Current through Register Vol. 49, No. 9, September, 2024
300
Registration and Renewal
Requirements and Procedures
301
General Requirements:
A.
Who Must Register: All
persons who advertise as a home inspector, or perform or attempt to perform a
home inspection for a fee, in the State of Arkansas, shall first register with
the Board and comply with the Arkansas Home Inspector Registration Act and the
provisions of these Rules and Procedures.
B.
Who is Exempt from
Registering:1. A person who by virtue
of his or her employment by a public entity does home inspection work for that
agency shall not be required to be registered under this subchapter if the
inspections are conducted:
a. Solely for the
benefit of that entity; and
b. For
no compensation other than the employee's salary.
2. These rules and procedures shall not apply
to:
a. Any person holding a valid
registration, certificate, or license issued by the State if the person's
activity is limited to the activity authorized by his or her registration,
certificate, or license;
b. A
person who inspects his or her own home: or
c. A public entity that inspects its
residential units with its own personal specifically trained for the
inspection.
C.
Reputation & Competency:
The applicant shall have a good reputation for honesty, truthfulness, and fair
dealing, and be competent to transact the business of a registered Home
Inspector in such a manner as to safeguard the interests of the
public.
D.
Disciplinary
History: An applicant shall be in good standing as a Home Inspector in
every jurisdiction where licensed or registered. The applicant shall not
currently have a registration or license which is suspended, revoked, or
surrendered in connection with a disciplinary action or which is the unresolved
subject of discipline in any jurisdiction prior to applying for registration in
Arkansas.
E.
Criminal
Background Check1.
Pre-Licensure Criminal Background Check: Pursuant to Ark. Code Ann.
§
17-3-101,
et seq., an individual may petition for a
pre-licensure determination of whether his/her criminal record will disqualify
him/her from licensure and whether he/she may obtain a waiver to be licensed.
a. The individual must obtain the
pre-licensure criminal background check petition form from the Board.
b. The Board will respond with a decision in
writing to a completed petition within a reasonable time.
c. The Board's response will state the
reason(s) for its decision.
d. All
decisions of the Board in response to the petition will be determined by the
information provided by the individual.
e. Any decision made by the Board in response
to a pre-licensure criminal background check petition is not subject to
appeal.
f. The Board will retain a
copy of the petition and response, and it will be reviewed during the formal
application process.
2.
Criminal Record: An applicant for registration or renewal is not
eligible to receive or hold a license issued by the Board if that person has
pleaded guilty or nolo contendere to, or has been found guilty of, any of the
offenses listed in Ark. Code Ann. §
17-3-102(a) or (e), by any court in
the State of Arkansas, or of any similar offense by a court in another state,
or of any similar offense by a federal court, unless the conviction was
lawfully sealed under the Comprehensive Criminal Record Sealing Act of 2013,
Ark. Code Ann. § 16-90-140, et seq., or otherwise
previously sealed, pardoned or expunged under prior law.
3. Nothing in this section precludes the
Board from taking emergency action against a licensee as authorized under
§
25-15-211
for the sake of public health, safety, or welfare.
F.
Age: The applicant shall be
at least 18 years old at the time he or she submits his or her
application.
G.
Identification: The Board may require each applicant for registration to
furnish, at his or her expense, a recent passport-type photograph of
him/herself, as well as any other information or form of identification deemed
necessary by the Board.
H.
Education: Any new applicant shall have graduated from a
State-accredited school or shall have earned a State-accredited high school
equivalency diploma. The Board may require proof of same.
I.
Board Discretion: Applicants
who do not meet all of the requirements and qualifications of this Section may
nevertheless be approved for initial registration or registration renewal by
resolution of the Board. However, detailed records and an explanation of that
action must be made part of that person's registration records. The Board
reserves the right to hold for a reasonable length of time for investigation
the application of any applicant before approving an initial or renewal
registration.
1. If an applicant has been
convicted of a crime listed in Ark. Code Ann. §
17-3-102(a) or (e) the
Board may waive disqualification or revocation of a license based on the
conviction if a request for a waiver is made:
a. By an affected applicant for license;
or
b. By the individual holding a
license subject to revocation.
