chapter.

 

             Sec. 18. RCW 77.12.264 and 2000 c 107 s 9 are each amended to read as follows:

             The director shall relieve from active duty fish and wildlife officers who are injured in the performance of their official duties to such an extent as to be incapable of active service. While relieved from active duty, the employees shall receive one-half of their salary less any compensation received through the provisions of RCW 41.40.200, 41.40.220, and ((75.08.206)) 77.12.262.

 

             Sec. 19. RCW 77.12.320 and 1987 c 506 s 41 are each amended to read as follows:

             (1) The commission may make agreements with persons, political subdivisions of this state, or the United States or its agencies or instrumentalities, regarding fish, shellfish, and wildlife-oriented recreation and the propagation, protection, conservation, and control of fish, shellfish, and wildlife.

             (2) The director may make written agreements with the owners or lessees of real or personal property to provide for the use of the property for fish, shellfish, and wildlife-oriented recreation. The director may adopt rules governing the conduct of persons in or on the real property.

             (3) The director may accept compensation for fish, shellfish, and wildlife losses or gifts or grants of personal property for use by the department.

 

             Sec. 20. RCW 77.12.325 and 1980 c 78 s 52 are each amended to read as follows:

             The commission may cooperate with the Oregon fish and wildlife commission in the adoption of rules to ((assure)) ensure an annual yield of fish, shellfish, and wildlife on the Columbia river and to prevent the taking of fish, shellfish, and wildlife at places or times that might endanger fish, shellfish, and wildlife.

 

             Sec. 21. RCW 77.12.425 and 1980 c 78 s 90 are each amended to read as follows:

             The director may authorize removal, relocation, reconstruction, or other modification of an inadequate fishway or fish protective device required by RCW ((77.16.210 and)) 77.16.220 (as recodified by this act) which device was in existence on September 1, 1963, without cost to the owner for materials and labor. The modification may not materially alter the amount of water flowing through the fishway or fish protective device. Following modification, the fishway or fish protective device shall be maintained at the expense of the person or governmental agency owning the obstruction or water diversion device.

 

             Sec. 22. RCW 77.12.455 and 1995 1st sp.s. c 2 s 16 are each amended to read as follows:

             The commission may prohibit the introduction, transportation or transplanting of ((food)) fish, shellfish, organisms, material, or other equipment which in the commission's judgment may transmit any disease or pests affecting ((food)) fish or shellfish.

 

             Sec. 23. RCW 77.15.080 and 2000 c 107 s 233 are each amended to read as follows:

             Based upon articulable facts that a person is engaged in fishing, harvesting, or hunting activities, 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, and may request the person to write his or her signature for comparison with the signature on the license. Failure to comply with the request is prima facie evidence that the person is not the person named on the license.

 

             Sec. 24. RCW 77.15.090 and 2000 c 107 s 234 are each amended to read as follows:

             On a showing of probable cause that there has been a violation of any fish, seaweed, shellfish, or wildlife law of the state of Washington, or upon a showing of probable cause to believe that evidence of such violation may be found at a place, a court shall issue a search warrant or arrest warrant. Fish and wildlife officers may execute any such arrest or search warrant reasonably necessary to their duties under this title and may seize fish, seaweed, shellfish, and wildlife or any evidence of a crime and the fruits or instrumentalities of a crime as provided by warrant. The court may have a building, enclosure, vehicle, vessel, container, or receptacle opened or entered and the contents examined.

 

             Sec. 25. RCW 77.15.094 and 2000 c 107 s 214 are each amended to read as follows:

             Fish and wildlife officers and ex officio fish and wildlife officers may make a reasonable search without warrant of a vessel, conveyances, vehicles, containers, packages, or other receptacles for fish, seaweed, shellfish, and wildlife which they have reason to believe contain evidence of a violation of law or rules adopted pursuant to this title and seize evidence as needed for law enforcement. This authority does not extend to quarters in a boat, building, or other property used exclusively as a private domicile, does not extend to transitory residences in which a person has a reasonable expectation of privacy, and does not allow search and seizure without a warrant if the thing or place is protected from search without warrant within the meaning of Article I, section 7 of the state Constitution. Seizure of property as evidence of a crime does not preclude seizure of the property for forfeiture as authorized by law.

 

             Sec. 26. RCW 77.15.096 and 1998 c 190 s 116 are each amended to read as follows:

             Fish and wildlife officers may inspect without warrant at reasonable times and in a reasonable manner the premises, containers, fishing equipment, fish, seaweed, shellfish, and wildlife, and records required by the department of any commercial fisher or wholesale dealer or fish buyer. Fish and wildlife officers may similarly inspect without warrant the premises, containers, fishing equipment, fish, shellfish, and wildlife, and records required by the department of any shipping agent or other person placing or attempting to place fish, shellfish, or wildlife into interstate commerce, any cold storage plant that the department has probable cause to believe contains fish, shellfish, or wildlife, or of any taxidermist or fur buyer. Fish and wildlife officers may inspect without warrant the records required by the department of any retail outlet selling fish, shellfish, or wildlife ((or both)), and, if the officers have probable cause to believe a violation of this title or rules of the commission has occurred, they may inspect without warrant the premises, containers, and fish, shellfish, and wildlife of any retail outlet selling fish, shellfish, or wildlife ((or both)).

 

             Sec. 27. RCW 77.15.110 and 1998 c 190 s 8 are each amended to read as follows:

             (1) For purposes of this chapter, a person acts for commercial purposes if the person:

             (a) Acts with intent to sell, attempted to sell, sold, bartered, attempted to purchase, or purchased fish, seaweed, shellfish, or wildlife;

             (b) Uses gear typical of that used in commercial fisheries;

             (c) Exceeds the bag or possession limits for personal use by taking or possessing more than three times the amount of fish, seaweed, shellfish, or wildlife allowed;

             (d) Delivers or attempts to deliver fish, seaweed, shellfish, or wildlife to a person who sells or resells fish, seaweed, shellfish, or wildlife including any licensed or unlicensed wholesaler; ((or))

             (e) Takes fish or shellfish using a vessel designated on a commercial fishery license and gear not authorized in a personal use fishery;

             (f) Sells or deals in raw furs; or

             (g) Performs taxidermy service on fish, shellfish, or wildlife belonging to another person for a fee or receipt of goods or services.

             (2) For purposes of this chapter, the value of any fish, shellfish, or wildlife may be proved based on evidence of legal or illegal sales involving the person charged or any other person, of offers to sell or solicitation of offers to sell by the person charged or by any other person, or of any market price for the fish, shellfish, or wildlife including market price for farm-raised game animals. The value assigned to specific fish, shellfish, or wildlife by RCW ((77.21.070)) 77.15.420 may be presumed to be the value of such fish, shellfish, or wildlife. It is not relevant to proof of value that the person charged misrepresented that the fish, shellfish, or wildlife was taken in compliance with law if the fish, shellfish, or wildlife was unlawfully taken and had no lawful market value.

 

             Sec. 28. RCW 77.15.150 and 1998 c 190 s 16 are each amended to read as follows:

             (1) A person is guilty of unlawful use of poison or explosives if:

             (a) The person lays out, sets out, or uses a drug, poison, or other deleterious substance that kills, injures, harms, or endangers fish, shellfish, or wildlife, except if the person is using the substance in compliance with federal and state laws and label instructions; or

             (b) The person lays out, sets out, or uses an explosive that kills, injures, harms, or endangers fish, shellfish, or wildlife, except if authorized by law or permit of the director.

             (2) Unlawful use of poison or explosives is a gross misdemeanor.

 

             Sec. 29. RCW 77.15.180 and 1998 c 190 s 22 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 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 or releases ((food)) 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. 30. RCW 77.15.210 and 1998 c 190 s 24 are each amended to read as follows:

             (1) A person is guilty of obstructing the taking of fish or wildlife if the person:

             (a) Harasses, drives, or disturbs fish, shellfish, or wildlife with the intent of disrupting lawful pursuit or taking thereof; or

             (b) Harasses, intimidates, or interferes with an individual engaged in the lawful taking of fish, shellfish, or wildlife or lawful predator control with the intent of disrupting lawful pursuit or taking thereof.

