Current through Register Vol. 49, No. 9, September, 2024
Section 1. STATEMENT
OF ORGANIZATION AND OPERATIONS
1.1. PURSUANT
TO THE OPHTHALMIC DISPENSERS ACT originally adopted in 1981 and codified at
Ark. Code Ann. §
17-89-101 et seq. the Arkansas
Board of Dispensing Opticians promulgates and adopts the following rules and
regulations of ophthalmic dispensing.
Section 2. INFORMATION FOR PUBLIC GUIDANCE
2.1. THE BOARD MAKES AVAILABLE A LIST OF
PERSONS holding certain responsibilities for handling FOIA request, licensing
questions, and complaints against licensees so that the public may obtain
information about the Board or make submissions or request. The names, mailing
addresses, telephone numbers, and electronic addresses can be obtained by
contacting the Board's office.
2.2.
THE BOARD MAINTAINS A LIST OF OFFICIAL FORMS used by the Board and a list of
all formal, written statement of policy and written interpretative memoranda,
and orders, decisions and opinions resulting from adjudications, which may be
obtained from the Board's office.
2.3. COPIES of all forms used by the Board,
written statements of policy and written interpretive memoranda, and all orders
issued by the Board, excluding materials related to written and practical
testing, may be obtained from the Board's office.
Section 3. GENERAL ORGANIZATION
3.1. DESCRIPTION OF ORGANIZATION. The
officers of the Board of Dispensing Opticians shall be a Chairman, Vice
Chairman, and Secretary-Treasurer. The Board shall elect officers from its
membership at its first regular meeting of the year, and each officer shall
serve for a term of one year or until his successor is elected and duly
qualified. If a vacancy occurs, the Board shall elect a successor to complete
the balance of the unexpired term of office.
3.2. MEETINGS OF THE BOARD. Regular meetings
of the Board shall be held at least twice each year at a time and place
determined by the Board. Other meetings of the Board shall be called by the
Chairman or upon the written request of two Board members. The
Secretary-Treasurer shall give timely notice of the time and place of such
meetings to each member. Correspondence shall be directed to the Board's
office, whose address may be obtained through the Governor's office. All
meetings will be conducted in conformity with the Arkansas Freedom of
Information Act and in accordance with Robert's Rules of Order except where
such rules conflict with these rules and regulations
3.3. QUORUM. Five members of the Board shall
constitute a quorum for the transaction of business. All official action of the
Board must be approved by the majority vote of the members present and voting
except where a two-thirds
(2/3) or three-fourths
(3/4) majority vote is required by these rules and regulations.
3.4. AGENDA. The Secretary-Treasurer will
prepare the agenda for regular and special meetings. The agenda will be
distributed to Board members and made available to the public in advance of the
meeting. The agenda should state with specificity the items that will be
considered at the meeting or hearing. The order of the agenda items is tended
to be flexible and may be adjusted to meet the needs of the Board. The agenda
may be amended by appropriate motion.
3.5. AMENDMENT TO RULES AND REGULATIONS. All
requirements of the Arkansas Administrative Procedures Act shall be complied
with prior to the final adoption of an amendment to these Rules and
Regulations.
3.6. FISCAL YEAR OF
THE BOARD. The fiscal year of the Board shall be from July 1 to June
30.
3.7. BOOK OF LICENSURE AND BOOK
OF REGISTRY. The Secretary-Treasurer of the Board shall maintain an annually
updated Book of Licensure and a Book of Registry of all opticians licensed or
registered to engage in the business of ophthalmic dispensing in Arkansas. In
addition, a listing of all apprentice dispensing opticians together with the
licensed or registered dispensing opticians by whom they are employed shall be
maintained.
3.8. ANNUAL REPORT. The
Secretary-Treasurer shall prepare and present an annual report of
administration, licensure, registry, and investigation to the Arkansas State
Board of Optometry and to the Ophthalmology Section of the Arkansas Medical
Society, as well as a copy of the books of Licensure and Registry listed in
Section 3.7 of these rules.
3.9.
FINANCIAL AFFAIRS. The current rules and regulations of the Arkansas Department
of Finance and Administration shall be followed in the financial affairs of the
Board.
3.10. COMPENSATION. Board
members shall be compensated pursuant to Ark. Code Ann. §
25-16-903.
Section 4. RULE MAKING AUTHORITY
4.1. AUTHORITY. The Board has been authorized
by the Legislature to promulgate rules. Ark. Code Ann. §
17-89-203(a) (6).
The Board follows the procedural requirement of the Arkansas Administrative
Procedures Act, in particular Ark. Code Ann. §
25-15-203 and §
25-15-204. Additionally, the Board
is required to abide by the provisions of Ark. Code Ann. §
10-3-309.
4.2. INITIATION OF RULE-MAKING. The process
of adopting a new rule or amending or repealing an existing rule (hereinafter
referred to "rule-making") may be initiated by request of the Board that the
staff submit proposed drafts. Additionally, staff of the Board my request
permission of the Board to initiate rule-making. Third persons outside the
Board may petition for the issuance, amendment, or repeal of any
rule.
4.3. PETITION TO INITIATE
RULE-MAKING.
4.3.1. Third parties may
initiate rule-making to adopt, amend, or repeal a rule by filing a petition
with the Board to initiate rule-making. The petition must contain the name,
address, and telephone number of the petitioner, the specific rule or action
requested, the reasons for the rule or action requested, and facts showing that
the petitioner is regulated by the Board or has a substantial interest in the
rule or action requested.
4.3.2.
The petition to initiate rule-making shall be filed with the
Secretary-Treasurer.
4.3.3. Within
thirty (30) days after submission of the petition, the Board will either deny
the petition, stating its reason in writing, or will initiate rule-making. A
special meeting will be called if necessary to meet this time frame.
4.4. PRE-FILING WITH THE BUREAU OF
LEGISLATIVE RESEARCH. Thirty (30) days before the public-comment period ends,
the Board will file with the Bureau of Legislative Research the text of the
proposed rule or amendment as well as a financial impact statement and a Bureau
of Legislative Research questionnaire as provided by Ark. Code Ann. §
10-3-309.
4.5. PUBLIC INPUT.
4.5.1. Before finalizing language of a
proposed new rule or an amendment to, or repeal of, an existing rule, the Board
will receive public input through written comments and/or oral submissions. The
Board will designate in its public notice the format and timing of public
comment.
4.5.2. Any public hearing
will provide affected persons and other members of the public a reasonable
opportunity for presentation of evidence, arguments, and oral statements within
reasonable conditions and limitations imposed by the Board to avoid
duplication, irrelevant comments, unnecessary delay, or disruption of the
proceedings.
4.5.3. The Board
Chairman, any member of the Board, or any person designated by the Board may
preside at the public hearing. The Board must ensure that the Board personnel
responsible for preparing the proposed rule changes to be available to explain
the proposal and to respond to questions or comments regarding the proposed
rule.
4.5.4. The Board must
preserve the comments made at the public hearing by a certified court reporter
or by recording instruments.
4.5.5.
Any person may submit written statement within the specified period of time.
All timely, written statements will be considered by the Board and be made a
part of the rule-making record.
4.6. NOTICE OF RULE-MAKING. The Board will
give notice of proposed rule-making to be published pursuant to Ark. Code Ann.
§
25-15-204. The notice will set any
written comment period and will specify the time, date, and place of any public
hearing.
4.7. THE DECISION TO ADOPT
A RULE.
4.7.1. The Board will not finalize
language of the rule or decide whether to adopt a rule until the period of
public comment has expired.
4.7.2.
Before acting on a proposed rule, the Board will consider all of the written
submissions and/or oral submissions received in the rule-making proceedings or
any memorandum summarizing such oral submissions, and any regulatory analysis
or fiscal impact statement issued in the rule-making proceedings.
4.7.3. The Board may use its own experience,
specialized knowledge, and judgment in the adoption of a rule.
4.8. VARIANCE BETWEEN ADOPTED RULE
AND PUBLISHED NOTICE OF PROPOSED RULE.
4.8.1.