2. The Board may grant a waiver upon
consideration of the following, without limitation:
a. The age at which the offense was
committed;
b. The circumstances
surrounding the offense;
c. The
length of time since the offense was committed;
d. Subsequent work history since the offense
was committed;
e. Employment
references since the offense was committed;
f. Character references since the offense was
committed;
g. Relevance of the
offense to the occupational license; and
h. Other evidence demonstrating that license
of the applicant does not pose a threat to the health or safety of the
public.
3. If an
individual has a valid criminal conviction for an offense that could disqualify
him/her from receiving license, the disqualification shall not be considered
for more than five (5) years from the date of the conviction or incarceration
or on which probation ends, whichever date is the latest, if the individual:
a. Was not convicted of a offense in Ark.
Code Ann. §
17-3-102(e)
b. Was
not convicted for committing a violent or sexual in nature offense;
and
c. Has not been convicted of
any other offense during the five-year disqualification period.
4. The Board shall not, as a basis
upon which license may be granted or denied:
a. Use vague or generic terms, including
without limitation the phrase "moral turpitude" and "good character";
or
b. Consider arrests without a
subsequent conviction.
5. A request for a waiver, if made by an
applicant, must be in writing and accompany the completed application and
fees.
6. The Board will respond
with a decision in writing and will state the reasons for the
decision.
7. An appeal of a
determination under this section will be subject to the Administrative
Procedures Act, Ark. Code Ann. §
25-15-201,
et seq.
J. The Board shall grant a license to an
applicant who fulfills the Arkansas requirements for licensure and is a person
who holds a Federal Form I-766 United States Citizenship and Immigration
Services-issued Employment Authorization Document, known popularly as a "work
permit."
302
Initial Registration Procedures
A.
Items Required from the Initial
Applicant (See Section 304):
1.
Initial Application Form
2. Initial
Application Fee
3. Liability
Insurance Certificate
4.
Pre-Registration Education Certificate (See 304D2)
5. Competency Application
Certificates
6. Proof of Completion
of Apprenticeship (unless waived by the Board)
B.
Effective Dates and
Deadlines: Initial home inspector registrations are issued on a calendar
year basis extending from the date of approval by the Board through December
31st of each year. Applications for initial
registration must be submitted no less than 5 (five) State business days prior
to the next scheduled meeting of the Board in order to be considered at that
meeting. Applicants are encouraged to contact the Board office to determine
that date.
C.
Reciprocity1. It is the intent
of the General Assembly to ensure that an individual may be credentialed to
work in Arkansas if he or she generally demonstrates the skills and ethics
required by state law based on the individual's experience and credentials in
another state.
2. It is not the
intent of the General Assembly to cause the Board to engage in simple
comparisons of the required hours of training and other personal qualifications
under Arkansas's occupational licensing statutes with those qualifications
required in the state where the individual is credentialed.
3.
Required qualifications: An
applicant applying for reciprocal licensure shall meet the following
requirements:
a. Shall hold a substantially
similar license in another United States jurisdiction. A license from another
state is substantially similar to an Arkansas Home Inspector registration if
the other state's licensure qualifications require:
i. at least eighty (80) hours of
pre-registration home inspector education; and
ii. proof of successful passage of the
National Home Inspector Examination (NHIE) and the current
version of the Standards and Ethics Examination of the
American Society of Home Inspectors (ASHI).
b. Shall hold his/her home inspector license
in good standing and shall provide a letter from the licensing authority
attesting the disciplinary status of the home inspector and show that he/she
has not had a license revoked for:
i. an act
of bad faith; or
ii. a violation of
law, rule, or ethics.
c.
Shall not hold a suspended or probationary license in a United States
jurisdiction.
4.
Required documentation: an applicant shall submit a fully-executed
application, with the required fee, and the documentation described below:
a. As evidence that the applicant's license
from another jurisdiction is substantially-similar to Arkansas's, the applicant
shall submit the following information:
i.