             (2) Obstructing the taking of fish, shellfish, or wildlife is a gross misdemeanor.

             (3) It is an affirmative defense to a prosecution for obstructing the taking of fish, shellfish, or wildlife that the person charged was:

             (a) Interfering with a person engaged in hunting outside the legally established hunting season; or

             (b) Preventing or attempting to prevent unauthorized trespass on private property.

             (4) The person raising a defense under subsection (3) of this section has the burden of proof by a preponderance of the evidence.

 

             Sec. 31. RCW 77.15.245 and 2000 c 248 s 1 and 2000 c 107 s 260 are each reenacted and amended to read as follows:

             (1) Notwithstanding the provisions of RCW 77.12.240, 77.36.020, 77.36.030, or any other provisions of law, it is unlawful to take, hunt, or attract black bear with the aid of bait.

             (a) Nothing in this subsection shall be construed to prohibit the killing of black bear with the aid of bait by employees or agents of county, state, or federal agencies while acting in their official capacities for the purpose of protecting livestock, domestic animals, private property, or the public safety.

             (b) Nothing in this subsection shall be construed to prevent the establishment and operation of feeding stations for black bear in order to prevent damage to commercial timberland.

             (c) Nothing in this subsection shall be construed to prohibit the director from issuing a permit or memorandum of understanding to a public agency, university, or scientific or educational institution for the use of bait to attract black bear for scientific purposes.

             (d) As used in this subsection, "bait" means a substance placed, exposed, deposited, distributed, scattered, or otherwise used for the purpose of attracting black bears to an area where one or more persons hunt or intend to hunt them.

             (2) Notwithstanding RCW 77.12.240, 77.36.020, 77.36.030, or any other provisions of law, it is unlawful to hunt or pursue black bear, cougar, bobcat, or lynx with the aid of a dog or dogs.

             (a) Nothing in this subsection shall be construed to prohibit the killing of black bear, cougar, bobcat, or lynx with the aid of a dog or dogs by employees or agents of county, state, or federal agencies while acting in their official capacities for the purpose of protecting livestock, domestic animals, private property, or the public safety. A dog or dogs may be used by the owner or tenant of real property consistent with a permit issued and conditioned by the director.

             (b) Nothing in this subsection shall be construed to prohibit the director from issuing a permit or memorandum of understanding to a public agency, university, or scientific or educational institution for the use of a dog or dogs for the pursuit, capture and relocation, of black bear, cougar, bobcat, or lynx for scientific purposes.

             (c) Nothing in this subsection shall be construed to prohibit the director from issuing a permit or memorandum of understanding to a public agency, university, or scientific or educational institution for the use of a dog or dogs for the killing of black bear, cougar, or bobcat, for the protection of a state and/or federally listed threatened or endangered species.

             (3) Notwithstanding subsection (2) of this section, the commission shall authorize the use of dogs only in selected areas within a game management unit to address a public safety need presented by one or more cougar. This authority may only be exercised after the commission has determined that no other practical alternative to the use of dogs exists, and after the commission has adopted rules describing the conditions in which dogs may be used. Conditions that may warrant the use of dogs within a game management unit include, but are not limited to, confirmed cougar/human safety incidents, confirmed cougar/livestock and cougar/pet depredations, and the number of cougar capture attempts and relocations.

             (4) A person who violates subsection (1) or (2) of this section is guilty of a gross misdemeanor. In addition to appropriate criminal penalties, the ((director)) department shall revoke the hunting license of a person who violates subsection (1) or (2) of this section and ((a hunting license shall not be issued)) order the suspension of wildlife hunting privileges for a period of five years following the revocation. Following a subsequent violation of subsection (1) or (2) of this section by the same person, a hunting license shall not be issued to the person at any time.

 

             Sec. 32. RCW 77.15.250 and 1998 c 190 s 31 are each amended to read as follows:

             (1)(a) A person is guilty of unlawfully releasing, planting, or placing fish, shellfish, or wildlife if the person knowingly releases, plants, or places live fish, shellfish, wildlife, or aquatic plants within the state, ((except for)) 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 ((food)) 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. This does not affect the existing authority of the department to bring a separate civil action to recover costs of capturing, killing, controlling the fish, shellfish, aquatic plants, or wildlife released or their progeny, or restoration of habitat necessitated by the unlawful release.

             (2)(a) A person is guilty of unlawful release of deleterious exotic wildlife if the person knowingly releases, plants, or places live fish, shellfish, or wildlife within the state and such fish, shellfish, or wildlife has 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. This does not affect the existing authority of the department to bring a separate civil action to recover costs of capturing, killing, controlling the fish, shellfish, or wildlife released or their progeny, or restoration of habitat necessitated by the unlawful release.

 

             Sec. 33. RCW 77.15.260 and 1998 c 190 s 42 are each amended to read as follows:

             (1) A person is guilty of unlawful trafficking in fish, shellfish, or wildlife in the second degree if the person traffics in fish, shellfish, or wildlife with a wholesale value of less than two hundred fifty dollars and:

             (a) The fish or wildlife is classified as game, food fish, shellfish, game fish, or protected wildlife and the trafficking is not authorized by statute or rule of the department; or

             (b) The fish, shellfish, or wildlife is unclassified and the trafficking violates any rule of the department.

             (2) A person is guilty of unlawful trafficking in fish, shellfish, or wildlife in the first degree if the person commits the act described by subsection (1) of this section and:

             (a) The fish, shellfish, or wildlife has a value of two hundred fifty dollars or more; or

             (b) The fish, shellfish, or wildlife is designated as an endangered species or deleterious exotic wildlife and such trafficking is not authorized by any statute or rule of the department.

             (3)(a) Unlawful trafficking in fish, shellfish, or wildlife in the second degree is a gross misdemeanor.

             (b) Unlawful trafficking in fish, shellfish, or wildlife in the first degree is a class C felony.

 

             Sec. 34. RCW 77.15.270 and 1998 c 190 s 46 are each amended to read as follows:

             (1) A person is guilty of providing false information regarding fish, shellfish, or wildlife if the person knowingly provides false or misleading information required by any statute or rule to be provided to the department regarding the taking, delivery, possession, transportation, sale, transfer, or any other use of fish, shellfish, or wildlife.

             (2) Providing false information regarding fish, shellfish, or wildlife is a gross misdemeanor.

 

             Sec. 35. RCW 77.15.290 and 1998 c 190 s 48 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 rule of the commission or the director 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 rule of the commission or director.

             (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 rule of the commission or the director 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.

 

             Sec. 36. RCW 77.15.330 and 1998 c 190 s 56 are each amended to read as follows:

             (1) A person is guilty of unlawfully holding a hunting or fishing contest if the person:

             (a) Conducts, holds, or sponsors a hunting contest, a fishing contest involving game fish, or a competitive field trial using live wildlife without the permit required by RCW ((77.32.211)) 77.65.480; or

             (b) Violates any rule of the commission or the director applicable to a hunting contest, fishing contest involving game fish, or a competitive field trial using live wildlife.

             (2) Unlawfully holding a hunting or fishing contest is a misdemeanor.

 

             Sec. 37. RCW 77.15.340 and 1998 c 190 s 57 are each amended to read as follows:

             (1) A person is guilty of unlawful operation of a game farm if the person (a) operates a game farm without the license required by RCW ((77.32.211)) 77.65.480; or (b) violates any rule of the commission or the director applicable to game farms under RCW 77.12.570, 77.12.580, and 77.12.590.

             (2) Unlawful operation of a game farm is a gross misdemeanor.

 

             Sec. 38. RCW 77.15.370 and 1998 c 190 s 19 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, 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, possessed, or retained for noncommercial use;

             (b) The person fishes in a fishway; or

             (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 rule of the commission or director.

