Current through Register Vol. 49, No. 9, September, 2024
SECTION 1.
TITLE/AUTHORITY/DEFINITIONS
Rule
1.0.
Title - These Rules shall be known as the Rules
for Licensing and Regulation of Private Investigators, Private Security
Agencies, Alarm Systems Companies, Polygraph Examiners, and Voice Stress
Analysis Examiners ("Rules").
Rule
1.1.
Authority; Purpose - These Rules are issued by
the Director's authority under A.C.A. §§
17-39-101, et
seq., §§
17-40-101, et
seq., and §§
12-8-104, et
seq., and the Arkansas Administrative Procedure Act at A.C.A. §§
25-15- 201, et seq. The purpose of these Rules is to establish the process and
procedures for the licensing and regulation of Private Investigators, Private
Security Agencies, Alarm Systems Companies, Polygraph Examiners, and Voice
Stress Analysis Examiners.
Rule
1.2.
Effective Date of these Rules - These Rules
shall be effective on and after Tuesday, September 1, 2015.
Rule 1.3.
Definitions -
(1) ABAT - Advanced Burglar Alarm
Technician.
(2) Administrator - the
designee of the Director of the Division of Arkansas State Police pursuant to
A.C.A. §
17-39-110.
(3) AFPC - Arkansas Fire Prevention
Code.
(4) Applicant - any person
who has submitted a properly completed application to be licensed,
credentialed, or commissioned under this chapter to the Division.
(5) Commission holder - person who is a
Commissioned Security Officer (CSO) or Commissioned School Security Officer
(CSSO).
(6) Credential holder -
person who is a Credentialed Private Investigator (CPI), Manager (REP), Private
Security Officer (PSO), Alarm Systems Technician (AT), Alarm Systems Monitor
(AM), Alarm Systems Apprentice (AA), Alarm Systems Agent (AGT), Assistant
Training Administrator (ATA), Training Administrator (TA), Training Instructor
(TI), or Branch Office Manager.
(7)
Director - of the Arkansas State Police or his or her designee.
(8) Disqualifying Factor or Offense - any
factor or offense that could cause an applicant to be ineligible to hold a
license credential or commission.
(9) Division - the Division of Arkansas State
Police.
(10) ESA - Electronic
Security Association (formerly National Burglar and Fire Alarm Association
(NBFAA)/National Training School (NTS)).
(11) FAIM - Fire Alarm Installation
Methods.
(12) Hearing Officer - the
appointed presiding officer over cases of adjudication pursuant to the Arkansas
Administrative Procedure Act.
(13)
Institution of Instruction (IOI) - a teaching entity that has been approved by
the Division to instruct licensees, credential holders, and commission
holders.
(14) Licensee - person who
has been issued a Class A, Class B, Class C, Class D, Class E-M, Class E
Restricted, Class E-S, Class E Unrestricted, Class G, Polygraph Examiners
License, or Voice Stress Analysis Examiners License.
(15) NESA - National Electronic Security
Alliance.
(16) NICET - National
Institute for Certification in Engineering Technologies.
Rule 1.4.
Authority to issue -
The Director may issue a license, credential, or commission pursuant to these
Rules and applicable law, including A.C.A. §§
17-39-101, et
seq. and §§
17-40-101, et
seq.
SECTION 2.
APPLICATION
Rule 2.0.
Penalty for false response or document - Submitting false answers
or false documentation with an application or in other communications with the
Division shall subject the applicant to the following:
(a) Criminal penalty - Class A misdemeanor
pursuant to A.C.A. §
5-53-103;
and/or
(b) Non-criminal penalty -
Denial, suspension, revocation, or the imposition of fines and
restrictions.
Rule 2.1.
Application design - The application shall be of such size and
design so as to include necessary and relevant information required by current
Arkansas laws. The Director has the authority to design and revise the initial,
renewal, transfer, or replacement application forms as he or she deems
necessary.
Rule 2.2.
Application form - The application form for a license, credential,
or commission shall be issued by the Director and shall include:
(a) The name, address, place and date of
birth, and sex of the applicant;
(b) The driver's license number and social
security number of the applicant;
(c) If the applicant was born outside of the
United States, proof of eligibility to work in the United States, including,
but not limited to a U.S. passport, born abroad certificate, Naturalization
papers, permanent residency card, VISA/Green Card, I-9 form, I-766 form or
"work permit", etc.
(d) A statement
as to which license(s), credential(s), or commission(s) the applicant is
seeking; and
(e) Questions related
to the applicant's qualifications specified in A.C.A. §
17-39-202, §
17-39-206,
§
17-39-304,
§
17-40-306,
§
17-40-337,
or Rule 9.0, Rule 9.1, or Rule 10.4(c) below.
Rule 2.3.
Complete Application -
An application will not be considered by the Division unless it is complete.
The documentation received from an applicant shall be deemed complete when it
contains all the requirements under Arkansas law and these Rules, as follows:
(a) The completed application form;
(b) Non-refundable application fee in the
amount prescribed by A.C.A. §
17-39-207,
§
17-39-305, or
§
17-40-302;
(c) The applicable fees for state and
national background checks, as prescribed by law;
(d) A properly completed, legible, signed
waiver authorizing the Division access to the applicant's medical and criminal
records;
(e) Two (2) classifiable
sets of fingerprints;
(f) Two (2)
recent passport-style photographs of the applicant;
(g) Confirmation of the applicant's
successful completion of the examination required by the type of license,
credential, or commission for which he or she is applying;
(h) Proof of certification, training, or
education required by the type of license, credential, or commission for which
he or she is applying;
(i) Proof of
the security bond or insurance policy necessary for the particular license,
credential, or commission for which he or she is applying or a sworn statement
that the applicant is not required to post a bond or hold an insurance policy
pursuant to Arkansas law and these Rules;
(j) Executed consent form required by A.C.A.
§
17-39-204
or a sworn statement that the applicant is not required to execute the consent
pursuant to Arkansas law and these Rules; and
(k) Any other information the Director may
require from the applicant to determine the applicant's qualifications to hold
a license, credential, or commission.
Rule 2.4.
Reciprocity & Temporary
Licensing - An applicant who holds a substantially similar license,
credential, or commission in another state, territory, or district of the
United States may obtain a reciprocal or temporary Arkansas license,
credential, or commission as follows:
(a) An
applicant for a polygraph examiner license or a private investigator credential
must meet the qualifications set forth in A.C.A. §
17-39-205
or §
17-40-353.
(b) An applicant for any other reciprocal
license, credential, or commission must demonstrate that he or she:
(i) Holds the license, credential, or
commission in good standing;
(ii)
Has not had his or her license, credential, or commission revoked for an act of
bad faith or a violation of law, rule, or ethics;
(iii) Is not holding any suspended or
probationary license, credential, or commission;
(iv) Is sufficiently competent in his or her
field;
(v) Has been actively and
lawfully engaged in the particular profession requiring the license,
credential, or commission for one (1) or more years prior to submitting the
reciprocal application; and
(vi)
Has completed any Arkansas-specific education or training required by the
particular license, credential, or commission;
(c) An applicant for a reciprocal license,
credential, or commission who resides in a state, territory, or district of the
United States that does not require licensure to practice a profession covered
by this subchapter must demonstrate that he or she:
(i) Has not had his or her license,
credential, or commission revoked for an act of bad faith or a violation of
law, rule, or ethics;
(ii) Is not
holding any suspended or probationary license, credential, or
commission;
(iii) Is sufficiently
competent in his or her field;
(iv)
Has been actively and lawfully engaged in the particular profession requiring
the license, credential, or commission for five (5) or more years prior to
submitting the reciprocal application; and
(v) Has completed any Arkansas-specific
education or training required by the particular license, credential, or
commission;
(d) An
applicant who meets the requirements of subsections (a), (b), or (c), above,
may obtain a 90-day temporary license, credential, or commission upon request.
The applicant seeking the reciprocal or temporary license,
credential, or commission must submit the required forms, non-refundable
application fee, and national and state background check fees. The applicant
must also have his or her background check successfully completed through state
and federal background check systems.
Rule 2.5.
Transfer license, credential,
or commission - Individuals who wish to transfer a license, credential,
or commission from one company to another must complete the transfer
application and submit the required background check and transfer fees. The
transfer fee is $20.00 for alarm systems agents, alarm systems apprentices,
alarm systems technicians, alarm systems monitors, and security guards. The
transfer fee is $75.00 for credentialed private investigators.