Evidence of current and active licensure in that state. The Board may verify
this information online, if the jurisdiction at issue provides primary source
verification on its website, or by telephone to the other state's licensing
board; and
ii. Evidence that the
other state's licensing requirements match those listed in Sec. 3(a)(i)-(ii).
The Board may verify this information online or by telephone to the other
state's licensing board.
b. To demonstrate that he/she meets to
requirement in Sec. 3(b)-(c), the applicant shall provide the Board with:
i. The names of all states in which the
applicant is currently or has been previously licensed;
ii. Letters of good standing or other
information from each state in which the applicant is currently or has ever
been licensed showing that he/she has not had his/her license revoked for the
reasons listed in Sec. 3(b)(i)-(ii), and does not hold a license on suspended
or probationary status as described in Sec. 3(c). The Board may verify this
information online or by telephone with the other state's licensing
board.
c. As evidence
that the applicant is sufficiently competent in home inspections, he/she shall:
i. Provide proof that he/she has passed the
National Home Inspector Examination (NHIE) and the current
version of the Standards and Ethics Examination of the
American Society of Home Inspectors (ASHI).
ii. Submit letters of recommendation (or home
inspection reports)
5.
Temporary and Provisional
License:a. The Board shall issue a
temporary and provisional license immediately upon receipt of the application,
the required fee, and the documentation required under Sec. 4(a)-(b).
b. A temporary and provisional license shall
be effective for at least 90 days or until the Board makes a decision on the
application., unless the Board determines that the applicant does not meet the
requirements in Sec. C(3)(a)-(c), in which case the temporary and provisional
license shall be revoked immediately.
c. An applicant may provide the rest of the
documentation required above in order to receive a license, or the applicant
may provide only the information necessary for the issuance of a temporary and
provisional license.
6.
License for a Person From a State that Does Not License Home
Inspectors:a.
Required
qualifications: An applicant from a state that does not license home
inspectors shall meet the following requirements:
i. The applicant shall be sufficiently
competent in the profession of home inspections; and
ii. Has passed the National Home
Inspector Examination (NHIE) and the current version of the
Standards and Ethics Examination of the American Society of
Home Inspectors (ASHI).
b.
Required documentation: an
applicant shall submit a fully-executed application, the required fee, and the
documentation described below to show the applicant is sufficiently competent
in the profession of home inspections:
i.
proof that he/she has passed the National Home Inspector
Examination (NHIE) and the current version of the Standards
and Ethics Examination of the American Society of Home Inspectors
(ASHI).
ii. Submit three (3)
previous home inspection reports.
D.
Automatic Licensure for Uniformed
Service Members:1. Ark. Code Ann.
§
17-4-101, et seq. provides for the automatic licensing
of uniformed service veterans. As used in this section, a "uniformed service
veteran," means a former member of the United States Uniformed Services
discharged under circumstances other than dishonorable.
2. The Board shall grant automatic licensure
to an individual who is the holder in good standing of a license with a similar
scope of practice issued by another state, territory or district of the U.S.
and is:
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; or
c. The spouse of:
i. A person under (2)(a) or (b)
above;
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; or
iii. 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.
3. The
Board shall grant such automatic licensure upon receipt of all of the below:
a. Payment of the initial licensure
fee;
b. Evidence that the
individual holds a license with a similar scope of practice in another state;
and
c. Evidence that the individual
is qualified under (a).
4. The expiration date of a license for a
deployed uniform service member or spouse will be extended for one hundred and
eighty (180) days following the date of the uniformed service member's return
from deployment.
5. A full
exemption from continuing education requirements will be allowed for a deployed
uniform service member or spouse until one hundred and eighty (180) days
following the date of the uniformed service member's return from deployment.
304
Definitions - Items Required for Registration or Renewal
A.
Application Forms: A properly
and fully completed application for initial registration or renewal must be
submitted to the Board office on a form prescribed by the Board.
1. No person who is registered under one (1)
name as provided in these regulations shall engage in business as a home
inspector under any other name unless the other name(s) is also included on the
most recent application and is also registered.