The Board may not adopt a rule that differs from the rule proposed in the
published notice of the intended rule-making on which the rule is based unless:
4.8.1.1. The final rule is in character with
the original scheme and was a logical outgrowth of the notice and comments
stemming from the proposed rule, or
4.8.1.2. The notice fairly apprised
interested persons of the subject and the issues that would be considered so
that those persons had an opportunity to comment.
4.8.2. In determining whether the final rule
is in character with the original scheme and was a logical outgrowth of the
notice and comments, and that the notice of the intended rule-making provided
fair warning that the outcome of that rule-making proceeding could be the rule
in question, the Board must consider the following factors:
4.8.2.1. The extent to which persons who will
be affected by the rule should have understood that the rule-making proceeding
on which it is based could affect their interest; and
4.8.2.2. The extent to which the subject
matter of the rule or issues determined by the rule are different from the
subject matter or issued contained in the notice of intended rule-making;
and
4.8.2.3. The extent to which
the effects of the rule differ from the effects of the proposed rule contained
in the notice of intended rule-making.
4.9. CONCISE STATEMENT OF REASONS.
4.9.1. When requested by an interested
person, either prior to the adoption of a rule or within thirty (30) days after
its adoption, the Board shall issue a concise statement of the principal
reasons for and against its adoption of the rule. Request for such a statement
must be in writing and be delivered to the Secretary-Treasurer. The request
should indicate whether the statement is sought for all or only a specified
part of a rule. A request will be considered to have been submitted on the date
on which it is received by the Secretary-Treasurer.
4.9.2. The concise statement of reasons must
contain:
4.9.2.1. The Board's reasons for
adopting the rule;
4.9.2.2. An
indication of any change between the text of the proposed rule and the text of
the rule as finally adopted, with explanations for any such change;
and
4.9.2.3. The principal reasons
urged in the rule-making procedure for and against the rule, and the Board's
reasons for overruling the arguments made against the rule.
4.10. CONTENTS.
4.10.1. The Board shall cause its rules to be
published and made available to interested persons. The publication must
include:
4.10.1.1. The text of the rule;
and
4.10.1.2. A note containing the
following;
4.10.1.2.1. The date(s) the Board
adopted or amended the rule;
4.10.1.2.2. The effective date(s) of the
rule;
4.10.1.2.3. Any findings
required by any provisions of law as a prerequisite to adoption for
effectiveness of the rule; and
4.10.1.2.4. Citations to the entire specific
statutory or other authority authorizing the adoption of the rule;
4.10.1.3. The publication of the
rule(s) must state the date of publication.
4.11. FORMAT. The published rules of the
Board will be organized substantially in the following format;
4.11.1. Statement of Organization and
Operations
4.11.2. Information for
Public Guidance
4.11.3. General
Organization
4.11.4.
Rule-making
4.11.5. Emergency
Rule-making
4.11.6. Declaratory
Orders
4.11.7. Adjudicative
Hearings
4.11.8.
Licensing
4.11.9. Et seq.
Substantive rules and other rule of the Board
4.12. INCORPORATED BY REFERENCE. By reference
in a rule, the Board may incorporate all or any part of a code, standard, rule,
or other matter if the Board finds that copying the matter in the Board's rule
would be unduly cumbersome, expensive, or otherwise inexpedient. The reference
in the Board rule must fully and precisely identify the incorporated matter by
title, citation, date, and edition, if any; briefly indicate the precise
subject and general contents of the incorporated matter; and state that the
rule does not include any later amendments or editions of the incorporated
matter. The Board may incorporate such a matter by reference in a proposed or
adopted rule only if the Board makes copies of the incorporated matter readily
available to the public. The rules must state how and where copies of the
incorporated matter may be obtained at cost from this Board, and how and where
copies may be obtained from an Board of the United States, this state, another
state, or the organization, association, or persons originally issuing that
matter. The Board must retain permanently a copy of any materials incorporated
by reference in a rule of the Board.
4.13. FILING.
4.13.1. After the Board formally adopts a new
rule or amends a current rule or repeals and existing rule, and after the rule
change has been reviewed by the Legislative Counsel, the staff will file final
copies of the rule with the Secretary of State, the Arkansas State Library, and
the Bureau of Legislative Research, or as otherwise provide by Ark. Code Ann.
§
25-15-204(d).
4.13.2. Proof of filing a copy of the rule,
amendment, or repeal with the Secretary of State, the Arkansas State Library,
and the Bureau of Legislative Research will be kept in a file maintained by the
Secretary-Treasurer.
Section 5. EMERGENCY RULE-MAKING
5.1. REQUEST FOR EMERGENCY RULE-MAKING. The
proponent of a rule may request the Board to adopt an emergency rule. In
addition to the text of the proposed rule or amendment to an existing rule and
any other information required by Section 4.3 of these rules, the proponent
will provide a written statement setting out the facts or circumstances that
would support a finding of imminent peril to the public health, safety, or
welfare.
5.2. FINDING OF AN
EMERGENCY. Upon receipt of the written statement requesting an emergency
rule-making and documents or other evidence submitted in support of the
assertion that an emergency exists, the Board will make an independent judgment
as to whether the circumstances and facts constitute an imminent peril to the
public health, safety, or welfare requiring adoption of the rule upon fewer
than 30 days notice. If the Board determines that the circumstances warrant
emergency rule-making, it will make a written determination that sets out the
reasons for the Board's finding that an emergency exists. Upon making this
finding, the Board may proceed to adopt the rule without any prior notice or
hearing, or it may determine to provide an abbreviated notice and
hearing.
5.3. EFFECTIVE DATE OF
EMERGENCY RULE. The emergency rule will be effective immediately upon filing,
or at a stated time less than ten (10) days thereafter, if the Board finds that
this effective date is necessary because of imminent peril to the public
health, safety, or welfare. The Board will file with the rule its written
findings justifying the determination that emergency rule-making is appropriate
and, if applicable, the basis for the effective date of the emergency rule
being less than ten days after the filing of the rule pursuant to A.C.A. §
25-15-204(e). The
Board will take appropriate measures to make emergency rules known to persons
who may be affected by them.
Section
6. DECLARATORY ORDERS
6.1.
PURPOSE AND USE. A declaratory order is a means of resolving a controversy or
answering questions or doubts concerning the applicability of statutory
provisions, rules, or orders over which the Board has authority. A petition for
declaratory order may be used only to resolve questions or doubts as to how the
statutes, rules or orders may apply to the petitioner's particular
circumstances. A declaratory order is not the appropriate means of determining
the conduct of another person or for obtaining a policy statement of general
applicability from a Board. A petition or declaratory order must describe the
potential impact of statutes, rules or orders upon the petitioner's
interest.
6.2. THE PETITION. The
process to obtain a declaratory order is begun by filing with the Board a
petition that provides the following information:
6.2.1. The caption shall read: Petition for
Declaratory Order before the Arkansas Board of Dispensing Opticians.
6.2.2. The name, address, telephone number
and facsimile number of the petitioner.
6.2.3. The name, address, telephone number,
and facsimile number of the attorney of the petitioner.
6.2.4. The statutory provision(s), Board
rule(s), or Board order(s) on which the declaratory order is sought.
6.2.5. A description of whom the statute,
rules, or orders may substantially affect the petitioner and the petitioner's
particular set of circumstances, and the question or issue on which petitioner
seeks a declaratory order.
6.2.6.
The signature of the petitioner or petitioner's attorney.
6.2.7. The date.
6.2.8. A request for a formal hearing, if
desired.
6.3. BOARD
DISPOSITION.
6.3.1. The Board may hold a
hearing to consider a petition for declaratory statement. If a hearing is held,
it shall be conducted in accordance with Ark. Code Ann. §
25-15-208 and §
25-15-213, and the Board's rules
for adjudicatory hearing.
6.3.2.
The Board may rely on the statements of fact set out in the petition without
taking any position with regard to the validity of the facts. Within ninety
(90) days of the filing of the petition, the Board will render a final order
denying the petition or issuing a declaratory order.
Section 7. ADJUDICATIVE HEARINGS
7.1. SCOPE OF THIS CHAPTER. This chapter
applies in all administrative adjudications conducted by the Arkansas Board of
Dispensing Opticians. This procedure is developed to provide a process by which
the Board formulates orders (for example, an order revoking a license to
practice, or imposing civil penalties).