Rule 2.6.
Fingerprinting for initial
application - In the event a legible and classifiable set of
fingerprints cannot be obtained, as determined by the Division or the Federal
Bureau of Investigation, the applicant shall be contacted and shall be required
to be fingerprinted again. After two (2) unsuccessful fingerprint card
submissions, a name search through the FBI will be conducted. Electronic
capture of the fingerprints of the applicant on a device and in a manner
approved by the Director is allowed. The Director shall determine the
applicant's eligibility for licensing only after successful completion of the
FBI fingerprint-based check.
Rule
2.7.
Issuance - A license, credential, or commission
shall be issued by the Director if, after submission of a complete application:
(a) The applicant satisfies the qualification
requirements for the license, credential, or commission for which he or she is
applying; and
(b) The applicant has
had his or her background check successfully completed through state and
federal background check systems.
Rule 2.8.
Unresolved arrests -
If a check of the applicant's criminal records uncovers any unresolved arrest
that may lead to the disqualification of the applicant, the applicant shall
obtain a disposition of the open charge and return the disposition to the
Division within sixty (60) days. The application will not be processed to
completion without the Division having received the disposition
information.
Rule 2.9.
Prior
offenses - the Director of the Division shall deny an application if the
applicant has been found guilty or has pleaded guilty or "nolo contendere" to a
criminal offense as set forth in A.C.A. §
17-39-202, §
17-39-206,
§
17-39-304,
§
17-40-306,
or §
17-40-337.
(a) A prior conviction will disqualify the
applicant even if the conviction has been sealed or expunged; but
(b) A prior conviction will not disqualify an
applicant if the applicant has received a pardon for the conviction in
accordance with A.C.A. §
16-93-201,
et seq.
(i) To qualify for a commission, the
pardon must include a provision for full restoration of firearms
rights.
Rule
2.10.
Designated Offenses - Pursuant to A.C.A. §
17-40-306(e),
the Division is required to designate the Class A misdemeanors under Arkansas
law that constitute disqualifying offenses involving theft, sexual offenses,
violence, an element of dishonesty, or a crime against a person. This list
shall not be deemed to exclude comparable offenses from another state or
comparable offenses in the State of Arkansas that have been renumbered or
repealed if such an offense otherwise falls within the requirements of A.C.A.
§
17-40-306(d).
(a) Offenses involving theft:
(1) A.C.A. §§
5-12-102 and 103 -
Robbery and Aggravated Robbery;
(2)
A.C.A. §§
5-36-101 to -405 -
Theft;
(3) A.C.A. §
5-37-305
- Worthless Checks (Hot Check Law);
(4) A.C.A. §
5-37-402
- Theft of Communication Services;
(5) A.C.A. §
5-39-201
- Residential and Commercial Burglary;
(6) A.C.A. §
5-39-202 -
Breaking or Entering;
(7) A.C.A.
§
5-39-204
- Aggravated Residential Burglary; and
(8) A.C.A. §
15-32-603 -
Timber Theft.
(b) Sexual
offenses:
(1) A.C.A. §§
5-14-101 to -134 -
Sexual Offenses;
(2) A.C.A. §
5-16-102 -
Voyeurism;
(3) A.C.A. §
5-26-314
- Unlawful Distribution of Sexual Images or Recordings;
(4) A.C.A. §§
5-27-301 to -307 - Sexual
Exploitation of Children;
(5)
A.C.A. §§
5-27-401 to -405 -
Use of Children in Sexual Performances;
(6) A.C.A. §§
5-27-601 to -609 -
Computer Crimes Against Minors;
(7)
A.C.A. §§
5-70-101 to -106 -
Prostitution; and
(8) A.C.A.
§§
12-12-901 to
-927 - Sex Offender Registration.
(c) Offenses involving violence:
(1) A.C.A. §§
5-10-101 to -106 -
Homicide;
(2) A.C.A. §§
5-13-201
to -203 - Battery;
(3) A.C.A.
§§
5-13-204 to
-207, and 211 - Assault;
(4) A.C.A.
§
5-13-209
- Abuse of Athletic Official;
(5)
A.C.A. §§
5-26-303
to -305 - Domestic Battering;
(6)
A.C.A. §§
5-26-306
to -309 - Assault on a Family or Household Member;
(7) A.C.A. §
5-54-103(a)
- Resisting Arrest;
(8) A.C.A.
§
5-54-104
- Interference with a Law Enforcement Officer;
(9) A.C.A. §
5-54-126
- Killing or Injuring Animals Used by Law Enforcement or Search and Rescue
Dogs;
(10) A.C.A. §
5-62-103
- Cruelty to Animals;
(11) A.C.A.
§
5-71-201(a)(3)
- Riot;
(12) A.C.A. §
5-71-211
- Threatening Fire or Bombing;
(13)
A.C.A. §
5-73-103
- Possession of a Firearm by Certain Persons;
(14) A.C.A. §
5-73-104
- Criminal Use of Prohibited Weapons;
(15) A.C.A. §
5-73-120 -
Carrying Certain Prohibited Weapons;
(16) A.C.A. §
5-73-122
- Carrying a Loaded Weapon in a State Building;
(17) A.C.A. §
5-73-124
- Use Tear Gas or Pepper Spray Against Law Enforcement; and
(18) A.C.A. §
27-50-307 -
Negligent Homicide/Involuntary Manslaughter.
(d) Offenses involving an element of
dishonesty:
(1) A.C.A. §
5-26-203 -
Concealing Birth;
(2) A.C.A. §
5-27-503
- Possession of Fraudulent or Altered ID;
(3) A.C.A. §
5-37-201 to -228 -
Forgery and Fraudulent Practices;
(4) A.C.A. §
5-37-502
- Marking or Altering Brand of Animal;
(5) A.C.A. §
5-37-525
- Defrauding Materialmen;
(6)
A.C.A. §
5-41-205
- Unlawful Act Involving Electronic Mail;
(7) A.C.A. §
5-52-101 to
-108 - Corruption in Public Office;
(8) A.C.A. §
5-53-103
- False Swearing;
(9) A.C.A. §
5-53-110 -
Tampering;
(10) A.C.A. §
5-53-116
- Simulating Legal Process;
(11)
A.C.A. §
5-54-102(a)(4)
- Obstructing Governmental Operations;
(12) A.C.A. §
5-54-105
- Hindering Apprehension or Prosecution;
(13) A.C.A. §
5-54-122
- Filing False Reports;
(14) A.C.A.
§
5-55-103
- Violation of Medicaid Fraud Act;
(15) A.C.A. §
5-55-111
- Medicaid Fraud;
(16) A.C.A.
§
5-64-403
- Controlled Substances - Fraudulent Practices;
(17) A.C.A. §
5-71-210
- Communicating a False Alarm;
(18)
A.C.A. §
7-9-103
- Falsify Petition;
(19) A.C.A.
§ 12-12-504 - Making a False Child Abuse Report;
(20) A.C.A. §
12-12-1720(d)
- False Report of Adult Abuse;
(21)
A.C.A. §
12-18-203
- False Report of Child Abuse;
(22)
A.C.A. §
21-8-403 -
Violation of Ethics and Conflict of Interest Laws;
(23) A.C.A. §
21-14-111
- Unlawful Act by a Notary;
(24)
A.C.A. §
23-42-507
- Fraudulent or Deceitful Actions (Securities Fraud); and
(25) A.C.A. §
27-23-114
- Fraudulent Application for CDL.
(e) Offenses involving a crime against a
person:
(1) A.C.A. §
5-11-104
- False Imprisonment;
(2) A.C.A.
§
5-13-208 -
Coercion;
(3) A.C.A. §
5-13-210
- Administering to Another, Controlled Substances;
(4) A.C.A. §
5-16-101
- Video Voyeurism;
(5) A.C.A.