             (2) Unlawful recreational fishing in the first degree is a gross misdemeanor.

 

             Sec. 39. RCW 77.15.380 and 2000 c 107 s 244 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, takes, possesses, or harvests fish or shellfish and:

             (a) The person does not have and possess the license or the catch record card required by chapter ((75.25 or)) 77.32 RCW for such activity; or

             (b) The action violates any rule of the commission or the director 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 or possession of fish, except for use of a net to take fish as provided for in RCW 77.15.580.

             (2) Unlawful recreational fishing in the second degree is a misdemeanor.

 

             Sec. 40. RCW 77.15.390 and 2000 c 107 s 245 are each amended to read as follows:

             (1) A person is guilty of unlawful taking of seaweed if the person takes, possesses, or harvests seaweed and:

             (a) The person does not have and possess the license required by chapter ((75.25)) 77.32 RCW for taking seaweed; or

             (b) The action violates any rule of the department or the department of natural resources regarding seasons, possession limits, closed areas, closed times, or any other rule addressing the manner or method of taking, possessing, or harvesting 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. 41. RCW 77.15.400 and 1999 c 258 s 2 are each amended to read as follows:

             (1) A person is guilty of unlawful hunting of wild birds in the second degree if the person:

             (a) Hunts for, takes, or possesses a wild bird and the person does not have and possess all licenses, tags, stamps, and permits required under this title;

             (b) Maliciously destroys, takes, or harms the eggs or nests of a ((game [wild])) wild bird except when authorized by permit;

             (c) Violates any rule of the commission or director regarding seasons, bag or possession limits but less than two times the bag or possession limit, closed areas, closed times, or other rule addressing the manner or method of hunting or possession of wild birds; or

             (d) Possesses a wild bird taken during a closed season for that wild bird or taken from a closed area for that wild bird.

             (2) A person is guilty of unlawful hunting of wild birds in the first degree if the person takes or possesses two times or more than the possession or bag limit for ((game [wild])) wild birds allowed by rule of the commission or director.

             (3)(a) Unlawful hunting of wild birds in the second degree is a misdemeanor.

             (b) Unlawful hunting of wild birds in the first degree is a gross misdemeanor.

 

             Sec. 42. RCW 77.15.480 and 2000 c 107 s 247 are each amended to read as follows:

             Articles or devices unlawfully used, possessed, or maintained for catching, taking, killing, 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. 43. RCW 77.15.510 and 1998 c 190 s 36 are each amended to read as follows:

             (1) A person is guilty of commercial fish guiding or chartering without a license if:

             (a) The person operates a charter boat and does not hold the charter boat license required for the food fish taken;

             (b) The person acts as a professional salmon guide and does not hold a professional salmon guide license; or

             (c) The person acts as a game fish guide and does not hold a ((professional)) game fish guide license.

             (2) Commercial fish guiding or chartering without a license is a gross misdemeanor.

 

             Sec. 44. RCW 77.15.550 and 1999 c 258 s 10 are each amended to read as follows:

             (1) A person is guilty of violating commercial fishing area or time in the second degree if the person acts for commercial purposes and takes, fishes for, possesses, delivers, or receives ((food)) fish or shellfish:

             (a) At a time not authorized by statute or rule;

             (b) From an area that was closed to the taking of such ((food)) fish or shellfish for commercial purposes by statute or rule; or

             (c) If such fish or shellfish do not conform to the special restrictions or physical descriptions established by rule of the department.

             (2) A person is guilty of violating commercial fishing area or time in the first degree if the person commits the act described by subsection (1) of this section and:

             (a) The person acted with knowledge that the area or time was not open to the taking or fishing of ((food)) fish or shellfish for commercial purposes; and

             (b) The violation involved two hundred fifty dollars or more worth of ((food)) fish or shellfish.

             (3)(a) Violating commercial fishing area or time in the second degree is a gross misdemeanor.

             (b) Violating commercial fishing area or time in the first degree is a class C felony.

 

             Sec. 45. RCW 77.15.600 and 1999 c 258 s 8 are each amended to read as follows:

             (1) A person is guilty of engaging in commercial wildlife activity without a license if the person:

             (a) Deals in raw furs for commercial purposes and does not hold a fur dealer license required by chapter ((77.32)) 77.65 RCW; or

             (b) Practices taxidermy for commercial purposes and does not hold a taxidermy license required by chapter ((77.32)) 77.65 RCW.

             (2) Engaging in commercial wildlife activities without a license is a gross misdemeanor.

 

             Sec. 46. RCW 77.15.700 and 1998 c 190 s 66 are each amended to read as follows:

             The department shall impose revocation and suspension of privileges upon conviction in the following circumstances:

             (1) If directed by statute for an offense;

             (2) If the department finds that actions of the defendant demonstrated a willful or wanton disregard for conservation of fish or wildlife. Such suspension of privileges may be permanent;

             (3) If a person is convicted twice within ten years for a violation involving unlawful hunting, killing, or possessing big game, the department shall order revocation and suspension of all hunting privileges for two years. RCW ((77.16.020)) 77.12.722 or 77.16.050 as it existed before June 11, 1998, may comprise one of the convictions constituting the basis for revocation and suspension under this subsection;

             (4) If a person is convicted three times in ten years of any violation of recreational hunting or fishing laws or rules, the department shall order a revocation and suspension of all recreational hunting and fishing privileges for two years;

             (5) If a person is convicted twice within five years of a gross misdemeanor or felony involving unlawful commercial fish or shellfish harvesting, buying, or selling, the department shall impose a revocation and suspension of the person's commercial fishing privileges for one year. A commercial fishery license ((suspended)) revoked under this subsection may not be used by an alternate operator or transferred during the period of suspension.

 

             Sec. 47. RCW 77.15.730 and 1994 c 264 s 45 are each amended to read as follows:

             (1) Upon receipt of a report of failure to comply with the terms of a citation issued for a recreational violation from the licensing authority of a state that is a party to the wildlife violator compact under RCW ((77.17.010)) 77.75.070, the department shall suspend the violator's recreational license privileges under this title until (([there is])) there is satisfactory evidence of compliance with the terms of the wildlife citation. The department shall adopt by rule procedures for the timely notification and administrative review of such suspension of recreational licensing privileges.

             (2) Upon receipt of a report of a conviction for a recreational offense from the licensing authority of a state that is a party to the wildlife violator compact under RCW ((77.17.010)) 77.75.070, the department shall enter such conviction in its records and shall treat such conviction as if it occurred in the state of Washington for the purposes of suspension, revocation, or forfeiture of recreational license privileges.

 

             Sec. 48. RCW 77.16.220 and 1998 c 190 s 122 are each amended to read as follows:

              A person shall not divert water from a lake, river, or stream containing game fish unless the water diversion device is equipped at or near its intake with a fish guard or screen to prevent the passage of game fish into the device and, if necessary, with a means of returning game fish from immediately in front of the fish guard or screen to the waters of origin. A person who ((is now)) was, on June 11, 1947, otherwise lawfully diverting water from a lake, river, or stream shall not be deemed guilty of a violation of this section.

             Plans for the fish guard, screen, and bypass shall be approved by the director prior to construction. The installation shall be approved by the director prior to the diversion of water.

             The director may close a water diversion device operated in violation of this section and keep it closed until it is properly equipped with a fish guard, screen, or bypass.

 

             Sec. 49. RCW 77.32.010 and 2000 c 107 s 264 are each amended to read as follows:

             (1) Except as otherwise provided in this chapter, a recreational license issued by the director is required to((:

             (a))) hunt for or take wild animals((, except bullfrogs,)) or wild birds, fish for, take, or harvest fish, shellfish, and seaweed((, except smelt, albacore, carp, and crawfish;

             (b) Practice taxidermy for profit;

             (c) Deal in raw furs for profit;

             (d) Act as a fishing guide;

             (e) Operate a game farm;

             (f) Purchase or sell anadromous game fish; or

             (g) Use department-managed lands or facilities as provided by rules adopted pursuant to this title)). A recreational fishing or shellfish license is not required for carp, smelt, albacore, and crawfish, and a hunting license is not required for bullfrogs.