7.2. PRESIDING OFFICER. The Board shall
preside at the hearing or may designate one or more members of the Board or one
or more examiners, referees, or hearing officers to preside at a
hearing.
7.3. APPEARANCES. Any
party appearing in any Board proceeding has the right, at his or her own
expense, to be represented by counsel.
7.3.1.
The respondent may appear on his or her own behalf.
7.3.2. Any attorney representing a party to
an adjudicatory proceeding must file notice of appearance as soon as
possible.
7.3.3. Service on counsel
of record is the equivalent of service on the party represented.
7.3.4. On written motion served on the party
represented and all other parties of record, the presiding officer may grant
counsel of record leave to withdraw for good cause shown.
7.4. CONSOLIDATION. If there are separate
matters that involve similar issues of law or fact, or identical parties, the
matters may be consolidated if it appears that consolidation would promote the
just, speedy, and inexpensive resolution of the proceedings, and would not
unduly prejudice the rights of a party.
7.5. NOTICE TO INTERESTED PARTIES. If it
appears that the determination of the rights of parties in a proceeding will
necessarily involve a determination of the substantial interests of persons who
are not parties, the presiding officer may enter an order requiring that an
absent person be notified of the proceeding and be given an opportunity to be
joined as a party of record.
7.6.
SERVICE OF PAPERS. Unless the presiding officer otherwise orders, every
pleading and every other paper filed for the proceeding, except applications
for witness subpoenas and the subpoenas, shall be served on each party or the
party's representative at the last address of record.
7.7. INITIATION & NOTICE OF HEARING. An
administrative adjudication is initiated by the issuance by the Board of a
notice of hearing. The notice of hearing will be sent to the respondent by U.S.
Mail, return receipt requested, restricted delivery to the named recipient or
his agent. Notice shall be sufficient when it is so mailed to the respondent's
latest address on file with the Board. Notice will be mailed at least 20 days
before the scheduled hearing. The notice will include:
7.7.1. A statement of the time, place, and
nature of the hearing;
7.7.2. A
statement of the legal authority and jurisdiction under which the hearing is to
be held; and
7.7.3. A short and
plain statement of the matters of fact and law asserted.
7.8. MOTIONS. All requests for relief will be
by motion. Motions must be in writing or made on the record during a hearing. A
motion must fully state the action requested and the grounds relied upon. The
original written motion will be filed with the Board. When time allows, the
other parties may, within seven (7) days of the service of the written motion,
file a response in opposition. The presiding officer may conduct such
proceedings and enter such orders as are deemed necessary to address issues
raised by the motion. However, a presiding officer, other than the Board, will
not enter a dispositive order unless expressly authorized in writing to do
so.
7.9. ANSWER. A respondent may
file an answer.
7.10. DISCOVERY.
Upon written request, the Board will provide the information designated in
A.C.A §
25-15-208(a) (3).
Such requests should be received by the Board at least 10 days before the
scheduled hearing.
7.11.
CONTINUANCES
7.11.1. The Complaint Committee
may grant a continuance of hearing for good cause shown. Requests for
continuances will be made in writing. The request must state the grounds to be
considered and be made as soon as practicable and, except in cases of
emergencies, no later than five (5) days prior to the date noticed for the
hearing. In determining whether to grant a continuance, the Complaint Committee
may consider:
7.11.1.1. Prior
continuances;
7.11.1.2. The
interests of all parties;
7.11.1.3.
The likelihood of informal settlements;
7.11.1.4. The existence of an
emergency;
7.11.1.5. Any
objection;
7.11.1.6. Any applicable
time requirement;
7.11.1.7. The
existence of a conflict of the schedules of counsel, parties, or
witnesses;
7.11.1.8. The time
limits of the request; and
7.11.1.9. Other relevant factors.
7.11.2. The Complaint Committee
may require documentation of any grounds for continuance.
7.12. HEARING PROCEDURES
7.12.1. The presiding officer presides at the
hearing and may rule on motions, require briefs, and issue such orders as will
ensure the orderly conduct of the proceedings; provided, however, any presiding
officer other than the Board shall not enter a dispositive order or proposed
decision unless expressly authorized in writing to do so.
7.12.2. All objections must be made in a
timely manner and stated on the record.
7.12.3. Parties have the right to participate
or to be represented by counsel in all hearings or pre-hearing conferences
related to their case.
7.12.4.
Subject to terms and conditions prescribed by the Administrative Procedure Act,
parties have the right to introduce evidence on issues of material fact,
cross-examine witnesses as necessary for a full an true disclosure of the
facts, present evidence in rebuttal, and, upon request by the Board, may submit
briefs and engage in oral argument.
7.12.5. The presiding officer is charged with
maintaining the decorum of the hearing and may refuse to admit, or may expel,
anyone whose conduct is disorderly.
7.13. ORDER OF PROCEEDINGS. The presiding
officer will conduct the hearing in the following manner:
7.13.1. The presiding officer will give an
opening statement, briefly describing the nature of the proceedings.
7.13.2. The parties are to be given the
opportunity to present opening statements.
7.13.3. The parties will be allowed to
present their cases in the sequence determined by the presiding
officer.
7.13.4. Each witness must
be sworn or affirmed by the presiding officer, or the court reporter, and be
subject to examination and cross-examination as well as questioning by the
Board. The presiding officer may limit questioning in a manner consistent with
the law.
7.13.5. When all parties
and witnesses have been heard, parties may be given the opportunity to present
final arguments.
7.14.
EVIDENCE
7.14.1. The presiding officer shall
rule on the admissibility of evidence and may, when appropriate, take official
notice of facts in accordance with all applicable requirements of
law.
7.14.2. Stipulation of facts
is encouraged. The Board may make a decision based on stipulated
facts.
7.14.3. Evidence in the
proceeding must be confined to the issues set forth in the hearing notice,
unless the parties waive their right to such notice or the presiding officer
determines that good cause justifies expansion of the issues. If the presiding
officer decides to admit evidence outside the scope of the notice, over the
objection of a party who did not have actual notice of those issues, that
party, upon timely request, will receive a continuance sufficient to prepare
for the additional issue and to permit amendment of pleadings.
7.14.4. A party seeking admission of an
exhibit must provide 12 copies of each exhibit at the hearing. The presiding
officer must provide the opposing parties with an opportunity to examine the
exhibit prior to the ruling on its admissibility. All exhibits admitted into
evidence must be appropriately marked and be made part of the record.
7.14.5. Any party may object to specific
evidence or may request limits on the scope of the examination or
cross-examination. A brief statement of the grounds upon which it is based
shall accompany such an objection. The objection, the ruling on the objection,
and the reasons for the ruling will be noted in the record. The presiding
officer may rule on the objection at the time it is made or may reserve the
ruling until the written decision.
7.14.6. Whenever evidence is ruled
inadmissible, the party offering that evidence may submit an offer of proof on
the record. The party making the offer of proof for excluded oral testimony
will briefly summarize the testimony or, with permission of the presiding
officer, present the testimony. If the excluded evidence consists of a document
or exhibit, it shall be marked as part of an offer of proof and inserted in the
record.
7.14.7. Irrelevant,
immaterial, and unduly repetitive evidence will be excluded. Any other oral or
documentary evidence, not privileged, may be received if it is of a type
commonly relied upon by reasonably prudent men and women in the conduct of
their affairs.
7.14.8. Reasonable
inferences. The finder of fact may base its findings of fact upon reasonable
inferences derived from other evidence received.
7.15. DEFAULT. If a party fails to appear or
participate in an administrative adjudication after proper service of notice,
the Board may proceed with the hearing and render a decision in the absence of
the party.
7.16. SUBPOENAS
7.16.1. At the request of any party, the
Board shall issue subpoenas for the attendance of witnesses at the hearing. The
requesting party shall specify whether the witness is also requested to bring
documents and reasonably identify said documents.
7.16.2. A subpoena may be served by any
person specified by law to serve process or by any person who is not a party
and who is eighteen (18) years of age or older. Delivering a copy to the person
named in the subpoena shall make service. Proof of service may be made by
affidavit of the person making service. The party seeking the subpoena shall
have the burden of obtaining service of the process and shall be charged with
the responsibility of tendering appropriate mileage fees and witness fees
pursuant to Rule 45, Arkansas Rules of Civil Procedure. The witness must be
served at least two days prior to the hearing. For good cause, the Board may
authorize the subpoena to be served less than two days before the
hearing.