§
5-27-201
to -207 - Endangering the Welfare of an Incompetent Person or Minor;
(6) A.C.A. §
5-27-221
- Permitting Abuse of a Minor;
(7)
A.C.A. §
5-28-103
- Abuse, Neglect, or Exploitation of Endangered/Impaired Person;
(8) A.C.A. §
5-41-108
- Unlawful Computerized Communications;
(9) A.C.A. §
5-53-112
- Retaliation Against a Witness, Informant, or Juror;
(10) A.C.A. §
5-53-134
- Violation of a Protection Order;
(11) A.C.A. §
5-60-124
- Interference with Emergency Communications in the First Degree
(12) A.C.A. §
5-71-217 -
Cyberbullying;
(13) A.C.A. §
5-71-229 -
Stalking;
(14) A.C.A. §
9-15-207
- Violation of Order of Protection; and
(15) A.C.A. §
16-85-714
- Violation of No Contact Order.
Rule 2.11.
Incomplete
application - Applicants must tender all documents and information
necessary for a complete application upon submission. Application deficiencies
must be corrected within thirty (30) days. Dispositions must be received within
sixty (60) days of request for same or the application shall be voided.
Applications not complete after 120 days of submission shall be
voided.
Rule 2.12.
Denial - If the Director denies an application, he or she shall
notify the applicant in writing, stating the grounds for denial. The letter
shall be sent certified mail, return receipt requested.
Rule 2.13.
New Employees - If a
licensee hires an individual required to be licensed, credentialed, or
commissioned by the Division, the licensee must file an application to obtain a
license, credential, or commission for the employee within 14 days of the hire.
The employee may work under the supervision of the licensee or credential
holder until the application has been processed by the Division.
(a) "Supervision" is defined as the licensee
or credential holder watching and directing the applicant's activities while in
the immediate presence (line of sight proximity) of the applicant at all
times.
(b) If the required state
and federal background check uncovers a potential disqualifying factor in the
applicant's criminal history, the applicant shall immediately cease work upon
notification by the Division until the disqualifying factor has been
resolved.
(c) A commissioned
applicant cannot work in an armed capacity until the application has been fully
processed and the ID card issued.
Rule 2.14.
Upgrades - A
licensee, credential holder, or commission holder may upgrade the status of his
or her license, credential, or commission during the active period of his or
her license. In order to receive an upgrade, the company or individual must:
(a) Complete any additional training required
by the new license, credential, or commission;
(b) Successfully complete the examination
required by the new license, credential, or commission;
(c) Undergo and successfully complete new
federal and state background checks;
(d) Pay any fees associated with the federal
and state background checks; and
(e) Pay the difference between the
application fee for the initial license, credential, or commission and the
application fee for the new license, credential, or commission.
The upgraded license, credential, or commission will expire on
the date the initial license, credential, or commission is due to
expire.
Rule
2.15.
Fees - All fees for original licensure,
registration, transfer, renewal, and delinquencies shall be charged as outlined
in A.C.A. §
17-39-207,
§
17-39-210,
§
17-39-305, and
§
17-40-302.
Rule 2.16.
Prelicensure Criminal
Background Determination - an individual with a criminal record may seek
a determination from the Division of whether his or her criminal record will
disqualify him or her from obtaining a license, credential, or commission. It
is not necessary for an individual seeking a prelicensure criminal background
determination to complete training or submit to the full application process. A
petitioner for a prelicensure criminal background determination shall submit to
the Division the following items:
(a) A
completed criminal background determination request form provided by the
Division;
(b) The applicable fees
for state and national background checks, as prescribed by law;
(c) A properly completed, legible, signed
waiver authorizing the Division access to the petitioner's criminal
records;
(d) Two (2) classifiable
sets of fingerprints; and
(e) Full
and complete details of the criminal record of the individual.
Upon receipt of the above items, the Division will notify the
petitioner whether his or her criminal record would disqualify him or her from
obtaining a license, credential, or commission. The determination of the
Division is not binding in the event the petitioner commits subsequent criminal
offenses or if additional information about the petitioner's criminal
background is uncovered that was not previously disclosed. In order to obtain a
license, credential, or commission, the petitioner must submit to the full
application process, including additional background checks, and meet all other
qualifications for licensure.
Rule 2.17.
Expedited Process for
Active-Duty Service Members, Returning Miliary Veterans, and Spouses -
The Division will expedite the licensure process for:
(a) A uniformed service member stationed in
the State of Arkansas;
(b) A
uniformed service veteran who resides in or establishes residency in the state
of Arkansas;
(c) The spouse of:
(i) A person listed in subdivision (a) or (b)
of this Rule;
(ii) A uniformed
service member who is assigned a tour of duty that excludes the uniformed
service member's spouse from accompanying the uniformed service member and the
spouse relocates to this state; and,
(ii) A uniformed service member who is killed
or succumbs to his or her injuries or illness in the line of duty if the spouse
establishes residency in the state.
To qualify for expedited licensure, the applicant must notate
his or her status as requested on the application and provide the Division with
a copy of the active duty orders of DD214.
Rule 2.18.
Fee
Waivers - the Division will waive the initial application fees
prescribed by A.C.A. §
17-39-207,
§
17-39-305, or
§
17-40-302 if the
applicant:
(a) Is receiving assistance through
the Arkansas Medicaid Program, the Supplemental Nutrition Assistance Program,
The Special Supplemental Nutrition Program for Women, Infants, and Children,
the Temporary Assistance for Needy Families Program, or the Lifeline Assistance
Program;
(b) Was approved for
unemployment within the last twelve (12) months; or
(c) Has an income that does not exceed two
hundred percent (200%) of the federal poverty income guidelines.
SECTION 3.
RENEWAL
Rule 3.0.
Process
for renewal of license - A licensee, credential holder, or commission
holder may renew his or her license, credential, or commission no more than
ninety (90) days prior to its expiration date by submitting to the Division the
following items:
(a) A completed renewal form
provided by the Division;
(b) A
renewal fee in the amount prescribed by law;
(c) Proof of successful completion of any
required continuing education or training within the time period prescribed by
law; and
(d) Two (2) passport-style
photographs taken within one (1) year of submitting a new application or of the
most recent renewal.
The license shall be renewed upon timely receipt of the items
listed herein, subject to a background investigation conducted pursuant to law
that does not reveal any disqualifying offense or unresolved arrest that would
disqualify a licensee under state or federal law.
Rule 3.1.
Expired card - Upon
renewal of a credential card, the expired card must be returned to the licensee
who shall make it a part of the employee's file.
Rule 3.2.
Renewal license denial
- the Director of Arkansas State Police may deny the renewal of a license on
the same bases for denial of an initial application for license. If the
Director denies the renewal application, he or she shall notify the applicant
in writing, stating the grounds for denial. The letter shall be sent certified
mail, return receipt requested.
Rule
3.3.
Late Fee - Delinquency fees shall be imposed in
accordance with A.C.A. §
17-39-207,
§
17-39-305, and
§
17-40-302 if the
renewal application is not received by the Division on or before the date on
which it would otherwise expire. A renewal application may be submitted to the
Division at any time within ninety (90) days prior to the expiration of the
license, but under no circumstances will an application be accepted before the
ninety (90) days prior to expiration.
Rule
3.4.
Previously issued license, credential, or
commission - Any application for renewal of a previously issued license,
credential, or commission that is submitted after the effective date of these
Rules shall be evaluated in accordance with the provisions contained Page | 8
Act 393 - ASP Revised Rules December 13, 2016 herein and current laws and
rules.
SECTION 4.
OTHER CHANGES TO LICENSE, CREDENTIAL, OR COMMISSION
Rule 4.0.
Voluntary Termination
- When a company or individual licensed under these Rules ceases to conduct
business in this state, it must return all certificates of licensure and all
credential cards issued to its employees to the Division, accompanied by a
notarized writing stating it is no longer actively in business and the date it
ceased any activity encompassed by these Rules.
Rule 4.1.
Lost or destroyed license or
credential card - A licensee or any credentialed employee of a licensee
shall report a lost or stolen license or credential card to the Administrator
and the licensee within five (5) days of any such loss or theft. The report
shall be in writing, by notarized statement, and a Division form shall be
provided for that purpose. If a person complies with this provision, he or she
may obtain a replacement license or credential card with up-to-date information
upon the payment to the Division of a fee as established by law.
Rule 4.2.
Change of name -
Within fourteen (14) days after the changing of a legal name, the licensee,
credential holder, or commission holder shall notify the Director in writing of
the change and provide court documentation that officially created the change.
A Division form shall be provided for that purpose. If the person would like a
new license or credential card printed with updated information, he or she may
destroy the old document and apply for a replacement with payment of a
fee.
Rule 4.3.