             (2) A permit issued by the ((director)) department is required to((:

             (a) Conduct, hold, or sponsor hunting or game fish fishing contests or competitive field trials using live wildlife;

             (b) Collect wild animals, wild birds, game fish, food fish, shellfish, or protected wildlife for research or display; or

             (c) Stock game fish.

             (3) Aquaculture as defined in RCW 15.85.020 is exempt from the requirements of this section, except when being stocked in public waters under contract with the department)) park a motor vehicle upon improved department access facilities.

 

             Sec. 50. RCW 77.32.014 and 2000 c 107 s 265 are each amended to read as follows:

             (((1))) Licenses, tags, and stamps issued pursuant to this chapter shall be ((invalid)) revoked and the privileges suspended for any period in which a person is certified by the department of social and health services or a court of competent jurisdiction as a person in noncompliance with a support order. Fish and wildlife officers and ex officio fish and wildlife officers shall enforce this section through checks of the department of licensing's computer data base. A listing on the department of licensing's data base that an individual's license is currently suspended pursuant to RCW 46.20.291(8) shall be prima facie evidence that the individual is in noncompliance with a support order. Presentation of a written release issued by the department of social and health services stating that the person is in compliance with an order shall serve as prima facie proof of compliance with a support order.

             (((2) It is unlawful to purchase, obtain, or possess a license required by this chapter during any period in which a license is suspended.))

 

             Sec. 51. RCW 77.32.250 and 2000 c 107 s 269 are each amended to read as follows:

             Licenses, permits, tags, and stamps required by this chapter and raffle tickets authorized under this chapter shall not be transferred.

             ((Upon request of a fish and wildlife officer or ex officio fish and wildlife officer, persons licensed, operating under a permit, or possessing wildlife under the authority of this chapter shall produce required licenses, permits, tags, stamps, raffle tickets, or catch record cards for inspection and write their signatures for comparison and in addition display their wildlife. Failure to comply with the request is prima facie evidence that the person has no license or is not the person named.))

 

             Sec. 52. RCW 77.32.535 and 1996 c 101 s 6 are each amended to read as follows:

             If a private entity has a private lands wildlife management area agreement in effect with the department, the commission may authorize the private entity to conduct raffles for access to hunt for big game animals and wild turkeys to meet the conditions of the agreement. The private entity shall comply with all applicable rules adopted under RCW ((77.12.770)) 77.32.530 for the implementation of raffles; however, raffle hunts conducted pursuant to this section shall not be counted toward the number of raffle hunts the commission may authorize under RCW ((77.12.770)) 77.32.530. The director shall establish the procedures for the hunts, which shall require any participants to obtain any required license, permit, or tag. Representatives of the department may participate in the hunt upon the request of the commission to ensure that the animals to be killed are properly identified.

 

             Sec. 53. RCW 77.44.070 and 1991 c 253 s 4 are each amended to read as follows:

             Any agency of state or federal government, political subdivision of the state, private or public utility company, corporation, or sports group, or any purchaser of fish under RCW ((77.18.020)) 77.44.060 may purchase resident game fish from an aquatic farmer for stocking purposes if permit requirements of this title and the department have been met.

 

             Sec. 54. RCW 77.55.280 and 1997 c 425 s 4 are each amended to read as follows:

             When a private landowner is applying for hydraulic project approval under this chapter and that landowner has entered into a habitat incentives agreement with the department and the department of natural resources as provided in RCW ((77.12.830)) 77.55.300, the department shall comply with the terms of that agreement when evaluating the request for hydraulic project approval.

 

             Sec. 55. RCW 77.55.290 and 1998 c 249 s 3 are each amended to read as follows:

             (1) In order to receive the permit review and approval process created in this section, a fish habitat enhancement project must meet the criteria under (a) and (b) of this subsection:

             (a) A fish habitat enhancement project must be a project to accomplish one or more of the following tasks:

             (i) Elimination of human-made fish passage barriers, including culvert repair and replacement;

             (ii) Restoration of an eroded or unstable stream bank employing the principle of bioengineering, including limited use of rock as a stabilization only at the toe of the bank, and with primary emphasis on using native vegetation to control the erosive forces of flowing water; or

             (iii) Placement of woody debris or other instream structures that benefit naturally reproducing fish stocks.

             The department shall develop size or scale threshold tests to determine if projects accomplishing any of these tasks should be evaluated under the process created in this section or under other project review and approval processes. A project proposal shall not be reviewed under the process created in this section if the department determines that the scale of the project raises concerns regarding public health and safety; and

             (b) A fish habitat enhancement project must be approved in one of the following ways:

             (i) By the department pursuant to chapter ((75.50 or 75.52)) 77.95 or 77.100 RCW;

             (ii) By the sponsor of a watershed restoration plan as provided in chapter 89.08 RCW;

             (iii) By the department as a department-sponsored fish habitat enhancement or restoration project;

             (iv) Through the review and approval process for the jobs for the environment program;

             (v) Through the review and approval process for conservation district-sponsored projects, where the project complies with design standards established by the conservation commission through interagency agreement with the United States fish and wildlife service and the natural resource conservation service;

             (vi) Through a formal grant program established by the legislature or the department for fish habitat enhancement or restoration; and

             (vii) Through other formal review and approval processes established by the legislature.

             (2) Fish habitat enhancement projects meeting the criteria of subsection (1) of this section are expected to result in beneficial impacts to the environment. Decisions pertaining to fish habitat enhancement projects meeting the criteria of subsection (1) of this section and being reviewed and approved according to the provisions of this section are not subject to the requirements of RCW 43.21C.030(2)(c).

             (3) Hydraulic project approval is required for projects that meet the criteria of subsection (1) of this section and are being reviewed and approved under this section. An applicant shall use a joint aquatic resource permit application form developed by the department of ecology permit assistance center to apply for approval under this chapter. On the same day, the applicant shall provide copies of the completed application form to the department and to each appropriate local government. Local governments shall accept the application as notice of the proposed project. The department shall provide a fifteen-day comment period during which it will receive comments regarding environmental impacts. In no more than forty-five days, the department shall either issue hydraulic project approval, with or without conditions, deny approval, or make a determination that the review and approval process created by this section is not appropriate for the proposed project. The department shall base this determination on identification during the comment period of adverse impacts that cannot be mitigated by hydraulic project approval. If the department determines that the review and approval process created by this section is not appropriate for the proposed project, the department shall notify the applicant and the appropriate local governments of its determination. The applicant may reapply for approval of the project under other review and approval processes.

             Any person aggrieved by the approval, denial, conditioning, or modification of hydraulic project approval under this section may formally appeal the decision to the hydraulic appeals board pursuant to the provisions of this chapter.

             (4) No local government may require permits or charge fees for fish habitat enhancement projects that meet the criteria of subsection (1) of this section and that are reviewed and approved according to the provisions of this section.

 

             NEW SECTION. Sec. 56. A new section is added to chapter 77.65 RCW to read as follows:

             (1) A license issued by the director is required to:

             (a) Practice taxidermy for commercial purposes;

             (b) Deal in raw furs for commercial purposes;

             (c) Act as a fishing guide;

             (d) Operate a game farm; or

             (e) Purchase or sell anadromous game fish.

             (2) A permit issued by the director is required to:

             (a) Conduct, hold, or sponsor hunting or fishing contests or competitive field trials using live wildlife;

             (b) Collect wild animals, wild birds, game fish, food fish, shellfish, or protected wildlife for research or display;

             (c) Stock game fish; or

             (d) Conduct commercial activities on department-owned or controlled lands.

             (3) Aquaculture as defined in RCW 15.85.020 is exempt from the requirements of this section, except when being stocked in public waters under contract with the department.