7.16.3. Any motion to
quash or limit the subpoena shall be filed with the Board and shall state the
grounds relied upon.
7.17. RECORDING THE PROCEEDINGS. The
responsibility to record the testimony heard at a hearing is borne by the
Board. Upon the filing of a petition for judicial review, the Board will
provide a verbatim transcript of testimony taken before the Board.
7.18. FACTORS TO BE CONSIDERED IN IMPOSING
SANCTIONS. In addition to any other considerations permitted by Ark. Code Ann.
§
17-89-101 et seq., if applicable,
the Board in imposing any sanction may consider the following:
7.18.1. The nature and degree of the
misconduct for which the licensee is being sanctioned.
7.18.2. The seriousness and circumstances
surrounding this misconduct.
7.18.3. The loss or damage to clients or
others.
7.18.4. The assurance that
those who seek similar professional services in the future will be protected
from the type of misconduct found.
7.18.5. The profit to the licensee.
7.18.6. The avoidance of
repetition.
7.18.7. Whether the
conduct was deliberate, intentional, or negligent.
7.18.8. The deterrent effect on
others.
7.18.9. The conduct of the
individual during the course of the disciplinary proceeding.
7.18.10. The professional's prior
disciplinary record, including warnings.
7.18.11. Matters offered by the professional
in mitigation or extenuation, except that a claim of disability or impairment
resulting from the use of alcohol or drugs may not be considered unless the
professional demonstrates that he or she is successfully pursuing in good faith
a program of recovery.
7.19. FINAL ORDER. The Board will serve on
the respondent a written order that reflects the action taken by the Board. The
order will include a recitation of facts found based on testimony and other
evidence presented and reasonable inferences derived from the evidence
pertinent to the issues of the case. It will also state conclusions of law and
directives or other disposition entered against or in favor of the respondent.
The order will be served personally or by mail on the respondent. If counsel
represents respondent, service of the order on respondent's counsel shall be
deemed service on the respondent.
Section 8. DEFINITIONS
8.1. THE BOARD DEFINES the following major
terms used in Ark. Code Ann. §
17-89-101 et seq. within the Rules
and Regulations promulgated by the Board:
8.1.1. "Ophthalmic Dispensing" means the
preparation of laboratory work orders, verification, and dispensing of
spectacle lenses, spectacles, eyeglasses, and/or parts thereof to the intended
wearer thereof on a written prescription from a licensed physician skilled in
disease of the eye or licensed optometrist. It shall include; the measuring,
fitting, adapting, and adjusting of such spectacle lenses, spectacles,
eyeglasses, and/or parts thereof to the human face; the preparation and
delivery of work orders to laboratory technicians engaged in grinding lenses
and fabrication of eyewear; the verification of the quality of finished
spectacle lenses, spectacle or eyeglasses; and the adjustment or repair of
spectacle frames to the human face. The prescribing, adapting, fitting,
duplicating, dispensing, modifying, selling or supplying of contact lenses for
or to the human eye is specifically excluded.
8.1.2. "Licensed Dispensing Opticians" means
any person licensed by the Arkansas Board of Dispensing Opticians to engage in
ophthalmic dispensing.
8.1.3.
"Registered Dispensing Optician" means any person registered by the Arkansas
Board of Dispensing Opticians to engage in ophthalmic dispensing.
8.1.4. "Apprentice Dispensing Optician" means
an individual registered with the Arkansas Board of Dispensing Opticians to
work under the supervision of a licensed or registered dispensing optician or a
physician skilled in disease of the eye or optometrist licensed by this
State.
8.1.5. "Supervision" means
the direct personal physical provision of direction and control through
personal inspection.
8.1.6. "Direct
personal physical provision of direction and control" means in the optical
dispensary and immediately available to address through personal inspection the
actions of an apprentice or student optician.
8.1.7. The term "Board" as used in this Act
means the Arkansas Board of Dispensing Opticians.
8.1.8. The term "person" as used in this Act
shall be interpreted to include individuals, partnerships, firms, corporations,
professional corporations, unincorporated associations, or any of the
foregoing.
8.1.9. A "full service
optical laboratory" fabricates prescription lenses from unfinished or
semi-finished lenses.
8.1.10.
"Side-by-side" operation means one in which a registered, licensed or
apprenticed dispensing optician directly or indirectly controls or attempts to
control the professional judgment, manner of practice or the practice of a
licensed optometrist or physician skilled in the disease of the eye. For the
purpose of this subsection, "controlling or attempting to control the
professional judgment, manner of practice, or the practice of a licensed
optometrist or physician skilled in the disease of the eye" may include or
relate to but not be limited to:
8.1.10.1.
Setting or attempting to influence the professional fees or office hours of a
licensed optometrist or physician skilled in disease of the eye.
8.1.10.2. Termination or threatening to
terminate any lease, agreement, or other relationship in an effort to control,
the professional judgment, manner of practice, or practice of a licensed
optometrist or physician skilled in disease of the eye.
8.1.10.3. Defining the scope of or time
limits for vision examinations.
8.1.10.4. Where more than one optometrist or
physician skilled in disease of the eye is generally available, the repeated
directing of persons seeking vision care to a particular optometrist or
physician skilled in disease of the eye, group practitioner or professional
association, for the purpose of splitting fees, receive a kickback or
rebate.
8.1.10.5. Distributing or
causing to be distributed professional business cards or like materials of a
particular optometrist or physician skilled in the disease of the eye, group,
or professional association.
8.1.10.6. Advertising in any way that
indicated vision examinations might be scheduled or arranged through or by the
dispensing optician's office.
8.1.10.7. Advertising that indicated vision
examinations can be secured "nearby" or similar statements.
8.1.11. "Capping and Steering" is
defined as the practice of a licensed, registered, or apprenticed dispensing
optician or their employees repeatedly referring prospective customers to a
specific optometrist or physician skilled in the disease of the eye, for the
purpose of securing a current prescription for eye glasses.
Section 9. LICENSURE, REGISTRY OR
OFFICE PERMIT REQUIREMENTS AND QUALIFICATIONS
9.1. GENERAL. All board action regarding
licensure shall be governed by Ark. Code Ann. §§
17-89-101 et seq. and, when
applicable Ark. Code Ann. §§
25-15-208 to 213.
9.2. REQUIREMENT TO KEEP CURRENT ADDRESSES ON
FILE. All persons holding a license issued by the board are required to provide
the board with information so that the board can remain in contact and provide
notice of complaints and/or hearings. The licensee is required to provide is
required to provide written notice to the board of any change in business
and/or residential address within 10 working days of the change. Service of
notices of hearing sent by mail will be addressed to the latest address on file
with the board.
9.3. LICENSURE OR
REGISTRY REQUIREMENTS. Except as otherwise provided in Ark. Code. Ann. §
17-89-101 et seq., any person not
licensed to practice medicine or optometry in Arkansas who shall perform or
purport to perform any act described in Section 8.1.1, Ophthalmic Dispensing
definition, must be licensed or registered by the Arkansas Board of Dispensing
Opticians.
9.4. QUALIFICATIONS FOR
LICENSURE OR REGISTRY. Each applicant for licensure or registry shall make
application to the Board upon a form and in such a manner as the Board may
require. Each applicant shall:
9.4.1. Verify
that he or she is over the age of 21 years;
9.4.2. Be of good moral character;
9.4.3. Be a high school graduate or the
equivalent thereof; and provide a certified copy of the high school transcript
or Graduate Equivalency Diploma (GED).
9.4.4. Submit written proof that he or she
possesses the experience and/or education requirements which are specified in
Ark. Code. Ann §
17-89-302 and §
17-89-303.
9.4.4.1. Provide a certified copy of
transcript from a nationally accredited organization approved by this Board
or;
9.4.4.2. Apprenticed Dispensing
Opticians shall submit copies of all Supervision Agreements and Quarterly
Supervision Reports as written proof that they have met the experience
requirements, or
9.4.4.3.