Voluntary
surrender - If a licensee, credential holder, or commission holder
voluntarily surrenders his or her license, credential, or commission to the
Division in the absence of suspension or revocation proceedings, the Division
will accept and cancel it.
SECTION
5.
GENERAL RULES OF OPERATION & COMPLIANCE
Rule 5.0.
Manager - All
licensees, except for those licensed under A.C.A. §§
17-39-101, et
seq., shall register a manager. The manager must be in a supervisory position
with the company on a daily basis.
(a) An
individual who was previously authorized as a manager before the effective date
of these Rules may continue serving in the capacity of manager provided he or
she submits a notarized statement attesting to his or her familiarity with Act
393 of 2015 and these Rules.
Rule
5.1.
Employee files - Each licensee shall maintain a
record of its licensed, credentialed, and/or commissioned employees. This
record shall be kept at the address of the licensee. The records shall contain
the following information:
(a) A complete
application for employment of the type that is submitted to the
Division;
(b) One (1) classifiable
set of finger prints;
(c) One (1)
passport-style photograph taken within one (1) year of submitting a new
application or of the most recent renewal; and
(d) Records of all certifications provided to
the Division for registration.
These records must be maintained by the licensee for a period
of one (1) year after the date the employee was terminated.
Rule 5.2.
Personnel
transactions - Each licensee shall furnish the Division a list of
personnel transactions on a weekly basis. The list shall include all new
employees to be qualified under these Rules and their date of hire and all
terminated employees qualified under these Rules and the date of and reason for
their termination. If there are no personnel transactions in any given week,
the licensee is not required to send a list to the Division.
Rule 5.3.
Termination of manager
- If the manager of any licensee ceases to be the manager for any reason, the
licensee shall name a person responsible for the conduct of the company and
notify the Division of the changes in writing within fourteen (14) days from
the date of cessation of employment. The license shall remain in effect for
thirty (30) days from the date the Division receives the notification, during
which time the business of the licensee may continue pending the qualification
of another manager. The Division will notify the licensee in writing by
certified mail of the date on which the thirty (30) day period
expires.
Rule 5.4.
Termination of licensed or credentialed individual - When an
individual whose license or credential was the basis for qualification of a
business regulated by these Rules ceases to be connected with the business, the
business must notify the Division of the change in writing within fourteen (14)
days of cessation. The business may be carried on for thirty (30) days from the
date of cessation, during which time the business may associate a new, licensed
or credentialed individual for qualification or take the necessary action to
wind up the affairs of the business.
Rule
5.5.
Identification - All licensed, credentialed, or
commissioned individuals shall wear their pocket identification or credential
card in plain sight while performing any function described in A.C.A. §
17-40-102
and produce said card upon request in such a manner that enables the requestor
to identify the licensee, credential holder, or commission holder.
Exception: This Rule does not apply to individuals possessing a
Class A or Class D license or a Credentialed Private Investigator, however, he
or she must produce his or her credential card or license upon request in such
a manner that enables the requestor to identify the licensee or credential
holder.
Any card holder who fails to comply with this provision shall
be brought to the Division to answer why their registration should not be
revoked.
Rule 5.6.
Resemblance to law enforcement - A badge, uniform, or insignia
used by a licensee or its employees cannot resemble those worn by police
agencies in the State of Arkansas.
Rule
5.7.
Vehicle usage - Vehicles used by licensees or
their employees are not authorized emergency vehicles. The vehicle may not
display flashing or rotating lights on any public road, street, highway, or
property, and the drivers must obey all traffic and other laws in responding to
an alarm or in the performance of any function listed in A.C.A. §
17-40-102.
Rule 5.8.
Contract display - All
contracts, bid sheets, invoices, and/or bills given to a customer or client
and/or any advertisements authorized by a licensee shall contain the company
name and license number. All contracts, bid sheets, invoices, and/or bills
given to a customer or client shall contain, in a conspicuous place, the
following statement:
Regulated by:
Division of Arkansas State Police
1 State Police Plaza Drive
Little Rock, Arkansas 72209
501-618-8600
Rule
5.9.
Company name - No officer, employee, partner, or
other person employed by a licensee may use any company name other than the
name approved by and registered with the Division.
Rule 5.10.
Audits - The Manager
is responsible for ensuring that copies of all training documents, including
graded applicants' exams, are maintained. The Manager is required to produce
copies of any training documents upon request by the Division.
SECTION 6.
DENIAL,
SUSPENSIONS, REVOCATIONS, AND REPRIMANDS
Rule
6.0.
Compliance - At all times an applicant,
licensee, credential holder, or commission holder must meet the qualifications
outlined in this chapter and abide by these rules and A.C.A. §§
17-39-101, et
seq. and §§
17-40-101, et
seq.
Rule 6.1.
Investigation
- The Division shall have the power to conduct an investigation, on its
own initiative or as the result of a complaint, to determine whether there
exists sufficient proof that an applicant, licensee, credential holder, or
commission holder has violated these rules or A.C.A. §§
17-39-101, et
seq. or §§
17-40-101, et
seq. In the course of any such investigation, the Director may issue subpoenas
to compel the attendance of witnesses and the production of pertinent books,
accounts, records, and documents.
Rule
6.2.
Adverse action - Upon a determination by the
Division that there exists good cause to believe that the acts or omissions of
an applicant, licensee, credential holder, or commission holder constitute a
violation of these Rules or A.C.A. §§
17-39-101, et
seq. or §§
17-40-101, et
seq., the Division may deny an application; revoke or suspend a license,
credential, or commission; levy fines; and/or reprimand a licensee, credential
holder, or commission holder.
Rule
6.3.
Notice to employees - The licensee or manager of
a licensee shall notify any employee of charges brought by the Division against
the employee or of a denial of license, credential, or commission or of any
summons or subpoena to appear before the Director within five (5) days of
receipt of such notification. In any case where charges are brought against the
employee or of a denial, the licensee, manager, or a designated representative
(who holds a supervisory position) shall appear with the employee before the
Director.
Rule 6.4.
Suspension for arrest or criminal charge - If the licensee,
credential holder, or commission holder is arrested or formally charged with a
crime that would disqualify him or her from having a license, credential, or
commission, he or she shall immediately notify the Division, and the Director
shall suspend a license until final disposition of the case. If the Division is
notified of such arrest or charges by any law enforcement agency or a court and
receives subsequent written verification, the Director shall suspend a license
until final disposition of the case. If the charges are dismissed (including a
dismissal by nolle prosequi) or the individual is found "not guilty," then the
license, credential, or commission will be returned unless it has expired. If
it has expired, then the individual may apply for renewal under these Rules
under A.C.A. §
17-39-210
or §
17-40-313.
Rule 6.5.
Suspension for non-payment of
child support - The Division is required by Arkansas law to suspend a
license, credential, or commission if so ordered by the Office of Child Support
Enforcement (OCSE). Once the Division receives official notification from OCSE
to release the suspension, then the license, credential, or commission will be
returned, unless it has expired. If it has expired, then the individual may
apply for renewal under these Rules under A.C.A. §
17-39-210
or §
17-40-313.
Rule 6.6.
Revocation - The
Director may revoke a license, credential, or commission if during the term of
the license, credential, or commission:
(a)
An individual becomes ineligible under the criteria set forth in state or
federal law or these Rules;
(b) The
Division receives notification from any law enforcement agency, court, or the
individual that a licensee, credential holder, or commission holder has been
found guilty or has pleaded guilty or "nolo contendere" to any crime.
The Director may issue instructions for possible reapplication
after revocation.
Rule
6.7.
Temporary Suspension - Pending an appeal of a
denial, suspension, revocation, or reprimand, the Director may suspend a
license, credential, or commission when that person has been convicted in any
jurisdiction of a disqualifying offense under A.C.A. § 17-39202, §
17-39-206,
§
17-39-211,
§
17-39-304,
§
17-39-306,
§
17-40-306,
§
17-40-344,
or § 17-40350.
Rule 6.8.
Notice of denial, suspension, revocation, or reprimand - When the
Director denies an application or takes adverse action for violations of these
Rules or A.C.A. §§ 17-39101, et seq., or §§
17-40-101, et
seq., the Division shall provide written notice to the applicant, licensee,
credential holder, or commission holder of the denial or adverse action. The
notice shall include the basis for the determination, the rules or laws
violated, the action taken as a result, and inform the applicant, licensee,
credential holder, or commission holder of his or her right to a hearing. The
notice shall be sent by certified mail, return receipt requested, to the
individual's last known address.