 

             Sec. 57. RCW 77.70.010 and 1997 c 58 s 884 are each amended to read as follows:

             (1) A license renewed under the provisions of this chapter that has been suspended under RCW ((75.28.042)) 77.65.080 shall be subject to the following provisions:

             (a) A license renewal fee shall be paid as a condition of maintaining a current license; and

             (b) The department shall waive any other license requirements, unless the department determines that the license holder has had sufficient opportunity to meet these requirements.

             (2) The provisions of subsection (1) of this section shall apply only to a license that has been suspended under RCW ((75.28.042)) 77.65.080 for a period of twelve months or less. A license holder shall forfeit a license subject to this chapter and may not recover any license renewal fees previously paid if the license holder does not meet the requirements of RCW 74.20A.320(9) within twelve months of license suspension.

 

             Sec. 58. RCW 77.70.150 and 1999 c 126 s 1 are each amended to read as follows:

             (1) A sea urchin dive fishery license is required to take sea urchins for commercial purposes. A sea urchin dive fishery license authorizes the use of only one diver in the water at any time during sea urchin harvest operations. If the same vessel has been designated on two sea urchin dive fishery licenses, two divers may be in the water. A natural person may not hold more than two sea urchin dive fishery licenses.

             (2) Except as provided in subsection (6) of this section, the director shall issue no new sea urchin dive fishery licenses. For licenses issued for the year 2000 and thereafter, the director shall renew existing licenses only to a natural person who held the license at the end of the previous year. If a sea urchin dive fishery license is not held by a natural person as of December 31, 1999, it is not renewable. However, if the license is not held because of revocation or suspension of licensing privileges, the director shall renew the license in the name of a natural person at the end of the revocation or suspension if the license holder applies for renewal of the license before the end of the year in which the revocation or suspension ends.

             (3) Where a licensee failed to obtain the license during the previous year because of a license suspension or revocation by the ((department)) director or the court, the licensee may qualify for a license by establishing that the person held such a license during the last year in which the person was eligible.

             (4) Surcharges as provided for in this section shall be collected and deposited into the sea urchin dive fishery account hereby created in the custody of the state treasurer. Only the director or the director's designee may authorize expenditures from the account. The sea urchin dive fishery account is subject to allotment procedures under chapter 43.88 RCW, but no appropriation is required for expenditures. Expenditures from the account shall only be used to retire sea urchin licenses until the number of licenses is reduced to twenty-five, and thereafter shall only be used for sea urchin management and enforcement.

             (a) A surcharge of one hundred dollars shall be charged with each sea urchin dive fishery license renewal for licenses issued in 2000 through 2005.

             (b) For licenses issued for the year 2000 and thereafter, a surcharge shall be charged on the sea urchin dive fishery license for designating an alternate operator. The surcharge shall be as follows: Five hundred dollars for the first year or each of the first two consecutive years after 1999 that any alternate operator is designated and two thousand five hundred dollars each year thereafter that any alternate operator is designated.

             (5) Sea urchin dive fishery licenses are transferable. After December 31, 1999, there is a surcharge to transfer a sea urchin dive fishery license. The surcharge is five hundred dollars for the first transfer of a license valid for calendar year 2000, and two thousand five hundred dollars for any subsequent transfer, whether occurring in the year 2000 or thereafter. Notwithstanding this subsection, a one-time transfer exempt from surcharge applies for a transfer from the natural person licensed on January 1, 2000, to that person's spouse or child.

             (6) If fewer than twenty-five natural persons are eligible for sea urchin dive fishery licenses, the director may accept applications for new licenses. The additional licenses may not cause more than twenty-five natural persons to be eligible for a sea urchin dive fishery license. New licenses issued under this section shall be distributed according to rules of the department that recover the value of such licensed privilege.

 

             Sec. 59. RCW 77.70.190 and 1999 c 126 s 2 are each amended to read as follows:

             (1) A sea cucumber dive fishery license is required to take sea cucumbers for commercial purposes. A sea cucumber dive fishery license authorizes the use of only one diver in the water at any time during sea cucumber harvest operations. If the same vessel has been designated on two sea cucumber dive fishery licenses, two divers may be in the water. A natural person may not hold more than two sea cucumber dive fishery licenses.

             (2) Except as provided in subsection (6) of this section, the director shall issue no new sea cucumber dive fishery licenses. For licenses issued for the year 2000 and thereafter, the director shall renew existing licenses only to a natural person who held the license at the end of the previous year. If a sea cucumber dive fishery license is not held by a natural person as of December 31, 1999, it is not renewable. However, if the license is not held because of revocation or suspension of licensing privileges, the director shall renew the license in the name of a natural person at the end of the revocation or suspension if the license holder applies for renewal of the license before the end of the year in which the revocation or suspension ends.

             (3) Where a licensee failed to obtain the license during either of the previous two years because of a license suspension by the ((department)) director or the court, the licensee may qualify for a license by establishing that the person held such a license during the last year in which the person was eligible.

             (4) Surcharges as provided for in this section shall be collected and deposited into the sea cucumber dive fishery account hereby created in the custody of the state treasurer. Only the director or the director's designee may authorize expenditures from the account. The sea cucumber dive fishery account is subject to allotment procedures under chapter 43.88 RCW, but no appropriation is required for expenditures. Expenditures from the account shall only be used to retire sea cucumber licenses until the number of licenses is reduced to twenty-five, and thereafter shall only be used for sea cucumber management and enforcement.

             (a) A surcharge of one hundred dollars shall be charged with each sea cucumber dive fishery license renewal for licenses issued in 2000 through 2005.

             (b) For licenses issued for the year 2000 and thereafter, a surcharge shall be charged on the sea cucumber dive fishery (([license])) license for designating an alternate operator. The surcharge shall be as follows: Five hundred dollars for the first year or each of the first two consecutive years after 1999 that any alternate operator is designated and two thousand five hundred dollars each year thereafter that any alternate operator is designated.

             (5) Sea cucumber dive fishery licenses are transferable. After December 31, 1999, there is a surcharge to transfer a sea cucumber dive fishery license. The surcharge is five hundred dollars for the first transfer of a license valid for calendar year 2000 and two thousand five hundred dollars for any subsequent transfer whether occurring in the year 2000 or thereafter. Notwithstanding this subsection, a one-time transfer exempt from surcharge applies for a transfer from the natural person licensed on January 1, 2000, to that person's spouse or child.

             (6) If fewer than twenty-five persons are eligible for sea cucumber dive fishery licenses, the director may accept applications for new licenses. The additional licenses may not cause more than twenty-five natural persons to be eligible for a sea cucumber dive fishery license. New licenses issued under this section shall be distributed according to rules of the department that recover the value of such licensed privilege.

 

             Sec. 60. RCW 79A.60.100 and 1994 c 264 s 80 are each amended to read as follows:

             (1) Every law enforcement officer of this state and its political subdivisions has the authority to enforce this chapter. Law enforcement officers may enforce recreational boating rules adopted by the commission. Such law enforcement officers include, but are not limited to, county sheriffs, officers of other local law enforcement entities, ((wildlife agents and fisheries patrol)) fish and wildlife officers ((of the department of fish and wildlife)), through the director, the state patrol, ((through its chief,)) and state park rangers. In the exercise of this responsibility, all such officers may stop and board any vessel and direct it to a suitable pier or anchorage to enforce this chapter.

             (2) This chapter shall be construed to supplement federal laws and regulations. To the extent this chapter is inconsistent with federal laws and regulations, the federal laws and regulations shall control.

 

             NEW SECTION. Sec. 61. (1) RCW 77.12.055 and 77.65.470 are each recodified as sections in chapter 77.15 RCW.

             (2) RCW 77.12.425 and 77.16.220 are each recodified as sections in chapter 77.55 RCW.

             (3) RCW 77.32.220 is recodified as a section in chapter 77.65 RCW.