Applicants submitting experience for three (3) years' dispensing experience
under the direct supervision of any Arkansas-licensed optometrist or
Arkansas-licensed physician skilled in disease of the eye shall submit the
Board approved Supervision Report forms attested to by the optometrist or
physician skilled in disease of the eye. Said supervised period of time shall
consist of no less than four thousand eight hundred hours in the last five (5)
years to qualify for the examination.
9.4.5. Enclose the examination fee off two
hundred fifty dollars ($250.00) for the National Practical Examination.
Applicants for Licensure or Registry must successfully complete the National
Practical Examination with a score of 70% (Seventy) percent.
9.4.6. Enclose a current photograph
approximately one inch by one inch (1" x 1") of the Applicant.
9.5. REVIEW OF APPLICATION.
9.5.1. The application and supporting
documentation will be reviewed by the Secretary-Treasurer. Applicants will be
notified by the Secretary Treasurer of the applicant's approval to test.
Qualified applicants will be notified by the Secretary -Treasurer of the
procedure to take the National Practical Examination. Applicants who fail to
pass the National Practical Examination must submit a written request to
re-take the examination and submit the fee of two hundred fifty dollars
($250.00).
9.5.2. Incomplete
applications will be returned to the applicant.
9.6. DENIAL OF APPLICATION FOR LICENSURE.
9.6.1. If a preliminary determination is made
that the application should be denied, the Board will inform the application of
the opportunity for a hearing on the application.
9.6.2. The grounds or basis for the proposed
denial of a license will be set for in writing by the Board. Any hearing on the
denial of a license will be conducted in accordance with Ark. Code Ann. §
25-15-208 and Ark. Code Ann.
§
25-15-213, and unless otherwise
provide by law, the applicant has the burden of establishing entitlement to the
license.
9.7. WRITTEN
EXAMINATION FOR LICENSURE OR REGISTRY. The Board adopts the National _Practical
examination for Registry or Licensure. Examinations shall be conducted pursuant
to the guidelines established by the national testing service. Applicants shall
be examined in the areas of mechanical optics, occupational vision
requirements, the taking of facial measurements for proper frame sizing,
ophthalmic lens type, fitting and adjusting of glasses to the face, and any
other areas deemed necessary by the Board.
9.8. CERTIFICATES. Every Applicant
successfully passing the examination of the Board and satisfying the
qualifications required under Ark. Code. Ann. §
17-89-304 and these Board rules
and regulations shall receive from the Board a "Certificate of Licensure", or a
"Certificate of Registry" to provide ophthalmic dispensing services to the
public as a registered or licensed dispensing optician in Arkansas.
9.9. OFFICE PERMIT REQUIREMENTS. Pursuant to
Ark. Code Ann. § 17 -89- 408 (a), it is unlawful for any person or legal
entity to conduct an office or place of business in this State, where
ophthalmic dispensing services are offered or performed without an office
permit.
9.10. QUALIFICATIONS FOR
OFFICE PERMIT. All Applicants for an office permit must complete the Board
approved application form and enclose an application fee of $60.00 each
location where an office permit is being sought.
9.11. OFFICE PERMIT TO BE DISPLAYED. Each
office permit obtained shall be prominently displayed in each office or place
of business in this State where ophthalmic dispensing services are offered or
performed.
Section 10.
APPRENTICES
10.1 USE OF APPRENTICES APPROVED.
Except as limited in Section 10.9 of these rules, licensed or registered
dispensing opticians may utilize no more than three (3) apprentice dispensing
opticians to engage in ophthalmic dispensing under their direct personal
physical supervision and at the same location where the licensed or registered
optician dispenses.
10.2 APPRENTICE
APPLICATION. Apprentice dispensing opticians shall be approved by the Board
upon receipt of a properly completed application, a current photograph of
himself/herself approximately one inch by one inch (1"x1") and the payment of a
sixty dollar ($60.00) fee to the Board.
10.3 APPRENTICE SUPERVISION. Apprentice
dispensing opticians must submit with their application request a Supervision
Agreement in the form and format provided by the Board and signed by the
Licensed or Registered Dispensing Optician under whose supervision they will
work during their apprenticeship. Quarterly, and at the termination of any
supervision agreement, the apprenticed dispensing optician shall submit a
Supervision Report in the form and format provided by the Board attested to by
the Supervising Licensed or Registered Dispensing Optician. Apprenticed
Licensed Opticians shall keep copies of all Supervision Agreements and
Quarterly Supervision Reports for submission with application to test for
licensure.
10.4 TERMINATION OF
SUPERVISION.
10.4.1 If a supervision agreement
is terminated for any reason and the Apprenticed dispensing opticians has not
obtained the required supervision time for licensure as a Registered Dispensing
Optician, a new Supervision Agreement must be submitted to the Board within ten
(10) days.
10.4.2 Termination of
the supervision agreement occurs when for any reason the supervisor is no
longer able to provide direct personal physical provisions of direction and
control to the supervisee.
10.4.3
The Apprentice and the Supervisor are responsible for notifying the Board in
writing of the termination of the supervision agreement.
10.5 FAILURE TO SUBMIT SUPERVISION AGREEMENT.
Failure to submit a Supervision Agreement in the time required shall result in
immediate suspension of the Apprentice license without hearing.
10.6 REINSTATEMENT OF APPRENTICE LICENSE. The
Apprenticed optician license shall be eligible for reinstatement for a period
of 180 days upon the following conditions.
10.6.1 Submission of a signed Supervision
Agreement.
10.6.2 Payment of any
and all annual renewal fees and/or late payment penalties accruing during the
suspension.
10.6.3 Payment of a
reinstatement fee of $60.00.
10.7 FAILURE TO REINSTATE SUSPENDED
APPRENTICED LICENSE. Any apprenticed dispensing optician license not reinstated
within the prescribed time period will be considered revoked without hearing.
Any person for whom their apprenticed dispensing optician license has been
revoked for failure to reinstate shall be required to reapply for licensure.
Any hours of supervision earned prior to the re-application process may be
considered under the new apprentice license provided the hours are earned
within the previous five (5) years before applications for testing for
licensure is made.
10.8 APPRENTICED
SUPERVISION REQUIREMENTS. Apprenticed dispensing opticians must obtain four
thousand eight hundred (4800)1 actual hours of
supervision to qualify as three (3) years of supervision. These hours must be
submitted on the Board approved form and certified by the Licensed or
Registered dispensing optician under whose supervision the apprentice is
acting.
10.9 SUPERVISING
APPRENTICED A Licensed or Registered Optician may not supervise more than
three (3) full time Apprenticed Dispensing Opticians
1 Hours computed on a basis of 32
hours per week for a period of 50 weeks in a twelve month period of time times
3 years.
Section
11. ANNUAL RENEWAL
11.1 RENEWAL
OF A LICENSE, REGISTRATION OR APPRENTICESHIP.
Application for renewal of Licensed, Registered or Apprenticed
dispensing opticians shall be received or postmarked no later than June 10th of
each year. Each application for renewal shall include a renewal fee in the
amount of sixty dollars ($60.00) payable to the Arkansas Board of Dispensing
Opticians. Each applicant shall submit a current photograph of himself/herself
approximately one inch by one inch (1"x 1"). Furthermore, each licensed or
registered dispensing optician shall attest to his or her compliance with all
of the provisions of Ark. Code. Ann. §
17-89-101 et seq., and the
Arkansas Board of Dispensing Optician's Rules and Regulations on the annual
licensure and registry renewal forms. Upon submission of the photograph and
payment of such renewal fee and in absence of a Board finding against renewal
under these rules and regulations, such person shall have his Certificate of
Licensure, Registry or Apprenticeship renewed for an additional year commencing
on July 1 of that year.
11.2 CONTINUING EDUCATION. Pursuant to Ark.
Code. Ann. §
17-89-308, each licensed,
registered, or apprenticed optician registered under the provisions of Ark.