Rule
6.9.
Fines and consent judgment - The Director may
assess the maximum fines allowed by A.C.A. §
17-39-103
and §
17-40-350
for each violation of these Rules or of A.C.A. §§
17-39-101, et
seq. and §§
17-40-101, et
seq. The Director may authorize the Administrator to enter into consent
judgments with the licensee, credential holder, or commissioned holder
providing for the payment of agreed upon fines and restrictions in lieu of a
hearing or further administrative action.
SECTION 7.
APPEALS
Rule 7.0.
Hearing request - The
applicant, licensee, credential holder, or commission holder may request an
administrative hearing to appeal the denial or adverse action taken by the
Director. The hearing must be requested within ten (10) days of receiving the
notice, and the Director shall set the matter for hearing as soon as is
practicable by issuing a Notice of Hearing. The Notice of Hearing shall state
the legal authority and jurisdiction under which the hearing is to be held,
appoint a hearing officer, and contain a brief and concise statement of the
matters of fact and law involved. The Notice of Hearing shall further set forth
the time, place, and date of the hearing and shall be served on the person at
least fourteen (14) days prior to the hearing by mailing a copy to his or her
last known address by certified mail or hand delivering the notice
personally.
Rule 7.1.
Docketing - The Administrator shall assign a file number to each
appellate matter and thereafter, all documents pertaining to the matter shall
bear that assigned number. All pleadings and motions to be filed relative to
the hearing shall be submitted to the Administrator in duplicate, signed,
verified, and dated.
Rule 7.2.
Power and authority of hearing officer - The hearing officer shall
conduct the administrative hearing, and he or she may administer oaths, require
testimony, and issue subpoenas for the attendance of witnesses and the
production of relevant books, papers, documents, or other relevant
evidence.
Rule 7.3.
Rights of
appellant - Any person whose rights may be affected at any hearing has
the right to appear personally and by counsel to introduce evidence on their
behalf, to crossexamine witnesses, to examine any document or other evidence
submitted, and to request the issuance of subpoenas pursuant to Rule
7.4.
Rule 7.4.
Subpoenas - A person desiring the issuance of a subpoena must file
a written request with the Administrator for same at least seven (7) days prior
to the hearing. The witness or matter to be subpoenaed must be described with
such particularity to allow the hearing officer to locate the witness or
matters without undue burden or expense. Any costs associated with the
subpoenas must be deposited with the Administrator at the time of filing such
requests.
Rule 7.5.
Consideration of evidence - The hearing officer shall not be bound
by the technical rules of evidence and he or she may admit any evidence if it
is of a type commonly relied upon by reasonably prudent men and women in the
conduct of their affairs. However, the hearing officer shall give effect to the
rules of privilege recognized by the law, may exclude hearsay, incompetent,
irrelevant, immaterial, or repetitious evidence, and may make rulings to
protect witnesses from undue harassment or oppression.
Rule 7.6.
Record - All evidence,
including records and documents, considered by the hearing officer shall be
offered and made part of the record in a hearing, and no other factual
information or evidence shall be considered in the determination of any
matter.
Rule 7.7.
Burden of
Proof - In any hearing held for the purpose of affording an applicant
the opportunity to contest a denial, the burden of proof shall be on the
applicant. In hearings held for the purpose of revocation, suspension,
assessment of fines, and/or reprimand of a licensee, credential holder, or
commission holder, the burden of proof shall be on the Division or
complainant.
Rule 7.8.
Decisions - The hearing officer shall submit his or her
recommendations to the Director within sixty (60) days of the hearing. All
decisions shall be in writing and signed by the Director and shall be
accompanied by or incorporated into an appropriate order including findings of
fact and conclusions of law. A copy of the decision shall be mailed to the
applicant, licensee, credential holder, or commission holder within sixty (60)
days of the execution of the Director's decision.
SECTION 8.
APPROVED INSTITUTIONS OF
INSTRUCTION (IOI) AND TRAINING ADMINISTRATORS
Rule
8.0.
Approval - A school, college, university, or the
security department of a private business may become an approved Institution of
Instruction (IOI) to conduct the training required for certification as a
licensee, credential holder, or commission holder by these Rules.
(a) The IOI shall be required to register
with the Division.
(b) The IOI must
submit a course syllabus and be approved by the Division.
(c) Each approved IOI shall provide the
Division a list of its instructors and their qualifications (e.g. curriculum
vitae, resume, certifications, etc.).
(d) Each approved IOI shall provide the
Division a list of its enrolled students.
(e) Upon completion of the training, the IOI
will be required to issue the student a certificate of completion prepared in
accordance with Division requirements.
Rule 8.1.
Training Administrator (TA),
Assistant Training Administrator (ATA), and Training Instructors (TI) -
Before a Training Administrator, Assistant Training Administrator, or Training
Instructor begins instruction under these Rules he or she must receive a
credential through a specific company as its TA, ATA, or TI and be approved by
the Division. All approved IOIs shall be required to register a Training
Administrator and may register Assistant Training Administrators or Training
Instructors. To qualify as a TA, ATA, or TI, the individual must:
(a) Successfully complete the required
examination for the license, credential, or commission on which he or she is
instructing.
(b) Have his or her
background check successfully completed through state and federal background
check systems.
(c) If applying as a
TA, ATA, or TI for an approved IOI that also maintains a Class B, Class C, or
Class G license, the individual must meet the requirements for a
manager.
(d) A TA, ATA, or TI may
have his or her training credential suspended or revoked by the Division for a
violation of these Rules, A.C.A. §§
17-39-101, et
seq., or A.C.A. §§
17-40-101, et
seq.
Rule 8.2.
Previously approved Training Administrator, Assistant Training
Administrator, or Training Instructor - individuals approved as Training
Administrators, Assistant Training Administrators, or Training Instructors
prior to the effective date of these Rules who wish to continue conducting
firearms training must obtain required Firearms Trainer Certifications, as set
forth below in Rule 10.7, by September 1, 2016 in order for the firearms
training to be valid and accepted by the Division. If certification is not
obtained, guest instructors must be utilized.
Rule 8.3.
Training Certification
- The TA or ATA is required to sign a student's application attesting that all
training requirements have been met.
Rule
8.4.
Company Registration of Trainers - a company
that provides training for its employees through the use of a TA or one (1) or
more ATAs or TIs is required to identify the trainers used and register those
trainers with the Division. Upon the initial registration, the company must
submit the trainer's information and fingerprints for a background check, which
must be successfully completed through state and federal background check
systems.
Rule 8.5.
Guest
Instructor - Guest instructors or guest "subject matter experts" can be
utilized to teach training requirements under the guidance and supervision of a
registered Training Administrator.
(a) If a
guest instructor teaches any portion of the required training the credentialed
Training Administrator or Assistant Training Administrator must be present
during the instruction.
(i) This requirement
does not apply to instruction provided to private investigator applicants by a
two (2) or four (4) year college, university, or technical program with
regional and/or national accreditation.
(b) The guest instructor must sign the
section of the training page containing the curriculum they instructed and
include his or her name, address, telephone number, and date of
birth.
Rule 8.6.
Course of Instruction - License, Credential, or Commission - to
become authorized to conduct the training for a particular license, credential,
or commission, an approved IOI must submit proof that its course of instruction
covers the necessary training requirements and examination topics for that
license, credential, or commission.
Rule
8.7.
Termination of Training Administrator, Assistant
Training Administrator, or Training Instructor - If a TA, ATA, or TI
ceases to be employed with an approved IOI for any reason whatsoever, the IOI
shall notify the Division in writing within seven (7) days. The business of the
IOI may be carried on for thirty (30) days from the date the TA was terminated,
pending the qualification of another TA. If the IOI fails to have an approved
TA when the thirty (30) day period expires, they shall be subject to
decertification by the Administrator.
Rule
8.8.
Current Certifications - If an IOI is certified
by an accrediting association or organization, it shall provide a copy of the
current certification to the Division. If the IOI is decertified by the
accrediting association or organization, the IOI must notify the Division in
writing within seven (7) days of decertification and list the reason(s) why it
was decertified.
Rule 8.9.