 

             NEW SECTION. Sec. 62. The following acts or parts of acts are each repealed:

             (1) RCW 77.12.030 (Authority to regulate wildlife) and 1987 c 506 s 14, 1984 c 240 s 2, 1980 c 78 s 14, 1969 ex.s. c 18 s 2, & 1955 c 36 s 77.12.030;

             (2) RCW 77.12.040 (Regulating the taking or possessing of game--Emergency rules--Game reserves, closed areas and waters) and 1987 c 506 s 15, 1984 c 240 s 3, 1980 c 78 s 15, 1969 ex.s. c 18 s 3, & 1955 c 36 s 77.12.040;

             (3) RCW 77.12.105 (Authority to retain or transfer wildlife) and 1987 c 506 s 22, 1980 c 78 s 71, 1977 c 44 s 2, & 1955 c 36 s 77.16.030;

             (4) RCW 77.12.250 (Entry upon property in course of duty) and 2000 c 107 s 220, 1980 c 78 s 42, & 1955 c 36 s 77.12.250;

             (5) RCW 77.12.295 (Fish and wildlife harvest in federal exclusive economic zone--Rules) and 1995 1st sp.s. c 2 s 9 & 1993 sp.s. c 2 s 99;

             (6) RCW 77.12.457 (Planting food fish or shellfish--Permit authorized by rule) and 1998 c 190 s 73, 1995 1st sp.s. c 2 s 17, 1983 1st ex.s. c 46 s 30, & 1955 c 12 s 75.16.020;

             (7) RCW 77.12.724 (Possession of fish and wildlife--Rules) and 1998 c 190 s 120, 1987 c 506 s 63, & 1980 c 78 s 78; and

             (8) RCW 77.32.420 (Recreational licenses--Nontransferable--Enforcement provisions) and 2000 c 107 s 272, 1998 c 191 s 4, 1993 sp.s. c 17 s 8, 1989 c 305 s 12, 1987 c 87 s 7, 1984 c 80 s 8, 1983 1st ex.s. c 46 s 98, 1980 c 78 s 135, & 1977 ex.s. c 327 s 15."

 

             On page 1, line 2 of the title, after "statutes;" strike the remainder of the title and insert "amending RCW 4.24.350, 43.70.185, 46.09.200, 46.10.200, 69.30.010, 69.30.110, 69.30.140, 70.93.050, 76.04.045, 77.08.010, 77.12.039, 77.12.043, 77.12.045, 77.12.047, 77.12.170, 77.12.177, 77.12.204, 77.12.264, 77.12.320, 77.12.325, 77.12.425, 77.12.455, 77.15.080, 77.15.090, 77.15.094, 77.15.096, 77.15.110, 77.15.150, 77.15.180, 77.15.210, 77.15.250, 77.15.260, 77.15.270, 77.15.290, 77.15.330, 77.15.340, 77.15.370, 77.15.380, 77.15.390, 77.15.400, 77.15.480, 77.15.510, 77.15.550, 77.15.600, 77.15.700, 77.15.730, 77.16.220, 77.32.010, 77.32.014, 77.32.250, 77.32.535, 77.44.070, 77.55.280, 77.55.290, 77.70.010, 77.70.150, 77.70.190, and 79A.60.100; reenacting and amending RCW 77.15.245; adding new sections to chapter 77.65 RCW; adding new sections to chapter 77.15 RCW; adding new sections to chapter 77.55 RCW; recodifying RCW 77.12.055, 77.65.470, 77.12.425, 77.16.220, and 77.32.220; and repealing RCW 77.12.030, 77.12.040, 77.12.105, 77.12.250, 77.12.295, 77.12.457, 77.12.724, and 77.32.420."

 

Signed by Representatives Doumit, Democratic Co-Chair; Sump, Republican Co-Chair; Pearson, Republican Vice Chair; Rockefeller, Democratic Vice Chair; Buck; G. Chandler; Edwards; Eickmeyer; Ericksen; Jackley and Murray.

 

             MINORITY recommendation: Without recommendation. Signed by Representative Pennington.

 

             Voting yea: Representatives Doumit, Sump, Pearson, Rockefeller, Buck, G. Chandler, Edwards, Eickmeyer Ericksen, Jackley and Murray.

             Voting nay: Representative Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

ESSB 5970       Prime Sponsor, Senate Committee on Judiciary: Revising provisions for probation orders. Reported by Committee on Criminal Justice & Corrections

 

MAJORITY recommendation: Do pass. Signed by Representatives Ballasiotes, Republican Co-Chair; O'Brien, Democratic Co-Chair; Ahern, Republican Vice Chair; Lovick, Democratic Vice Chair; Cairnes; Kagi; Kirby and Morell.

 

             Voting yea: Representatives Ballasiotes, O'Brien, Ahern, Lovick, Cairnes, Kagi, Kirby and Morell.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 5972            Prime Sponsor, Senator Hargrove: Releasing juvenile offenders. Reported by Committee on Juvenile Justice

 

MAJORITY recommendation: Do pass. Signed by Representatives Delvin, Republican Co-Chair; Dickerson, Democratic Co-Chair; Eickmeyer, Democratic Vice Chair; Marine, Republican Vice Chair; Armstrong; Carrell; Darneille and Tokuda.

 

             Voting yea: Representatives Armstrong, Carrell, Darneille, Delvin, Dickerson, Eickmeyer, Marine, and Tokuda.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5984          Prime Sponsor, Senate Committee on Human Services & Corrections: Changing provisions relating to public access to child dependency hearings and foster parent complaint information. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, beginning on line 5, strike all of section 1 and insert:

             "NEW SECTION. Sec. 1. Matters relating to foster care raise competing concerns between public disclosure and client/provider confidentiality. The legislature finds it appropriate that unfounded complaints about foster parents in child dependency cases should not be subject to public disclosure. Parents or others with standing may access the unfounded complaint information pursuant to a court order when good cause is shown."

 

             On page 1, beginning on line 14, strike all of section 2.

 

             Renumber the remaining section consecutively.

 

             Correct the title.

 

Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives McMorris, Romero, Miloscia, Schindler, Haigh, Lambert, McDermott and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 5986          Prime Sponsor, Senate Committee on Health & Long-Term Care: Regulating county or local government-owned psychiatric facilities. Reported by Committee on Health Care

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, line 7, after "hospital," insert "including public hospital districts,"

 

             On page 1, line 12, after, "municipality," insert "public hospital district,"

 

Signed by Representatives Campbell, Republican Co-Chair; Cody, Democratic Co-Chair; Schual-Berke, Democratic Vice Chair; Skinner, Republican Vice Chair; Alexander; Ballasiotes; Conway; Darneille; Edmonds; Edwards; Marine; McMorris; Pennington and Ruderman.

 

             Voting yea: Representatives Cody, Campbell, Schual-Berke, Skinner, Alexander, Ballasiotes, Conway, Darneille, Edmonds, Edwards, Marine, McMorris, Pennington and Ruderman.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 5988          Prime Sponsor, Senate Committee on Ways & Means: Establishing compensation levels for certain employees of the state investment board. Reported by Committee on Appropriations

 

MAJORITY recommendation: Do pass. Signed by Representatives Sehlin, Republican Co-Chair; Sommers, Democratic Co-Chair; Barlean, Republican Vice Chair; Doumit, Democratic Vice Chair; Alexander; Benson; Boldt; Buck; Clements; Cody; Cox; Dunshee; Fromhold; Grant; Kagi; Keiser; Kenney; Kessler; Lambert; Linville; Mastin; McIntire; Mulliken; Pearson; Pflug; Ruderman; Schmidt; Schual-Berke; Talcott and Tokuda.

 

             Voting yea: Representatives Sehlin, Sommers, Alexander, Barlean, Benson, Boldt, Buck, Clements, Cody, Cox, Doumit, Dunshee, Fromhold, Grant, Kagi, Keiser, Kenney, Lambert, Linville, Mastin, McIntire, Mulliken, Pearson, Pflug, Ruderman, Schmidt, Schual-Berke, Talcott and Tokuda.