Code. Ann. §
17-89-101
et seq.
applying for the renewal of his license, shall furnish to the Arkansas State
Board of Dispensing Opticians satisfactory evidence that he successfully
completed four (4) hours in even numbered years and five (5) hours including
one hour of jurisprudence in odd numbered years of continuing education hours
approved by either the Arkansas State Board of Dispensing Opticians or the
American Board of Opticianry in the year preceding the expiration date of the
license being renewed pursuant to Ark. Code. Ann. §
17-89-307. In order to obtain
credit for hours that are received, a licensed, registered or apprenticed
optician must submit all evidence establishing the approved hours completed to
the Board on or before ninety (90) days after the completion of the hours.
Continuing education hours shall be obtained in person with the presenter. The
Board will not accept continuing education hours obtained by correspondence.
Continuing education hours through any form of live media broadcast must
receive prior approval by the Board. The Board shall recognize those schools
which are accredited by an organization recognized by the United State
Department of Education or by the Council on Postsecondary
Accreditation.
11.3 DOCUMENTATION
OF CONTINUING EDUCATION. Documentation of said continuing education shall be a
condition precedent for the renewal of licenses for registered, licensed and
apprentice opticians. Provided, however, the board shall reinstate any license
not renewed for failure to comply with this regulation upon the subsequent
presentation of satisfactory evidence of said continuing education and payment
of all fees due on or before October 1 of each year.
11.4 EXCEPTION TO CONTINUING EDUCATION
REQUIREMENT. Provided, however, that any optician who, because of illness or
other unavoidable circumstances, is unable to comply herewith may make
application to the Board, reasonably documenting the circumstances as to why he
or she is unable to comply, and the Board in its discretion may relieve the
applicant from so complying for such time and under such circumstances as the
Board deems proper.
11.5 RENEWAL
FEE FOR OPTICIAN. Upon receipt of the sixty dollars ($60.00) renewal fee each
licensed, registered, and apprenticed optician will be issued a photo badge to
wear at all times they are performing duties of a registered, licensed or
apprentice optician.
11.6 LOST OR
DESTROYED BADGES. Replacement badges will be provided by the Board for all lost
or destroyed badges at a fee of ten dollars ($10.00).
11.7 FAILURE OF LICENSEE, REGISTRANT OR
APPRENTICE TO PAY RENEWAL. Any licensed, registered or apprentice dispensing
optician who has not paid his or her renewal fee in full by July 1 of that year
shall be required to pay the following renewal penalty.
July 1 - July 31
|
$25.00
|
August 1 - August 31
|
$50.00
|
September 1 - September 30
|
$75.00
|
11.8
FAILURE OF LICENSEE, REGISTRANT OR APPRENTICE TO PAY RENEWAL BY SEPTEMBER 30.
Any licensed, registered or apprenticed dispensing optician who fails to renew
their license on or before September 30 of each year and continues to provide
ophthalmic dispensing services shall be deemed to have committed a violation of
Ark. Code Ann. §
17-89-309(a) and
may result in action by the Board pursuant to Ark. Code Ann.
17-89-309(b).
11.9 INACTIVE STATUS.
11.9.1 A licensed or registered dispensing
optician who fails to renew their license shall be placed on inactive status.
The Board shall notify the licensed or registered dispensing optician 15 days
prior to placing an optician on inactive status. The optician shall be notified
of their inactive status and inability to continue to provide ophthalmic
dispensing services by regular first class mail at the last address provided by
the licensee. Mailing will constitute service.
11.9.2 A licensed or registered dispensing
optician may request to be placed upon inactive status by providing a written
statement to the Board.
11.9.3 The
Board may approve inactive status for a period of no longer than two (2) years
and shall notify the requesting licensed or registered dispensing optician in
writing of the approval.
11.9.4
Licensed or registered dispensing opticians who are placed on inactive status
for failure to renew may return to active status within 2 years upon payment of
all renewal fees, late penalties and submission of Continuing Education hours.
Licensed or registered dispensing opticians who have been granted Board
approved inactive status shall only be required to pay the annual renewal fee
to reinstate their license or registration. Failure to return from inactive
status after two (2) years shall be considered voluntary surrender of the
license by the licensee without further notice.
11.10 RENEWAL FEE FOR OFFICE PERMIT. Each
office permit must be renewed on or before July 1 of each year. Application for
renewal should be received or postmarked no later than June
10th of each year. Such renewal shall include a
completed renewal form along with $60.00 renewal fee.
11.11 FAILURE TO RENEW OFFICE PERMIT AND PAY
RENEWAL FEE. Any office which fails to renew its Office Permit and pay the
renewal fee by July 1 shall be considered delinquent and subject to the
following penalty.
July 1 - July 31
|
$25.00
|
August 1 - August 31
|
$50.00
|
September 1 - September 30
|
$75.00
|
11.12
FAILURE TO RENEW OFFICE PERMIT BY SEPTEMBER 30. Any individual, partnership,
corporation or other business entity who fails to renew an office permit by
September 30 including the payment of the renewal fee and any appropriate
penalty and continues to provide ophthalmic dispensing services shall be deemed
to have committed a violation of Ark. Code Ann. §
17-89-408(a) and
may result in action by the Board pursuant to Ark. Code Ann.
§9-89-408(d).
Section
12. BRANCH OFFICES
12.1 OPTICIAN
PRESENT. All open optical businesses which are subject to the provision of Ark.
Code Ann. §
17-89-101 et seq. must have
physically present within the place of business at all times a licensed or
registered dispensing optician.
12.2 BRANCH OFFICE LIMIT. No licensed or
registered dispensing optician or person in this state shall establish more
than two ophthalmic dispensing branch offices in addition to his principal
office unless he shall first have secured a branch office permit from the
Board.
12.3 FACTORS FOR BOARD TO
CONSIDER. The Board shall consider, but, not be limited to, the following
factors when ruling on an application for a permit for additional branch
offices:
12.3.1 The availability of qualified
personnel to staff the proposed ophthalmic dispensing office;
12.3.2 The established standards of service
of the applicant;
12.3.3 The
assurance of adequate supervision of the service provided by the proposed
branch office;
12.3.4 The
applicant's established record of compliance with the provisions of Ark. Code.
Ann. §
17-89-101 et seq. and the rules
and regulations of the Arkansas Board of Dispensing Opticians.
12.4 NAME OF OPTICIAN DISPLAYED.
The name and Certificate of Registry or Licensure of the supervising dispensing
optician shall be prominently displayed at all times in each ophthalmic
dispensing office.
Section
13. CERTIFICATE OF OWNERSHIP
13.1
ANNUAL FILING OF CERTIFICATE OF OWNERSHIP. Each optical dispensary in the State
of Arkansas whose title does not contain the proper name of an Arkansas
optometrist or Arkansas physician skilled in the diseases of the eye, or a
licensed or registered dispensing optician holding a certificate of licensure
or registry in the State of Arkansas must file a certificate of ownership each
year with the Arkansas Board of Dispensing Opticians between June 1 and June
30. Each certificate of ownership must give the name and address of the
dispensary, the optometrist or physician skilled in diseases of the eye, or
licensed or registered dispensing optician or person who owns or maintains
legal responsibility of the dispensary.
13.2 FAILURE TO FILE CERTIFICATE OF
OWNERSHIP. When the Board determines that a violation of this requirement has
occurred, the Board may undertake an investigation to determine ownership. If
ownership is determined to be an optometrist or a physician skilled in diseases
of the eye, the Board shall report the failure to file the Certificate of
Ownership to the appropriate governing board of the optometrist or physician
skilled in diseases of the eye. If the ownership is determined to be a licensed
or registered optician, the Board shall initiate a complaint for violation of
the rule of this Board and the law of the State of Arkansas.
Section 14. COMPLAINTS
14.1 COMPOSITION OF THE COMPLAINT COMMITTEE:
14.1.1 The Complaint Committee shall consist
of the Secretary/Treasurer of the Board.
14.2 PROCEDURE FOR INITIATION OF COMPLAINTS:
14.2.1 Initiation. The formal investigation
of a complaint against a licensed, registered, apprentice or student optician
may be initiated when the complaint is in writing and filed with the board. The
complaint must contain a brief statement setting forth the allegations of fact
and naming the optician against whom the complaint is filed.
14.2.2 Prima Facie Determination. Upon
receipt of a complaint, the Complaint Committee shall review same to determine
whether the complaint states a prima facie violation of any provision of A.C.A
§
17-89-201 or Board regulations.