2. A person applying for registration for the
first time shall have their signature on their application witnessed by a
notary public and attested to thereon.
3. The application shall include by not be
limited to a listing of:
a. All current
licenses held that are issued by an agency of the State of Arkansas;
and
b. All current and past home
inspector licenses issued by an agency of any State government.
B.
Application
fees:1. The required registration or
registration renewal fee as specified in Section 204 above shall accompany the
application in the form of a check or money order. Applications received
without the appropriate fee may be returned without action.
2. The Board shall waive the initial
application fee if the applicant:
a. Is
receiving assistance though 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.
C.
Liability Insurance
Requirements1.
Coverage:
All registered home inspectors must maintain current general liability coverage
insurance in the amount of at least one hundred thousand dollars ($100,000.00)
issued by an insurance company licensed, or surplus lines approved, to do
business in the State of Arkansas.
2.
Reporting: It is the
responsibility of the home inspector to make sure that a certificate of active
general liability insurance coverage, as specified below, and proving coverage
of the home inspector, as defined above, has been physically received by the
Board office on or before the date of expiration of the coverage of the
previous certificate/policy. If the latest certificate of general liability
insurance on file with the Board reflects that the policy has expired, the
Board shall notify the home inspector by certified U.S. Mail upon such
expiration and concurrently the registration of that home inspector shall be
placed in Suspended Status, as required under A.C.A. §
17-52-318(d)(1)
until the home inspector complies with Section 304C herein. Until such time, it
shall be unlawful for the home inspector to conduct home inspections for a fee
in the state of Arkansas. If such certificate is not received by the Board by
the date of expiration of the pervious certificate/policy on file with the
Board, a delinquent renewal fee shall apply as specified in Section 204D2, and
the home inspector shall be listed on the Board website as Suspended as
required under A.C.A. §
17-52-318(d)(2).
3.
Specifications: An original
certificate of insurance must be delivered or mailed to the Board office (fax
or electronic copies are not permitted) which reflects that the applicant, or
registered home inspector, has procured the required general liability
insurance. The certificate must include the following information:
a. Name and address of the insured individual
home inspector (not just his or her company or employer).
b. Name of the insured's agent, agency,
business address, and telephone number.
c. Name of the firm providing the insurance
(the carrier).
d. Amount of each
type of coverage being provided.
e.
The insurance policy number.
f. The
"Arkansas Home Inspector Registration Board, P.O. Box 251911, Little Rock, AR
72225" must be named as the certificate holder.
g. The beginning and ending dates of the
coverage.
h. Signature of the
issuing agent.
D.
Pre-Registration Education:
1.
Requirements: The first-time
applicant shall submit documents with the application attesting to the
successful passage of a Board approved comprehensive preregistration home
inspector education curriculum consisting of no less than eighty (80) hours of
classroom/on-site instruction taken within the 12 months preceding the date of
receipt of their completed application for registration, as well as proof of
completion of an apprenticeship, unless waived by the Board, where all course
modules or topics are taken during one continuous period.
a. An apprenticeship shall include three
on-site inspections, at least one that includes an accessible attic, and one
that includes an accessible crawl space;
b. The apprenticeship shall not exceed a
total of ten (10) hours;
c. The
ratio shall be one apprentice home inspector applicant per one licensed,
experienced, home inspector;
d. The
apprenticeship requirement may be waived by the Board on its own motion or upon
written request of the applicant; and
e. A request of the Board to waive the
apprenticeship requirement shall not be an administrative hearing as
contemplated by the Arkansas Administrative Procedure Act. A.C.A. §
25-15-201,
et seq.
2.
Exemptions: The following
persons shall be exempt from the pre-registration education requirements for
initial registration, but not from the requirements concerning the competency
examinations. Appropriate verifiable documentation of all exemption criteria is
required.
a. City inspectors currently
certified by the International Code Council; and
b. Applicants who hold a current Residential
Contractor's license and have been licensed as a contractor for ten (10) years
prior to their date of application to become registered as a home
inspector.
E.