             Excused: Representatives Lisk, Gombosky and Kessler.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 6012          Prime Sponsor, Senate Committee on Environment, Energy & Water: Allowing customary agricultural related burning in an urban growth area. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SB 6025            Prime Sponsor, Senator Eide: Prohibiting methyl tertiary-butyl ether as a gasoline additive. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, line 9, after "be" strike "present" and insert "knowingly mixed"

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

             Excused: Representative Kirby.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SSB 6035          Prime Sponsor, Senate Committee on Higher Education: Creating a college board job bank. Reported by Committee on Higher Education

 

MAJORITY recommendation: Do pass. Signed by Representatives Cox, Republican Co-Chair; Kenney, Democratic Co-Chair; Gombosky, Democratic Vice Chair; Jarrett, Republican Vice Chair; Dunn; Fromhold; Lantz and Skinner.

 

             Voting yea: Representatives Cox, Kenney, Dunn, Gombosky, Jarrett, Fromhold, Lantz and Skinner.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SSB 6037          Prime Sponsor, Senate Committee on Agriculture & International Trade: Authorizing animal care and control agencies and nonprofit humane societies to provide limited veterinarian services. Reported by Committee on Agriculture & Ecology

 

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 18.92 RCW to read as follows:

             The legislature recognizes that low-income households may not receive needed veterinary services for household pets. It is the intent of the legislature to allow qualified animal control agencies and humane societies to provide limited veterinary services to low-income members of our communities. It is not the intent of the legislature to allow these agencies to provide veterinary services to the public at large.

 

             NEW SECTION. Sec. 2. A new section is added to chapter 18.92 RCW to read as follows:

             (1)(a) Subject to the limitations in this section, animal care and control agencies as defined in RCW 16.52.011 and nonprofit humane societies, that have qualified under section 501(c)(3) of the internal revenue code may provide limited veterinary services to animals owned by qualified low-income households. The veterinary services provided shall be limited to electronic identification, surgical sterilization, and vaccinations. For purposes of this section, "low-income household" means the same as in RCW 43.185A.010.

             (b) Animal control agencies and nonprofit humane societies, receiving animals on an emergency basis, when the animal owner is unknown, may provide emergency care, subject to a local ordinance that defines an emergency situation and establishes temporary time limits.

             (2) Veterinarians employed at these facilities must be licensed under this chapter. No officer, director, supervisor, or any other individual associated with an animal care or control agency or nonprofit humane society owning and operating a veterinary medical facility may impose any terms or conditions of employment or direct or attempt to direct an employed veterinarian in any way that interferes with the free exercise of the veterinarian's professional judgment or infringes upon the utilization of his or her professional skills.

             (3) A veterinarian and animal control agencies and humane societies acting under this section shall, for purposes of providing the limited veterinary services, meet the requirements established under this chapter and are subject to the rules adopted by the veterinary board of governors in the same fashion as any licensed veterinarian or veterinary medical facility in the state.

             (4) The Washington state veterinary board of governors shall adopt rules to ensure that agencies and societies are in compliance with this section. The limited veterinary medical service authority granted by this section may be suspended, revoked, or conditioned by a determination of the board of governors for any act of noncompliance with this section.

             (5) The secretary of the department of health may impose fees on those agencies and societies seeking to provide services under this section. Any fees imposed shall be solely for the cost of implementing this section.

             (6) This section does not limit the authority of a city or county animal care and control agency to provide veterinary services as authorized in an ordinance that was approved by the voters and is in effect on the effective date of this act."

 

             Correct the title.

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Quall; Roach and Schoesler.

 

             MINORITY recommendation: Without recommendation. Signed by Representative Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Linville, Mielke, Quall, Roach and Schoesler.

             Voting nay: Representative Sump.

             Excused: Representative Kirby.

 

             Referred to Committee on Appropriations.

 

March 27, 2001

SSB 6053          Prime Sponsor, Senate Committee on Transportation: Adjusting state route 525. Reported by Committee on Transportation

 

MAJORITY recommendation: Do pass. Signed by Representatives Fisher, Democratic Co-Chair; Mitchell, Republican Co-Chair; Cooper, Democratic Vice Chair; Ericksen, Republican Vice Chair; Lovick, Democratic Vice Chair; Armstrong; G. Chandler; Edmonds; Haigh; Hatfield; Hurst; Jackley; Jarrett; Marine; Mielke; Morell; Murray; Ogden; Reardon; Rockefeller; Romero; Schindler; Simpson; Skinner; Sump and Woods.

 

             Voting yea: Representatives Ahern, Anderson, Armstrong, G. Chandler, Cooper, Edmonds, Ericksen, Fisher, Hankins, Hatfield, Jarrett, Lovick, Marine, Mielke, Mitchell, Morell, Murray, Ogden, Reardon, Rockefeller, Romero, Schindler, Simpson, Skinner, Sump, and Woods.

             Excused: Representatives Haigh, Hurst, Jackley, and Wood.

 

             Passed to Committee on Rules for second reading.

 

March 30, 2001

SB 6107            Prime Sponsor, Senator Fraser: Extending the applicability of provisions relating to geothermal energy. Reported by Committee on Technology, Telecommunications & Energy

 

MAJORITY recommendation: Do pass. Signed by Representatives Crouse, Republican Co-Chair; Poulsen, Democratic Co-Chair; Casada, Republican Vice Chair; Ruderman, Democratic Vice Chair; Anderson; Berkey; Bush; B. Chandler; Cooper; DeBolt; Esser; Hunt; Linville; Mielke; Morris; Pflug; Simpson and Wood.

 

             Voting yea: Representatives Crouse, Poulsen, Casada, Ruderman, Anderson, Berkey, Bush, B. Chandler, Cooper, DeBolt, Esser, Hunt, Linville, Mielke, Morris, Pflug, Simpson and Wood.

             Excused: Representatives Delvin and Reardon.

 

             Passed to Committee on Rules for second reading.

 

March 28, 2001

SB 6109            Prime Sponsor, Senator Patterson: Reporting election independent expenditures and contributions. Reported by Committee on State Government

 

MAJORITY recommendation: Do pass. Signed by Representatives McMorris, Republican Co-Chair; Romero, Democratic Co-Chair; Miloscia, Democratic Vice Chair; Schindler, Republican Vice Chair; Haigh; Lambert; McDermott and Schmidt.

 

             Voting yea: Representatives Haigh, Lambert, McDermott, McMorris, Miloscia, Romero, Schindler and Schmidt.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SJM 8004         Prime Sponsor, Senator Spanel: Petitioning Congress to appropriate support for an oil spill prevention tugboat in the Strait of Juan de Fuca. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass. Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SJM 8008         Prime Sponsor, Senator Benton: Requesting a joint Oregon-Washington committee on taxation be established. Reported by Committee on Finance

 

MAJORITY recommendation: Do pass. Signed by Representatives Cairnes, Republican Co-Chair; Morris, Democratic Co-Chair; Berkey, Democratic Vice Chair; Roach, Republican Vice Chair; Carrell; Conway; Santos; Van Luven and Veloria.

 

             Voting yea: Representatives Berkey, Cairnes, Carrell, Conway, Morris, Roach, Santos, Van Luven, and Veloria.

             Excused: Representative Pennington.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

ESJM 8016       Prime Sponsor, Senator Shin: Emphasizing free and fair trade of aquaculture products between the United States and Canada. (REVISED FOR ENGROSSED: Emphasizing free and fair trade of nonanadromous aquaculture products between the United States and Canada.) Reported by Committee on Trade & Economic Development

 

MAJORITY recommendation: Do pass as amended.