Should the Complaint Committee determine that the complaint does not state a
prima facie violation of the law or other Board Rules and Regulations the
Secretary/Treasurer shall submit the complaint to the Board at the first
available opportunity for the Board's determinations whether a prima facie case
is stated in the complaint. Should the Board determine the complaint fails
state a prima facie violation; the Board shall notify the complainant the
complaint has been dismissed.
14.2.3 Board Initiation. The Board may
initiate an investigation upon its own motion when it has reason to believe a
violation of A.C.A. §
17-89-201 et seq. or Board
regulation may have occurred. Individual board members should utilize the
written complaint method for complaints against individual dispensing
opticians.
14.2.4 Time Limit for
Filing of Complaint. The Complaint committee may consider complaints only if
the complaint was filed within one (1) year from the time the alleged complaint
either occurred or was discovered. Any complaint not received within this time
limit shall not be considered and the complainant shall be so
notified.
14.3 PROCEDURE
FOR INVESTIGATION OF COMPLAINTS
14.3.1
Notification of the Respondent. If the complaint appears to state a prima facie
violation of the law and/or other Board rules and regulations the Complaint
Committee shall notify the dispensing optician named in the complaint by
certified or registered mail of the complaint and request a written response to
the allegation/s.
14.3.2
Investigation. Upon receipt of the licensee's response or upon the expiration
of the time period permitted for the licensee's response, the Complaint
Committee may conduct any further inquiry or investigation which appears to be
appropriate based upon the circumstances of the individual case.
14.3.3 Investigative Officer. The
Investigative Officer shall be a person designated by the Chair of the Board.
The Chair of the Board shall agree, or contract, to pay compensation to, or
reimburse the expenses of, any person serving as investigative officer
authorized by the Board.
14.3.4
Investigative Report. Upon completion of the investigation, the investigative
officer shall provide a written report to the Complaint Committee the results
of the investigation. The Complaint Committee will recommend to the Board
whether to conduct a hearing, take other action or dismiss the complaint. The
report of the Complaint Committee shall be a summary of the results of the
investigation and shall be presented to the Board without naming the
licensee.
14.4 ACTION BY
BOARD. A majority vote of the board shall be required to support the
recommendation of the Complaint Committee.
14.4.1 If the board agrees with the
determination of the Complaint Committee that the case should be dismissed, the
complainant and the respondent shall be so notified.
14.4.1.1 Additional Evidence. If additional
evidence of conduct contrary to the laws, Rules and/or Regulations governing
Dispensing Opticians is presented within sixty (60) days after the matter has
been closed with no action, the case may be reopened and acted upon under
regular procedures.
14.4.2 If the board determines that the
complaint presents sufficient evidence of a violation; it may decide to resolve
the matter through an informal meeting, an offer of consent agreement or
through a formal disciplinary hearing.
14.4.2.1 If the board votes to hold a formal
hearing, the board shall comply with the requirements of the Administrative
Procedure Act.
14.4.2.2 The Board
may offer or the Respondent may request an informal hearing of a complaint
before the Board consisting of a face to face meeting with the Respondent to
discuss the allegations of the complaint. Prior to an informal hearing the
Respondent must sign a consent statement agreeing to the terms and conditions
of an informal hearing.
14.4.2.3 If
the Board determines that a consent agreement may be appropriate, the Board
shall authorize its Attorney to enter into negotiations for a consent agreement
subject to the Board's final approval. The Board may recommend terms for a
consent agreement offer by the attorney to the respondent based only upon the
anonymous report presented to the Board by the Complaint Committee.
14.5 DISQUALIFICATION.
During a formal disciplinary hearing, any members of the Board who served on
the Complaint Committee, was involved in the investigation or who initiated the
complaint shall be disqualified from participation in the hearing.
14.6 COUNTER COMPLAINTS. The Arkansas Board
of Dispensing Opticians will not accept formal complaints from a respondent
against a complainant during the course of an investigation of the initial
complaint. Counter charges will only be considered after the disposition of the
initial complaint.
Section
15. DENIAL, SUSPENSION, OR REVOCATION OF LICENSE, REGISTRATION OR
OFFICE PERMIT
15.1 SUSPENSION, REVOCATION,
ANNULMENT OR WITHDRAWAL. Prior to the entry of a final order to suspend,
revoke, annul or withdraw a license, registration, or office permit, or to
impose other sanctions upon a licensee or permit holder, the board will serve
the licensee or permit holder a notice of hearing in the manner set out in Ark.
Code Ann. §
25-15-208 and Section 7.7 of these
rules.
15.1.1 The board has the burden of
proving the alleged facts and violations of law stated in the notice.
15.2 VOLUNTARY SURRENDER OF
LICENSE. The licensee, in lieu of formal disciplinary proceedings, may offer to
surrender his or her license, subject to the Board's determination to accept
the proffered surrender, rather than conducting a formal disciplinary
proceeding.
15.3 BASIS OF
SUSPENSION, REVOCATION OR DENIAL. The board shall revoke, suspend or refuse to
issue a license or registration of any dispensing optician or apprenticeship
for any violation of any provision of Ark. Code. Ann. §
17-89-201 et seq., as amended, or
of any of these rules and regulations, including, but not limited to, the
following:
15.3.1 The applicant, licensee,
registrant, apprentice or person obtaining a license, registration,
apprenticeship or office permit by means of fraud, misrepresentation, or
concealment of material facts;
15.3.2 The applicant, licensee, registrant or
apprentice engaging in conduct, including, but not limited to, engaging in the
advertising practice commonly known as "bait and switch," or establishing an
ophthalmic dispensing business immediately adjacent to the office of a licensed
optometrist or physician skilled in the disease of the eye in what is commonly
known as a "side-by-side" operation, or engaging in the referral procedure
commonly known as "capping and steering";
15.3.3 Any licensed, registered or
apprenticed dispensing optician, either directly or indirectly, to participate
in any manner in the division, assignment, rebate, kickback, splitting or
refunding of service fees or costs of completed eyeglasses with a physician
skilled in the disease of the eye or optometrist. Nothing in the above is to be
construed so as to interfere with the ownership, profit sharing programs,
pensions, or retirement programs of any optometrist's or ophthalmologist's
office where the professional is incorporated.
15.3.4 Any licensed, registered or
apprenticed dispensing optician or person requesting, encouraging, or enticing
a licensed optometrist or physician skilled in disease of the eye to locate an
office for the purpose of conducting his professional practice adjacent to an
Opticianry for the purpose of capping and steering as defined by these
regulations.
15.3.5 The applicant,
licensee, registrant, apprentice or person being convicted of a felony in any
state or federal court, and not pardoned, if the acts for which the person is
convicted are found by the board to have a direct bearing on whether he should
be entrusted to serve the public in the capacity of a dispensing
optician.
15.3.6 The applicant,
licensee, registrant, apprentice or person violating any prohibitive provision
under this chapter;
15.3.7 The
applicant, licensee, registrant, apprentice or person engaging in any
fraudulent, misleading, or deceptive
advertising2;
15.3.8 The applicant, licensee, registrant,
apprentice or person failing to qualify for the license, registration,
apprenticeship or office permit;
15.3.9 The applicant, licensee, registrant,
apprentice or person violating any other rule or regulation promulgated by the
board; or
15.3.10 The applicant,
licensee, registrant, apprentice or person using any narcotic drug,
psychoactive drug or alcohol which impairs his or her ability to perform the
work as an ophthalmic dispenser.
15.4 HEARING AND SANCTIONS. After due notice
and hearing, a person licensed or registered as an optician or apprentice or an
applicant or person holding or seeking to hold an office permit, found to have
violated any provision of Ark. Code Anno. §
17-89-101 et seq. also know as the
Ophthalmic Dispensing Act and/or the Rules promulgated by the Board of
Dispensing Opticians may have any one or more of the following sanctions
imposed upon him by the board:
15.4.1
Suspension, revocation or denial of the license, registration, apprenticeship
or office permit or the renewal thereof;
15.4.2 A penalty not to exceed one thousand
dollars ($1,000.00) for each violation;
15.4.3 Conditions or restrictions placed upon
the person's license, registration, apprenticeship or practice; or
15.4.4 Such other requirements or penalties
as may be appropriate to the circumstances or the case, and which would achieve
the desired disciplinary purposes, but which would not impair the public
welfare and morals.