Competency Examinations: The first-time applicant shall submit
documents with the application attesting to the successful passage of the
following examinations, which must be taken in person at a facility designated
by each of the organizations providing the examinations:
1. The current version of the
National Home Inspector Examination (NIHE) as provided by the
Examination Board of Professional Home Inspectors, Inc., (
http://homeinspectionexam.org);
and
2. The current version of the
Standards and Ethics Examination as provided by the American
Society of Home Inspectors (
http://ashi.com).
F.
Continuing Education Credit
Reporting Form: The Board Continuing Education Credit Reporting Form
shall be completed in its entirety to list Board-approved completed courses and
that are being submitted for continuing education credit. It shall be submitted
along with certificates of completion from the provider(s) of the education
along with the inspector's registration renewal application each year. Copies
of the CEC Form, certificates, and other documents which substantiate the
continuing education hours submitted to the Board shall be retained by the
inspector for at least 2 years after submission.
G.
Inspection Reports: As stated
in A.C.A. §
17-52-307,
as part of an investigation or as a condition of renewal, the Board may require
an inspector to submit inspection reports and other documents to be reviewed by
the Board. Further, requests by the Board for copies of inspection reports
shall supersede any contract of client privacy of confidentiality, whether
written or oral.
305
Continuing Education
A.
General Requirements:
1. As a
condition of annual registration renewal, each home inspector who will have
been registered for twelve (12) months or more upon expiration of their current
registration shall have completed continuing education coursework as specified
herein.
2. The Board must approve
all courses prior to presentation in order for each to qualify for submission
for continuing education credit. It is the sole responsibility of the home
inspector to verify that any course is currently approved for credit by the
Board at the time it is taken. This can be accomplished by referencing the web
site of the Board at
www.ahib.org or
by telephoning the Board office at (501) 683-3710.
3. Each course must be completed in its
entirety by the registrant in order for any of the course credit hours to be
eligible for home inspector continuing education credit.
4. An inspector can claim continuing
education credits for a given course only once within two consecutive training
years, even if he or she has successfully completed the course multiple
times.
5. Upon appropriate showing
of a bona fide health or other hardship, the Board may consider and grant an
individual exception to the continuing education requirements.
a. Loss of income resulting from cancellation
of a license is not a bona fide hardship.
b. Requests for exceptions shall be submitted
in writing not less than sixty days prior to the date of license renewal and
shall include an explanation and verifiable documentation of the
hardship.
6. Submission
of a Continuing Education Credit Claim Form whose content cannot be
substantiated may be the basis for denial of the requested credit, denial of
registration renewal, or other disciplinary action by the Board.
B.
Annual Hours
Required: Fourteen (14) hours of continuing education coursework shall
be completed to fulfill annual registration renewal requirements as follows:
1.
Classroom Courses:
a. At least eight (8) hours of coursework
must be completed in person by the home inspector with a Board approved
instructor teaching the course face-to-face.
b. Classroom coursework must be completed
during the 24 months preceding the first day of the home inspector's next
Board-approved registration period.
c. Continuing education classroom course
credit may also be achieved by completing individual modules of a
Board-approved comprehensive preregistration classroom curriculum if
allowed/offered by the provider of such curriculum.
d. Continuing education classroom course
credit may also be achieved by the home inspector if he/she is in an
instructional setting that permits live realtime communication and interaction
with an instructor who is not face-to-face with the inspector, provided however
that the Board has approved the specific method whereby student attendance or
testing at the specific offering can be verified.
2.
Distance Learning Courses:
a. No more than six (6) hours of completed
coursework may be submitted for registration renewal credit that is completed
by written correspondence or through any means where the home inspector does
not have the ability to communicate/interact with the instructor in a live
real-time setting.
b. This
coursework must be completed during the 12 months preceding the first day of
the home inspector's next Board-approved registration period.
C.