Ownership Changes - If the ownership of an IOI changes, it must
notify the Division in writing within seven (7) days of such changes and list
the new owner.
Rule 8.10.
Violations - If any IOI violates any provision of these Rules it
shall be subject to decertification.
SECTION 9.
ALARM SYSTEMS
COMPANIES
Rule 9.0.
Class "E"
Unrestricted alarm system company - installs alarm systems, including
those systems in structures that are required by the AFPC to have a fire alarm
system. An applicant that is qualified for a Class "E" Unrestricted license is
also qualified for a Class "E" Restricted license. To be licensed as a Class
"E" Unrestricted alarm system company, the applicant must meet the following
qualifications:
(a)
Manager
certification requirements - the manager must have completed all
of the courses from one of the following organizations:
(i) NICET
(1) Level III; or
(2) Level IV.
(ii) ESA
(1)
Level I;
(2) Level IIA -
Electronics or ABAT; and
(3)
FAIM.
(iii) NESA
(1) Electronics; and
(2) Fire Installation and wiring
codes.
(iv) Elite
Continuing Education University (CEU)
(1)
Elite CEU Levil I;
(2) Advanced
Electronic Intrusion Technician (AEIT); and
(3) Fire Alarm Installation Techniques
(FAIT).
(b)
Alarm Technician or Alarm Agent requirements - the
applicant must have completed one (1) of the following courses:
(i) NICET - Level II;
(ii) ESA - Level I;
(iii) NESA - Level I;
(iv) Elite CEU - Level I; or
(v) Complete Electrical Academy - Level
I.
Rule 9.1.
Class "E" Restricted alarm systems company - installs alarm
systems in structures that are not required by the AFPC to have a fire alarm
system. To be licensed as a Class "E" Restricted alarm system company, the
applicant must meet the following qualifications:
(a)
Manager certification
requirements - the manager must have completed all of the courses
from one of the following organizations:
(i)
NICET - Level II;
(ii) ESA
(1) Level 2A Electronics or ABAT;
and
(2) Level 2B fire systems
installation standards or FAIM; or
(iii) NESA
(1) Electronics; and
(2) Fire Installation and Wiring
Codes.
(iv) Elite
Continuing Education University (CEU)
(1)
Elite CEU Level I;
(2) Advanced
Electronic Intrusion Technician (AEIT); and
(3) Fire Alarm Installation Techniques
(FAIT).
(b)
Alarm Technician or Alarm Agent requirements - the
applicant must have completed one (1) of the following courses:
(i) NICET - Level II;
(ii) ESA - Level I;
(iii) NESA - Level I;
(iv) Elite CEU - Level I; or,
(v) Complete Electrical Academy - Level
I.
Rule 9.2
Class E-S License Examination - The licensee or the licensee's
manager shall be required to successfully pass a written examination
administered by the Arkansas State Police. The examination will test the
licensee's or licensee's manager's knowledge in fire protection and the proper
use and placement of single station fire and heat detectors pursuant to the
AFPC and NFPA.
(a) Alarm system agents, alarm
system apprentices, and alarm system technicians for Class E-S are exempt from
the requirements for NICET Level II, ESA Level I, NESA Level I, or Elite CEU
Level I.
Rule 9.3.
Monitoring Companies - Alarm systems monitors and the managers of
alarm system monitoring companies are not required to complete any courses or
examinations. The manager of an alarm system monitoring company must execute an
affidavit that he or she has read and understands A.C.A. §§
17-40-101, et
seq. and these Rules.
Rule 9.4.
Approved equivalents
(a) The
Director has the authority to modify or expand the training requirements
necessary to qualify for a license or credential under this section pursuant to
A.C.A. §
17-40-318.
(b) The Director or designee has the
authority to administratively approve a company meeting the required criteria
set out in Section 8 to provide training which meets the required standards
under this section pursuant to A.C.A. §
17-40-318.
Rule 9.5.
Licensee and
Credential Holder Examination - An applicant for a license or credential
under this Section must demonstrate his or her qualifications by successfully
completing an examination covering A.C.A. §
17-40-101, et
seq. and these Rules.
(a) The Owner of a
company is exempt from an exam if they have a credentialed Manager.
(b) The applicant must take the examination
in person. If the applicant is a partnership or corporation, the manager and
any branch manager must take the examination.
(c) Scoring seventy percent (70%) or above on
the examination constitutes successful completion.
(d) If an applicant fails to successfully
complete the required examination he or she:
(i) Must wait five 5 working days to be
eligible to retake the test; and
(ii) Pay a re-examination fee of $50.00 if
the test is administered by the Division.
(e) Failure to successfully complete the
examination after two (2) attempts shall result in cancellation of the pending
application. Upon cancellation, the applicant must re-apply as a new applicant
and is subject to pay required application fees.
Rule 9.6.
Apprentices - an
individual may be employed as an alarm system apprentice for a period of six
(6) months without providing proof of NICET Level II, ESA Level I, NESA Level
I, or Elite CEU Level I certification to the Division. At the expiration of the
six (6) month period, the alarm system company must provide proof of
certification to the Division, or the individual must cease work as an
apprentice. All alarm system apprentices must work under the direct supervision
of an alarm system agent or technician.
Rule
9.7.
Vehicle appearance - All vehicles used by
licensees or their employees under this section must display the company name
and license number on both sides of the vehicle. The display shall be no less
than 3 inches high and shall be a contrasting color from the vehicle
color.
SECTION 10.
SECURITY AGENCIES
Rule 10.0.
Private Security Officer (PSO) - An applicant for a PSO credential
must complete Phase I training requirements and pass an examination
administered by the Training Administrator, Assistant Training Administrator,
or Trainer.
Rule 10.1.
Commissioned Security Officer (CSO) - An applicant for a CSO
credential must complete Phase I and Phase II training requirements and pass an
examination administered by the Training Administrator, Assistant Training
Administrator, or Trainer.
Rule
10.2.
Commissioned School Security Officer (CSSO) -
An applicant for a CSSO credential must complete Phase I, Phase II, and Phase
III training requirements and pass an examination administered by the Training
Administrator, Assistant Training Administrator, or Trainer. Any individual
holding a CSSO commission is responsible for ensuring the dissemination of all
security plans instituted or adopted by the school to other employees of the
school.
Rule 10.3.
Phase
I - the training requirements for Phase I must be taught to all PSO,
CSO, and CSSO applicants and shall consist of eight (8) hours minimum on the
following subjects:
(a)
Legal
Authority(i) Legal authority of
PSOs;
(ii) Classification of
crimes;
(iii) Arrests and
detentions by PSOs;
(iv) Use of
force, including:
(1) Non-deadly
force;
(2) Deadly force;
(3) Civil penalties; and
(4) Criminal penalties.
(v) Case studies and discussion;
(1) Common crimes encountered by
PSOs;
(2) Other crimes;
and
(3) Appropriate actions for
PSOs.
(vi)
Company/site/account specific legal issues - discussion geared toward the
specific legal issues relating to the type of property to which the PSO is
assigned (e.g. college, school, university, hotel, bar, etc.); and
(vii) A.C.A. §§
17-40-101, et
seq. and these Rules, including:
(1) Purpose
of the statute;
(2) Who is covered
by the statute;
(3)
Definitions;
(4) Minimum
qualifications for PSOs, CSOs, and CSSOs, including, but not limited to:
a. Disqualifying factors;
b. Fee structure; and
c. Renewals.
(5) PSO, CSO, and CSSO
responsibilities;
(6) Key
provisions of the statute, including:
a.
Training requirements;
b. Reporting
requirements; and
c. Penalties for
violations.
(b)
Field Note Taking and Report
Writing(i) Importance and
purpose of reports;
(ii) Required
equipment and an explanation of importance;
(iii) Notebook contents and an explanation of
importance;
(iv) The six (6) most
important questions that must be answered by a report;
(v) A review of basic English grammar, and
writing skills; and
(vi) Practical
exercises, such as:
(1) A review of several
examples of well written reports;
(2) A review of several examples of poorly
written reports; and
(3) Practice
of writing one or more reports and critique by the instructor.
Rule 10.4.