15.5
FAILURE TO PAY PENALTY. Unless the penalty assessed under this section is paid
within fifteen (15) days following the date for an appeal from the order, the
board shall have the power to file suit in the Circuit Court of Pulaski County
to obtain the judgment for the amount of penalty not paid.
15.6 DUTY OF A SANCTIONED PROFESSIONAL. In
every case in which a professional shall, within thirty (30) days of the
revocation, suspension, or surrender, do the following;
15.6.1 Return his or her license and any
license badge to the Board's office;
15.6.2 Notify all clients to make
arrangements for other professional services, calling attention to any urgency
in seeking the substitution of another licensed professional;
15.6.3 Deliver to all clients any papers or
property to which they are entitled, or notify the client of a suitable time
and place where the papers or other property may be obtained, calling attention
to any urgency for obtaining the papers or other property;
15.6.4 Refund any part of the fees paid in
advance that have not been earned;
15.7 EMERGENCY ACTION. If the board finds
that the public health, safety, or welfare imperatively requires emergency
action and incorporates that finding in its order, the board can summarily
suspend, limit, or restrict a license. The notice requirement in Section 7.7 of
these rules does not apply and must not be construed to prevent a hearing at
the earliest time practicable.
15.7.1
Emergency Order: An emergency adjudicative order must contact findings that the
public health, safety, and welfare imperatively required emergency action to be
taken by the board. The written order must include notification of the date on
which the board proceedings are scheduled for completion.
15.7.2 Written Notice. The written emergency
adjudicative order will be immediately delivered to persons who are required to
comply with the order. One or more of the following procedures will be used:
15.7.2.1 Personal Delivery
15.7.2.2 Certified mail, return receipt
requested, to the last address on file with the board
15.7.2.3 First class mail to the last address
on file with the Board;
15.7.2.4
Fax. Fax may be used as the sole method of delivery if the person required to
comply with the order has filed a written request that Board orders be sent by
fax and has provided a fax number for that purpose.
15.7.2.5 Oral Notice. Unless the written
emergency order is served by personal delivery on the same day that the order
issues, the Board shall make reasonably immediate efforts to contact by
telephone the persons who are required to comply with the order.
15.7.3 Unless otherwise provided
by law, within ten (10) days after emergency action taken pursuant to Section
16.1 of these rules, the board must initiate a formal suspension or revocation
proceeding.
15.8
REINSTATEMENT AFTER SUSPENSION. An order suspending a license may provide that
a person desiring reinstatement may file with the Secretary-Treasurer a
verified petition requesting reinstatement.
15.8.1 The petition for reinstatement must
set out the following:
15.8.1.1 That the
individual has fully and promptly complied with the requirements of Section
15.6 of these rules pertaining to the duty of a sanctioned
professional;
15.8.1.2 That the
individual has refrained from practicing in this profession during the period
of suspension;
15.8.1.3 That the
individual's license fee is current or has been tendered to the Board;
and
15.8.1.4 That the individual
has fully complied with any requirements imposed as conditions for
reinstatement.
15.8.2
Any knowing misstatement of fact may constitute grounds for denial or
revocation of reinstatement.
15.8.3
Failure to comply with the provisions of Sections 15.6.7 and 15.6.8 of these
Rules precludes consideration for reinstatement.
15.8.4 No individual will be reinstated
unless the Board approves reinstatement by majority vote.
15.9 RE-LICENSURE FOR REVOKED OR SURRENDERED
LICENSE. No individual who has had his or her license revoked or who has
surrendered his or her license will be licensed, except on petition made to the
Board. The application for re-licensure is not allowed until at least two (2)
years after the revocation or surrender of license took effect.
15.9.1 The applicant bears the burden of
proof that he is rehabilitated following the revocation or surrender of his
license, that he can engage in the conduct authorized by the license without
undue risk to the public health, safety, and welfare, and that he is otherwise
qualified for the license pursuant to Ark. Code Ann. §§
17-89-101 et seq.
15.9.2 The Board may impose any appropriate
conditions or limitations on a license to protect the public health, safety,
and welfare.
2 All advertising must conform to the
provisions of Ark. Code. Ann. §§
17-89-405 & 406. The following
examples are provided to assist in determining whether an advertisement is
considered to be fraudulent, misleading or deceptive:
1. Advertisements which include prices of
prescription glasses may be considered fraudulent, misleading or deceptive if
they do not meet the following standards:
(a)
A statement of whether or not the quoted cost includes an examination by a
licensed optometrist or physician skilled in the diseases of the eye.
(b) If the advertised price is for a limited
period of time, the advertisement shall state the expiration date of the
offer.
(c) Any limits on a
customer's rights to purchase the advertised product shall be stated in the
advertisement.
(d) If a reduced
price is offered on a specific item or items, the regular retail price of the
specific item or items must be included in the advertisement.
(e) Knowingly and repeatedly advertising a
manufacturer's discontinued item, whether or not prices are given, must so
state the item has been discontinued.
2. Any licensee or registrant who fails to
satisfy the requirements of this section shall be deemed to have committed
fraudulent, misleading, or deceptive advertising.
Section 16. DISCLOSURE
16.1 REQUIREMENTS TO PROVIDE INFORMATION TO
THE BOARD. Every person licensed or registered under the provisions Ark. Code.
Ann §
17-89-101 et seq., shall upon
request make available to the Arkansas Board of Dispensing Opticians or its
duly authorized representative any information which the Board requires to
verify compliance of the Licensee or Registrant with all provisions of Ark.
Code. Ann. §
17-89-101 et seq., and these Board
rules and regulations.
Section
17. OPHTHALMIC STANDARDS
17.1
BOARD TO PROVIDE OPHTHALMIC STANDARDS. The Board shall provide a copy of the
American National Standards Institute Z-80.1 Ophthalmic Materials Standards to
each person who is licensed or registered as a dispensing optician in the State
of Arkansas.
Section 18.
PROHIBITED PRACTICE
18.1 It shall be unlawful
for any dispensing optician or person engaged in the business of manufacturing,
selling, or dispensing regular and/or safety ophthalmic materials to fill or
duplicate an ophthalmic prescription without having a written prescription
signed by the licensed optometrist or licensed physician skilled in disease of
the eye who conducted the examination from which the prescription was prepared;
or fail to comply with the written instructions when such instructions are
included on a written prescription signed by a licensed optometrist or licensed
physician skilled in disease of the eye. No change or alteration from the
prescription of the prescribing optometrist or physician shall be made, except
that changes may be made in tint or material of the lenses unless such changes
are specifically prohibited on the written prescription.
18.2 Nothing in these rules and regulations
shall be construed to authorize or permit any licensed or registered dispensing
optician or any other person, except a licensed optometrist or licensed
physician skilled in disease of the eye, to undertake or hold himself out as
being able (1) to examine eyes by any objective or subjective method or
exercises eyes; (2) to undertake by any method or means the measurement of the
cornea of the human eye; or (3) to examine, prescribe, diagnose, treat, or
correct for visual deficiency. The prescribing, adapting, fitting, duplicating,
dispensing, modifying, selling, or supplying of contact lenses for or to the
human eye is specifically prohibited except when done by a licensed optometrist
or licensed physician skilled in disease of the eye.
Section 19. RECIPROCITY
19.1 RECIPROCITY. The Board will only
consider a grant of reciprocity to an individual from a state which grants
reciprocity to Arkansas licensees. The Board shall require that any person
requesting reciprocity of the State of Arkansas shall meet the requirements as
set forth in Ark. Code. Ann. §
17-89-305 and §
17-89-306 and provide written
proof from the appropriate board or agency of reciprocity to Arkansas licensees
from the state they are currently licensed.
Section 20. SEVERABILITY
20.1 SEVERABILITY. These rules being for the
regulation of the business of ophthalmic dispensing and the protection of the
public, the provisions hereby are declared to be severable and the invalidity
of any rule, clause, sentence, paragraph or section hereof shall not affect the
validity of the remainder thereof.