Course Content
Required:1. Effective December 1,
2018, all home inspectors who will have been registered for at least sixty (60)
months preceding their next effective date of renewal shall have completed at
least two (2) hours of Board-approved continuing education in each of the
following core subject areas during the preceding forty-eight (48) months:
a. Structural Systems
b. Exterior
c. Roofing
d. Plumbing
e. Electrical
f. Heating
g. Air Conditioning
h. Interiors
i. Insulation and Ventilation
j. Fireplaces and Solid Fuel Burning
Appliances
k. The Standards of
Practice and Code of Ethics
l.
Report Writing
2.
Effective with those continuing education courses approved by the Board to be
offered beginning January 1, 2015, the Board shall designate which core subject
area that each course fulfills, and shall list the same with each approved
course on the Board website.
3.
Effective with the renewal of home inspector registrations for the 2016
calendar year, the Board staff shall provide the Board with a report of each
home inspector's continuing education record reflecting fulfillment of course
content requirements whenever an individual home inspector's registration is
being reviewed by the Board for any reason. Such report shall be transmitted to
the home inspector annually with their notice of renewal.
309
Certificates of
Registration
A.
General
Registration Reactivation: All registered home inspectors whose
registration is not in Good Standing Status and who desire to reactivate their
home inspector registration to Good Standing Status shall submit the items
enumerated below to the Board. However, those individuals whose registration
has been suspended for failure to submit proof of current general liability
insurance shall follow procedures as enumerated in Section 309E below. All
items must be submitted to the Board at least 30 days prior to the next
regularly scheduled meeting of the Board in order to be considered at that
meeting.
1. A properly completed application
for renewal of registration.
2. The
Registration Renewal fee, as defined in Section 204.
3. The Delinquent Renewal Application Fee, as
defined in Section 204, unless reactivating a registration on Inactive
Status.
4. The Board Attestation of
Abstinence Form, whereupon the individual swears that he or she has not
conducted home inspections from the date their registration was no longer in
Good Standing until the date of receipt of the application for
renewal.
5. Complete and exact
printed copies of the last three home inspection reports which were delivered
to clients while in Good Standing. Upon receipt of the these fully completed
items, designated members of the Board shall review the inspection reports
submitted to determine if the reports are in substantial compliance with the
Standards of Practice. If the reports do not comply with the Standards of
Practice, the Board may take appropriate action in accordance with 601
below.
6. Proof of having completed
continuing education which has been approved by the Board during the period
when his or her registration was not in Good Standing as follows:
a. 14 hours for the calendar year for which
the reactivation is requested, and
b. 7 hours for each calendar year (or portion
thereof) prior to the calendar year for which reactivation is
requested.
c. Continuing education
credit submitted to reactivate a registration may be earned in one lump sum
immediately prior to reactivation, or may be earned over the entire time period
while not in Good Standing. Regardless, all such credit requested shall conform
to the same proportions of classroom vs distance learning credit for Annual
Hours Required, and shall also fulfill all requirements for Course Content
Required. For the purpose of registration reactivation, and in the event of a
reasonable hardship, the Board may grant minor variance in the proportions of
classroom vs. distance learning credit, and the Course Content
Required.
B.
Chronology: Upon receipt of all items required above, the Board
staff shall prepare a concise summary in chronological order of the history of
the events whereby the applicant's Good Standing Status was discontinued. Said
summary shall be available for review by the Board at the meeting where the
reactivation shall be considered.
C.
Burden of Proof: The
applicant shall bear the burden of proof that they are rehabilitated following
the suspension, surrender, or revocation of their registration, that they can
engage in the conduct authorized by the registration without undue risk to the
public health, safety and welfare, and that they are otherwise qualified for
the license pursuant to A.C.A. §
17-52-301 et
seq.
D.
Conditions of
Reinstatement: The Board may impose any appropriate conditions or
limitations on a reinstatement to protect the public health, safety and
welfare, and may require that the person seeking reinstatement sit for and
successfully complete the competency examination.
E.