Phase II - In addition to Phase I training, the training
requirements for Phase II must be taught to all CSO and CSSO applicants and
shall consist of sixteen (16) hours minimum (at least eight (8) hours in the
classroom and eight (8) hours on the firing range) on the following subjects:
(a)
Use of Deadly Force and
Arkansas Law(i) Relevant
statutes and case law;
(ii)
Discussion about fleeing individuals;
(iii) Discussion of the criminal
ramifications of firing a warning shot;
(iv) Criminal penalties;
(v) Civil penalties; and
(vi) Other considerations.
(b)
Weapons and
Safety(i) Fundamental firearm
safety;
(ii) Weapons
nomenclature;
(iii) Cleaning and
maintenance;
(iv) Storage;
and
(v) Weapon retention.
(c)
Live Fire
Training, Marksmanship, and Qualifications
(i) Range procedures and range
safety;
(ii) Fundamentals of
firearms;
(iii) Holster
drills;
(iv) Movement
drills;
(v) Dry fire
exercises;
(vi) Clearing
stoppages;
(vii) Practice and
evaluation;
(viii) Tactical and
emergency reloading;
(ix) Pistol
qualification course - the course must mirror the Arkansas Commission on Law
Enforcement Standards and Training (
www.clest.org) firearms qualification
course; and
(x) Rifle or shotgun
qualification course - required if a CSO is required to carry a rifle or
shotgun during the course of their employment - the course must mirror the
www.clest.org rifle/shotgun
qualification course.
Rule
10.5.
Phase III - In addition to Phase I and Phase II
training, the training requirements for Phase III must be taught to all CSSO
applicants and shall consist of thirty-six (36) hours minimum on the following
subjects:
(a)
Legal limitations on
the use of firearms and on the powers and authority of a
CSSO
(b)
Active Shooter Training
(i) ALERRT Active Shooter Training or an
approved equivalent- this training must comprise at least sixteen (16) of the
total thirty-six (36) hours; and
(ii) Incorporating security response with law
enforcement.
(c)
Active Shooter Simulations and Live-Fire Range
Practice - this training must comprise at least ten (10) of the
total thirty six (36) hours and include, but not be limited to:
(i) Shoot/don't shoot drills;
(ii) Rapid situational awareness;
and
(iii) Simulated live fire
weapon training, such as:
(1)
Simunition;
(2)
Paintball;
(3) Air soft;
or
(4) Other simulated
weapons.
(d)
Trauma Care(i) Wound
management pertaining to active shooter situations; and
(ii) CPR training and certification.
(1) Note: prior CPR and/or wound management
training or certification will not be accepted. CPR and wound management
training and certification must be taught during Phase III training to ensure
that the certification will not expire during the credential period.
(e)
Defensive Tactics(i)
Strikes and kicks, including blocks and stunning strikes;
(ii) Handcuffing techniques;
(iii) Joint manipulation; and
(iv) Weapon disarming techniques.
(f)
Weapon
Retention - blocks, strikes, and maneuvers designed to maintain
possession and control of a firearm from the holster and from the drawn
position.
Rule 10.6.
Law Enforcement Officers - Certified law enforcement officers are
exempt from the training requirements to qualify as a PSO, CSO, or CSSO. The
officer must be a current, active law enforcement officer.
Rule 10.7.
Firearms Training
Instructor - A qualified Firearms Training Instructor must conduct the
firearms training portion for CSOs and CSSOs. An individual seeking to be a
qualified Firearms Training Instructor must prove that he or she meets the
following requirements of the Division:
(a)
Hold a current firearms training instructor certificate from a recognized
instruction course, such as:
(i) Firearm
instructor certificate issued by the Arkansas Law Enforcement Standards and
Training Commission;
(ii) Firearm
instructor certificate issued by any federal, state, or local law enforcement
agency;
(iii) Certificate of
completion of a Certified Pistol Instructor-Basic Pistol Shooting Course and a
current certificate of completion of a Range Safety Officer Course by a Chief
Range Safety Officer Instructor;
(iv) Certificate of completion of a Certified
Instructor Rifle Shooting Course and a certificate of completion of a Range
Safety Officer Course by a Chief Range Safety Officer Instructor; or
(b) Been approved by the Director
of the Arkansas State Police.
Rule
10.8.
Certificate to be included - A current copy of
the Firearm Training Instructor's certificate must be included with the
submission of each application for CSO and CSSO.
Rule 10.9.
Renewal training
requirements - renewal training for a PSO, CSO, or CSSO is required
every two (2) years and must be completed within the twelve (12) month period
prior to renewal. Renewal training must be completed and the applicant must
submit certification that the renewal training requirements have been met
before a credential or commission will be renewed. An individual may count
completed hours of renewal training toward the minimum hours of refresher
training required to be completed each year.
Rule 10.10.
Renewal training
requirements for PSOs - the training requirements for renewal of a PSO
credential shall consist of a minimum of six (6) hours. The training shall
include, but not be limited to, the subjects found in Phase I as described in
Rule 10.3, above.
Rule 10.11.
Renewal training requirements for CSOs - the training requirements
for renewal of a CSO commission shall consist of a minimum of twelve (12)
hours. The training shall include, but not be limited to, the subjects found in
Phase I and Phase II, as described in Rule 10.4 and Rule 10.5, above. The
renewal training shall include firing range qualification on an ALETA
qualification course and a safety course.
Rule
10.12.
Renewal training requirements for CSSOs - the
training requirements for renewal of a CSSO commission shall consist of a
minimum of twenty four (24) hours. The training shall include, but not be
limited to, the subjects found in Phase I, Phase II, and Phase III, as
described in Rule 10.3, Rule 10.4, and Rule 10.5, above. The renewal training
shall include firing range qualification on an ALETA qualification course and a
safety course.
Rule 10.13.
Annual refresher training certification - commissioned individuals
must complete annual refresher training. Failure to complete refresher training
will result in suspension of the credential.
(a) CSOs are required to complete a minimum
of twelve (12) hours of refresher training each year. The refresher training
shall include, but not be limited to, firing range qualification on an ALETA
qualification course and a safety course.
(b) CSSOs and Security Service Contractors
holding a CSSO credential are required to complete a minimum of twenty four
(24) hours of refresher training each year. The refresher training shall
include, but not be limited to the following:
(i) Twelve (12) hours of firing range
qualification and practice on an ALETA qualification course;
(ii) Four (4) hours of ALERRT Active Shooter
refresher training; and
(iii) Eight
(8) hours of simulated Live-Fire weapon training, such as:
(1) Simunition;
(2) Paintball;
(3) Air soft; or
(4) Other simulated weapons.
Rule 10.14.
Refresher training form - once a CSO or CSSO has completed annual
refresher training, the Training Administrator or Assistant Training
Administrator shall immediately submit the annual refresher training completion
form to the Division.
Rule 10.15.
Previously authorized CSOs with a school security department - An
employee of a school security department who was previously registered as a CSO
and whose registration is due to be revoked on September 11, 2015 will be
converted to a CSSO for the remainder of his or her two (2) year registration
(now credential) period, on the following terms:
(a) Submit a formal request for conversion in
writing to the Division prior to September 11, 2015;
(b) In the first full year from the date of
the conversion, the CSSO must complete sixteen (16) hours of ALERRT Active
Shooter Training; and
(c) Prior to
renewal of the CSSO credential, the credential holder must complete the
required twenty-four (24) hours of renewal training described in Rule 10.12,
above.
(d) The 16 hours of ALERRT
Active Shooter Training may count toward the minimum hours of ALERRT Active
Shooter Training required to be completed in annual refresher
training.
Rule 10.16.
PSO, CSO, and CSSO examination - An applicant for a credential or
commission under this Section must demonstrate his or her qualifications by
successfully completing an examination developed and administered by a Training
Administrator or Assistant Training Administrator covering A.C.A. §
17-40-101, et
seq. and these Rules.
(a) The length and
topics covered by the examination are as follows:
(i) PSO examination - minimum of seventy (70)
questions on the subjects found in Phase I as described in Rule 10.3,
above
(ii) CSO examination -
minimum of one hundred (100) questions on the subjects found in Phase I and
Phase II as described in Rule 10.3 and Rule 10.4, above.
(iii) CSSO examination - minimum of 120
questions on the subjects found in Phase I, Phase II, and Phase III as
described in Rule 10.3, Rule 10.4, and Rule 10.5, above.
(b) The applicant must take the examination
in person. If the applicant is a partnership or corporation, the manager and
any branch manager must take the examination.
(c) Scoring seventy percent (70%) or above on
the examination constitutes successful completion.