 

             Beginning on page 1, line 1, strike all material through "Washington." on page 2, line 12, and insert the following:

             "TO THE HONORABLE GEORGE W. BUSH, PRESIDENT OF THE UNITED STATES, AND TO THE PRESIDENT OF THE SENATE AND THE SPEAKER OF THE HOUSE OF REPRESENTATIVES, AND TO THE SENATE AND HOUSE OF REPRESENTATIVES OF THE UNITED STATES, IN CONGRESS ASSEMBLED:

             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 upland aquaculture industry in Washington state produces high-quality, pathogen-free, nonanadromous upland products for sale to public agencies and private companies throughout the world; and

             WHEREAS, Washington state's upland aquaculture industry employs hundreds of people in well-paying, technical positions located in many rural communities throughout the state, generating forty million dollars worth of products; and

             WHEREAS, Canadian customers have expressed the desire to purchase high-quality aquacultural products from Washington state producers; and

             WHEREAS, Many customers in the United States currently purchase aquacultural products from Canada; and

             WHEREAS, Increased freedom to engage in the commercial trade of upland aquacultural products between the United States and Canada will only help our two nations grow more prosperous;

             NOW, THEREFORE, Your Memorialists respectfully pray that the government of the United States emphasize the importance of the free and fair trade of upland aquacultural products in its relations with the government of Canada.

             BE IT RESOLVED, That copies of this Memorial be immediately transmitted to the Honorable George W. Bush, President of the United States, 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 Van Luven, Republican Co-Chair; Veloria, Democratic Co-Chair; Dunn, Republican Vice Chair; Eickmeyer, Democratic Vice Chair; Fromhold, Democratic Vice Chair; Ahern; Jackley; Mulliken; O'Brien and Woods.

 

             Voting yea: Representatives Ahern, Dunn, Eickmeyer, Fromhold, Jackley, Mulliken, O'Brien, Van Luven, Veloria, and Woods.

             Excused: Representatives Gombosky, and Pflug.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SJM 8019         Prime Sponsor, Senator Rasmussen: Petitioning the secretary of agriculture to review certain policies of the conservation reserve enhancement program. Reported by Committee on Agriculture & Ecology

 

MAJORITY recommendation: Do pass as amended.

 

             On page 2, line 5, after "review" strike "its policies that would" and insert "the department's policies regarding the conservation reserve enhancement program and alter those policies to"

 

Signed by Representatives G. Chandler, Republican Co-Chair; Linville, Democratic Co-Chair; Cooper, Democratic Vice Chair; Mielke, Republican Vice Chair; B. Chandler; Delvin; Dunshee; Grant; Hunt; Kirby; Quall; Roach; Schoesler and Sump.

 

             Voting yea: Representatives B. Chandler, G. Chandler, Cooper, Delvin, Dunshee, Grant, Hunt, Kirby, Linville, Mielke, Quall, Roach, Schoesler, and Sump.

 

             Passed to Committee on Rules for second reading.

 

March 29, 2001

SCR 8406         Prime Sponsor, Senator Shin: Encouraging legislator trade mission participation. Reported by Committee on Trade & Economic Development

 

MAJORITY recommendation: Do pass as amended.

 

             On page 1, beginning on line 1, strike the remainder of the resolution and insert the following:

             "WHEREAS, Washington state trade missions play a vital and important role in the state's economic development, promoting the growth of businesses and agriculture, and resulting in job creation; and

             WHEREAS, The participation of Washington state legislators in trade missions is critical to the success of fostering strong relations with the state's trading partners and creating new trade opportunities for businesses in Washington state; and

             WHEREAS, The participation of Washington state legislators in trade missions enables the legislature to craft legislation which better addresses trade and fosters better understanding between the people of Washington state and the people of other nations; and

             WHEREAS, The involvement of Washington state legislators in trade missions should be governed by protocols adopted by the legislature;

             NOW, THEREFORE, BE IT RESOLVED, By the Senate of the state of Washington, the House of Representatives concurring, That state trade missions will be initiated and organized by the executive of the agency, which includes the Office of the Governor; and

             BE IT FURTHER RESOLVED, That the following protocol order of precedence will be established for executive agency trade missions:

             (1) Governor;

             (2) Lieutenant governor;

             (3) Secretary of state;

             (4) State treasurer;

             (5) State auditor;

             (6) Attorney general;

             (7) Superintendent of public instruction;

             (8) Commissioner of public lands;

             (9) Insurance commissioner;

             (10) Chief justice of the supreme court;

             (11) Former governors;

             (12) Justices of the supreme court;

             (13) Members of the executive cabinet:

                          (a) Director of agriculture;

                          (b) Director of trade and economic development;

                          (c) Other members of the governor's executive cabinet;

                          (d) Chief of staff to the governor;

                          (e) Governor's special trade representative;

             (14) Speaker of the house of representatives;

             (15) President pro tempore of the senate;

             (16) Members of the senate;

             (17) Former lieutenant governors;

             (18) Members of the house of representatives;

             (19) Former secretaries of state; and

             BE IT FURTHER RESOLVED, That the executive agency organizing the trade mission will inform both houses of the legislature, as well as the chair and ranking minority member of the appropriate legislative committees involved in agriculture and trade issues, of forthcoming trade missions in a timely manner. In its official notice to the legislature and appropriate legislative committees, the executive agency is responsible for providing the following information:

             (1) A statement of trade mission objectives, dates, and expected itinerary; and

             (2) A description of the type of knowledge, background, and experience held by a delegation member which might provide assistance to the trade mission; and

             BE IT FURTHER RESOLVED, That the legislature shall develop criteria for legislator participation in trade missions; and

             BE IT FURTHER RESOLVED, That the Office of the Governor, in consultation with the legislature, shall develop a two-tier fee system that establishes separate fees for nonlegislative participants and legislative participants where the fee charged legislative participants, including their guests and legislative staff, does not exceed the actual costs associated with their participation in the trade mission; and

             BE IT FURTHER RESOLVED, That the secretary of the Senate and the Chief Clerks of the House of Representatives shall explore and make recommendations to the legislature on methods to cover the costs of legislative member participation in trade missions; and

             BE IT FURTHER RESOLVED, That the executive agency may request that one or more of the participating legislators serve as honorary designated leaders of the trade mission; and

             BE IT FURTHER RESOLVED, That at least one or more legislators from each caucus of the Senate and the House of Representatives may participate in the trade mission, depending on the size and scope of the trade mission. The legislature will notify the executive agency of legislative participants in a timely manner; and

             BE IT FURTHER RESOLVED, That whenever possible, legislators possessing business, foreign market, language, cultural expertise, or pertinent committee involvement to the trade mission are encouraged to participate; and

             BE IT FURTHER RESOLVED, That each legislative participant is responsible for assisting the trade mission to achieve its stated goals and objectives; and

             BE IT FURTHER RESOLVED, That the designated leader of the trade mission will work closely with agency staff to develop the trade mission protocols and responsibilities and define the working relationship with agency staff; and

             BE IT FURTHER RESOLVED, That following completion of the trade mission, upon request, each legislative participant is encouraged to provide feedback concerning the mission and its results to the agency in a timely manner; and

             BE IT FURTHER RESOLVED, That nothing in this resolution precludes members of the legislature from participating in the trade mission."

 

Signed by Representatives Van Luven, Republican Co-Chair; Veloria, Democratic Co-Chair; Dunn, Republican Vice Chair; Eickmeyer, Democratic Vice Chair; Fromhold, Democratic Vice Chair; Ahern; Jackley; Mulliken; O'Brien and Woods.

 

             Voting yea: Representatives Ahern, Dunn, Eickmeyer, Fromhold, Jackley, Mulliken, O'Brien, Van Luven, Veloria, and Woods.

             Excused: Representatives Gombosky, and Pflug.

 

             Passed to Committee on Rules for second reading.

 

             There being no objection, the bills, memorials and resolutions listed on the day's committee reports under the fifth order of business were referred to the committees so designated.

 

             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., April 2, 2001, the 85th Legislative Day.

 

CLYDE BALLARD, Speaker                                                                     FRANK CHOPP, Speaker

TIMOTHY A. MARTIN, Chief Clerk                                                         CYNTHIA ZEHNDER, Chief Clerk