Registration Reactivation Following
Suspension for Failure to Submit Proof of Insurance:
1. All individuals whose registration has
been placed on Suspended Status due to failure to submit proof of current
general liability insurance to the Board office in accordance with these
regulations shall cause such proof to be delivered to the Board office. The
Board staff shall notify the registrant of receipt of such proof by no later
than the end of the business day following receipt. Upon such notification, the
registrant shall submit an original Board Attestation of Abstinence Form
whereupon the individual swears that he or she has not conducted home
inspections from the day after expiration of their previous general liability
insurance policy until the date of receipt of the new certificate of current
general liability insurance coverage. Such form shall be accompanied by the
appropriate Delinquent Certificate of Insurance Fee as specified in Section
204D2. Upon receipt of the original Attestation of Abstinence Form and
Delinquent Certificate of Insurance Fee, the Board staff shall concurrently
notify the registrant by telephone and standard mail that his or her
registration has been returned to Good Standing Status.\
401
Standards of
Practice
401.4
Exterior
1. The inspector shall:
A.
Inspect:
1. siding, flashing and trim.
2. all exterior doors.
3. attached or adjacent decks, balconies,
stoops, steps, porches, and their associated railings.
4. eaves, soffits, and fascias where
accessible from the ground level.
5. vegetation, grading, surface drainage, and
retaining walls that are likely to adversely affect the building.
6. adjacent or entryway walkways, patios, and
driveways.
B.
Describe:1.
siding.
2. The inspector is NOT
required to inspect:
A. screening, shutters,
awnings, and similar seasonal accessories.
B. fences.
C. geological or soil conditions.
D. recreational facilities.
E. outbuildings other than garages and
carports.
F. seawalls, break-walls,
and docks.
G. erosion control and
earth stabilization measures.
401.13
General Limitations
& Exclusions1. General
limitations:
A. The inspector is NOT required
to perform any action or make any determination not specifically stated in
these Standards of Practice
B.
Inspections performed in accordance with these Standards of Practice
1. are not technically exhaustive.
2. are not required to identify concealed
conditions, latent defects, or consequential damage(s)
C. These Standards of Practice are applicable
to buildings with four or fewer dwelling units and their garages or
carports.
2. General
exclusions:
A. Inspectors are NOT required to
determine:
1. conditions of systems or
components which are not readily accessible
2. remaining life expectancy of any system or
component
3. strength, adequacy,
effectiveness, or efficiency of any system or component
4. the causes of any condition or
deficiency
5. methods, materials,
or costs of corrections
6. future
conditions including, but not limited to, failure of systems and
components
7. the suitability of
the property for any specialized use
8. compliance with regulatory requirements
(codes, regulations, laws, ordinances, etc.)
9. market value of the property or its
marketability
10. the advisability
of purchase of the property
11. the
presence of potentially hazardous plants or animals including, but not limited
to, wood destroying organisms or diseases harmful to humans including molds or
mold like substances
12. the
presence of any environmental hazards including, but not limited to, toxins,
carcinogens, noise, and contaminants in soil, water, and air.
13. the effectiveness of any system installed
or method utilized to control or remove suspected hazardous
substances
14. operating costs of
systems or components
15.
acoustical properties of any system or component
16. soil conditions relating to geotechnical
or hydrologic specialties
B. Inspectors are NOT required to offer:
1. or perform any act or service contrary to
law
2. or perform engineering
services
3. or perform any trade or
any professional service other than home inspection
4. warranties or guarantees of any
kind
C. Inspectors are
NOT required to operate:
1. any system or
component which is shut down or otherwise inoperable
2. any system or component which does not
respond to normal operating controls
3. shut-off valves or manual stop
valves
D. Inspectors are
NOT required to enter:
1. any area which will,
in the opinion of the inspector, likely be dangerous to the inspector or other
persons or damage the property or its systems or components
2. under-floor crawl spaces or attics which
are not readily accessible
E. Inspectors are NOT required to inspect:
1. underground items including, but not
limited to underground storage tanks or other underground indications of their
presence, whether abandoned or active
2. items which are not installed
3. installed decorative items
4. items in areas which are not entered in
accordance with 401.13.2.D
5.
detached structures other than garages and carports
6. common elements or common areas in
multi-unit housing, such as condominium properties or cooperative
housing
F. Inspectors
are NOT required to:
1. perform any procedure
or operation which will, in the opinion of the inspector, likely be dangerous
to the inspector or other persons or damage the property or its systems or
components
2. describe or report on
any system or component which is not included in these standards and was not
inspected.