(d) If an applicant fails to successfully
complete the required examination he or she:
(i) Must wait five 5 working days to be
eligible to retake the test; and
(ii) Pay a re-examination fee of $50.00 if
the test is administered by the Division.
(e) Failure to successfully complete the
examination after two (2) attempts shall result in cancellation of the pending
application. Upon cancellation, the applicant must re-apply as a new applicant
and is subject to pay the required application fees.
Rule 10.17.
Uniform - All CSOs
shall wear a company uniform in the performance of armored car functions
pursuant to A.C.A. §
17-40-102(7).
Rule 10.18.
Limitations - All
CSOs and CSSOs shall carry their weapons only on their assigned site and only
in the performance of their assigned duties. The carrying of a weapon is
prohibited when the CSO or CSSO is not performing his or her assigned
duties.
Rule 10.19.
Discharge
of firearm - When a licensee, credential holder, or commission holder is
involved in any incident where a firearm is discharged, he or she shall submit
a written report to his or her employer detailing the incident. The report
shall be submitted to their employer within 12 hours of the incident and shall
be prepared on a form provided by the Division. The licensee, credential
holder, commission holder, or his or her manager shall submit a copy of the
report to the Division within 48 hours of the incident.
Rule 10.20.
Equipment - When an
employee of a licensee under this Section fails to return any issued equipment
to their employer upon said employer's request, the employee shall not be
eligible to transfer his or her credential. The employee may only transfer
after the prior employer certifies to the Division that all equipment has been
returned.
Rule 10.21.
Arrest - Except in cases of "Shoplifting" as defined by A.C.A.
§
5-36-116(a),
no employee of a licensee may arrest, detain, or otherwise take any action that
a private citizen may not take.
SECTION 11.
PRIVATE INVESTIGATION
COMPANIES AND INDIVIDUALS
Rule 11.0.
Credentialed Private Investigator (CPI) - An applicant for a CPI
credential must work under the supervision of a qualified manager of a Class A
company and pass an examination administered by the ASP.
Rule 11.1.
PI Course of Instruction
- all applicants for a Class A or D license must complete the following
training requirements if they do not meet the experience of a manager as
outlined in A.C.A. §
17-40-306:
(a) Fifteen (15) hours of basic doctrines of
private security (orientation) including history, ethics, organization and
functions of private security;
(b)
Fifteen (15) hours of purposes of security;
(c) Twenty-five (25) hours of criminal
law;
(d) Twenty-five (25) hours of
civil law;
(e) Five (5) hours of
legal powers and limitations;
(f)
Forty (40) hours of security functions including report writing, patrol,
interviewing and interrogation, investigations, surveillance, evidence, public
relations, and safety;
(g) Five (5)
hours of A.C.A. §
17-39-101, et
seq. and A.C.A. §
14-40-101,
et seq.;
(h) Sixty (60) hours of
security supervision management including administrative responsibilities,
investigative responsibilities, managerial responsibilities, and business
communications;
(i) Ten (10) hours
of emergencies and disaster control; and
(j) Ten (10) hours of self defense (armed and
unarmed).
Rule 11.2.
Private Investigator Examination - an applicant for a Private
Investigator or a Private Investigations Company license under this Section
must demonstrate his or her qualifications by successfully completing an
examination.
(a) The examination shall consist
of a minimum of one hundred (100) questions covering the following:
(i) The subjects described in Rule 11.1,
above;
(ii) These Rules;
(iii) Field note taking and report writing;
and
(iv) The Arkansas Criminal
Code.
(b) The applicant
must take the examination in person. If the applicant is a partnership or
corporation, the manager and any branch manager must take the
examination.
(c) Scoring seventy
percent (70%) or above on the examination constitutes successful
completion.
(d) If an applicant
fails to successfully complete the required examination he or she:
(i) Must wait five 5 working days to be
eligible to retake the test; and
(ii) Pay a re-examination fee of $50.00 if
the test is administered by the Division.
(e) Failure to successfully complete the
examination after two (2) attempts shall result in cancellation of the pending
application. Upon cancellation, the applicant must re-apply as a new applicant
and is subject to pay the required application fees.
(f) Applicants who have 5 years of
consecutive experience in law enforcement and are either currently employed in
law enforcement or retired or former law enforcement within the last 5 years
are exempt from examination requirements.
Rule 11.3.
Reports - Private
investigators must submit written reports to any and all clients upon request.
Written reports shall include, but not be limited to, the investigative report
detailing all relevant information obtained during the investigation.
Rule 11.4.
Badge or Shield - No
licensee, officer, director, partner, or employee of an investigations company
shall wear, carry, accept, or show any badge or shield.
Rule 11.5.
Confidential
information - No licensee, officer, director, partner, or employee of an
investigations company shall reveal or attempt to reveal confidential
information to the subject of the investigation. Any contact with the subject
of the investigation, whether intentional or unintentional, shall be made a
part of the investigative file of such case.
Rule 11.6.
Invoices - All
licensees or credential holders shall furnish to the client upon request a
complete, comprehensive, itemized statement for services. The statement shall
include, but not be limited to, a complete description of the services
rendered, hours worked, expenses incurred, and if a Class A company, the number
of registrant private investigators used and hours each worked.
Rule 11.7.
Individual
prohibition - No Class D licensee shall express or imply in any
communication, whether written, oral, or otherwise, including advertisements,
that the licensee is operating as anything other than an individual. This
section specifically precludes use of the term(s) "Associates," "Association,"
"Consultants," or similar terms connoting an association, partnership,
affiliation, or alliance with any other individual, company, or
entity.
Rule 11.8.
Contracts - Any licensee or credential holder who accepts
employment from an individual to perform any function listed in A.C.A. §
17-40-102(27)
must execute a contract with the client. The contract must be written or
audibly recorded. It shall state the purpose of the investigation or
employment, the fee to be charged, how the fee is computed, and how the fee is
to be paid. If a retainer is required, the contract shall state the amount of
the retainer and what services will be covered. The contract is to be signed by
the investigator and the client or contain an audible recorded oral
acknowledgment of understanding by both parties of the contract. Any additional
services added by either party shall be in writing or audible recording, added
to the contract, and acknowledged by both parties.
Rule 11.9.
Temporary License -
any person who holds a valid license or credential as a private investigator
issued by another state may operate in this state for up to ten (10) calendar
days without being issued a credential under these Rules or Arkansas law. An
out of state investigator seeking authorization under this rule must notify
this Division in writing upon the commencement of an investigation.
SECTION 12.
POLYGRAPH
EXAMINERS
Rule 12.0.
Experience
- An applicant for a polygraph examiner license or an intern polygraph
examiner license may satisfy the requirements of A.C.A. §
17-39-202(3)
with five (5) consecutive years of investigative experience in law enforcement,
the Armed Forces, or the private sector, so long as the applicant performed
investigation related duties as his or her primary occupation during that
period.
Rule 12.1.
Application - An applicant must submit with their new polygraph
application:
(a) One (1) copy of his or her
college transcript or diploma OR proof of five (5) consecutive years of active
law enforcement experience shall be documented on agency letterhead;
and
(b) Certificate of completion
from an accredited polygraph course.
Rule 12.2.
Sponsors - A sponsor
is a polygraph examiner who has held a Polygraph Examiners License for at least
two (2) years.
Rule 12.3.
Sponsor limit - No polygraph examiner shall sponsor more than two
(2) interns at one time.
Rule 12.4.
Unauthorized reproduction - Polygraph examiner licenses issued by
the Division shall not be reproduced or copied.
Rule 12.5.
Continuing education
- All polygraph examiners renewing their license must submit proof of
continuing polygraph examiner education consisting of at least fourteen (14)
hours within the past two years.
Rule
12.6.
Subject unfit - The polygraph examiner shall
not conduct a polygraph examination of a subject who he or she believes,
through observation or any other creditable evidence, to be physically or
psychologically unfit for an examination at that time.
Rule 12.7.
Voluntary examination
- No examiner shall record any physiological or psychological reaction or
response with an instrument, or any part of an instrument, without the subject
being aware that their physiological or psychological reactions or responses
are being recorded for the purpose of determining truth or deception.
Rule 12.8.
Compliance with law -
An examiner shall not conduct an examination where he or she has reason to
believe the examination is intended to cause him or her to circumvent or defy
the law.