3. move personal
property, furniture, equipment, plants, soil, snow, ice, or debris.
4. dismantle any system or component, except
as explicitly required by these Standards of Practice.
401.14
Standards
of Practice Glossary
Siding
Exterior wall covering and cladding; such as: Aluminum, Asphalt,
Brick, Cement/Asbestos, Exterior Insulation & Finish system, Stone, Stucco,
Veneer, Vinyl, Wood, etc.
403
Home Inspection Reports:
A.
Identification: All written
or electronic home inspection reports presented to clients shall prominently
contain:
1. The printed name, registration
number, mailing address, and phone number of the home inspector;
2. The date of the inspection;
3. The full physical address of the inspected
property; and
4. The name of the
client.
B.
Content: All written or electronic home inspection reports
presented to clients shall, at a minimum, list each and every item required to
be inspected by the Standards of Practice. Each such item shall be displayed in
the report in a manner which indicates that the item has or has not been
inspected, along with any reason for not having been inspected. Any other item
listed in the report which is not required to be inspected by the Standards of
Practice shall also be displayed in a manner which indicates that the item has
or has not been inspected, or that the item is not present in the
home.
C.
Retention:
The home inspector shall retain an exact copy of all home inspection reports
presented to clients for a period of at least one (1) year following the date
of the inspection.
601
Grounds for Disciplinary Action: The Board may, upon its own
motion or upon written complaint of any person, and after notice and hearing as
prescribed by the Administrative Procedures Act, suspend or revoke the
registration of any registered home inspector, place the inspector on probation
contingent upon specified acts or conditions and issue a fine up to the amount
of $1,000 per occurrence for:
A. Violation of
any provision of A.C.A. §
17-52-301 et
seq. or any of these rules.
B.
Falsifying any application for registration or otherwise providing any false
information to the Board.
C.
Conviction in any jurisdiction of any misdemeanor involving moral turpitude or
of any felony. A plea of nolo contendere or no contest shall be considered a
conviction for the purposes of this section.
D. Any actions demonstrating
un-trustworthiness, incompetence, dishonesty, gross negligence, material
misrepresentation, fraud or unethical conduct in any dealings subject to A.C.A.
§
17-52-301 et
seq.;
E. Adjudication of
insanity;
F. Use of advertising or
solicitation which is false, misleading, or is otherwise deemed unprofessional
by the Board;
G. Employing directly
or indirectly any unregistered person to perform any actions subject to
regulation unless under the direct supervision of a properly registered home
inspector.
H. Habitual or excessive
use of intoxicants or illegal drugs;
I. Failure to meet continuing education
requirements within the proper time period.
J. Failure to complete inspection reports
which are in substantial compliance with the Standards of Practice or failure
to comply with the Code of Ethics.
710
Course Audits:
A.
The Board or its Chairman may appoint appropriately qualified persons to audit
educational courses. Letters of appointment will be provided to the auditors
for auditor identification and authorization purposes and to provide
instructions for the audit(s.)
B.
Any educational course offering which has been approved or is pending approval
by the Board may be audited. Such audits may be announced or unannounced to the
course provider. The provider will waive all fees for the course and any texts
or hand out materials. Upon completion of the audit, the auditor will prepare a
Results of Audit report and submit it to the Board as directed in his
appointment letter. The Board will notify course providers of the outcome of
such audits.
C. Failure of a
provider to substantially follow the course outline submitted with the approval
request may result in denial or revocation of Board approval. Likewise, the
Board may assign a probationary status to a course and request that specific
corrections be made. Follow-up audits may be made to evaluate whether
appropriate corrections have been made and whether further action is
warranted.
D. Auditors who
personally pay the attendance fees for a course which is approved may choose to
take continuing education credits and apply it to their annual requirement.
Otherwise, they may not claim the credits.