Current through September 18, 2024
3.6.1
Licenses
and Certifications
A. Denial of
Applications
1. Any person who neglects or
refuses to pay an administrative fine or penalty cannot obtain or renew any
Department-issued license or certification until all outstanding administrative
fines or penalties have been paid.
2. The Department may deny an application for
licensure or certification pursuant to this Part if the Department determines
that the applicant has not complied with or has not demonstrated the ability to
comply fully with all applicable requirements established by the Act and/or
this Part.
3. If the applicant
appeals the denial, a hearing will be scheduled in accordance with the
provisions of § 3.6.11 of this Part.
B. Action against a License or Certification
1. The Department may restrict, limit,
suspend, revoke, or take other disciplinary action against any license or
certification issued pursuant to Part 11 of this Subchapter in accordance with
R.I. Gen. Laws §
23-24.6-20(e) for
noncompliance with this Part, including, but not limited to:
a. False representation of credentials as an
appropriately licensed or certified lead professional;
b. Obtaining licensure or certification based
on misrepresentation or fraud;
c.
Using a license or certification for fraudulent, deceptive, or unethical
purposes;
d. Failure to discharge
activities in accordance with the Act or this Part, including employers who
fail to comply with applicable OSHA requirements;
e. Failure to meet requirements of this Part
and/or within the allotted time frame, including, but not limited to:
(1) Failure of a Lead Contractor or Lead
Renovation Firm to distribute appropriate pre-renovation education information
to owners and occupants required by EPA/HUD and this Part;
(2) Failure of a licensed lead professional
to notify the Department of any changes to information submitted in an
application for licensure or certification from the Department;
(3) Failure to successfully complete the
training required by this Part; and/or
(4) Failure of a Lead Inspector, Lead
Assessor, or Lead Renovator to distribute lead test results, lead inspection
reports, and/or lead certificates in accordance with the requirements of Part 5
of this Subchapter.
f.
Issuing fictitious results, reports, or certificates;
g. Failure to meet the terms or conditions of
any notice, order, or consent agreement with the Department; and
h. Any good cause within the meaning and
purpose of the Act or this Part.
2. A person whose license or certification
was issued by reciprocity shall immediately notify the Department in writing of
any final administrative action taken against the licensee by EPA or another
jurisdiction during the term of said license. The Department may subject the
license by reciprocity to such action taken by EPA or the other jurisdiction.
3. A person whose license or
certification is restricted, limited, suspended, or revoked may request a
hearing in accordance with the administrative procedures contained in §
3.6.11 of this Part.
4. Any person
who is subject to a Cease Work Order has the right to request an administrative
hearing, in writing, within thirty (30) days of the order.
5. No request for a hearing on an Immediate
Compliance Order can be made.
3.6.2
Failure to Comply
A. The following violations are acts of
noncompliance for which the Department may initiate an enforcement response
against an owner, their agent, or another regulated person:
1. Failure to maintain the premises of a
regulated facility in a lead-safe condition;
2. Failure of a non-exempt residential rental
unit or child care facility to have an appropriate lead certificate;
3. Failure to comply with the lead disclosure
requirements in §
3.5 of this Part;
4. Failure to grant access to a premise for
inspection by State Inspectors or the Department's duly authorized designees,
upon presenting identification and appropriate credentials;
5. Failure to hire appropriately licensed or
certified lead professionals to conduct regulated activities;
6. Failure of a person conducting regulated
activities to be appropriately licensed or certified, pursuant to this Part 11
of this Subchapter;
7. Failure to
comply with the requirements of any Department-issued or approved lead
professional license or certification;
8. Failure to comply with the terms of any
Department notice, order, or consent agreement and/or by the deadline specified
in the notice, order, or consent agreement;
9. Failure to establish, maintain, and/or
provide the Department access to the records required by this Part; and
10. Failure to adhere to any other
applicable conditions or requirements of this Part.
3.6.3
Enforcement
Response
A. Whenever the Department
determines that any person fails to comply with any requirements of the Act,
this Part, or any Department-issued notice, order, consent agreement, license
or certification, the Department may pursue enforcement action pursuant to this
Part, to correct the noncompliance and/or impose a fine or penalty.
B. All fines and/or penalties will be
assessed in accordance with the provisions of the Department's Penalty Matrix
in § 3.6.5(C) of this Part below.
C. The Department can also refer the
noncompliance to OSHA, EPA, HUD, the Rhode Island Department of Attorney
General, other State agencies, district courts, and/or local municipalities for
additional enforcement actions.
D.
Nothing contained in this Section shall limit the Department from requiring
immediate compliance with any and all terms of an order, when, in the
Department's discretion, circumstances present an immediate risk to the health
or safety of a child, workers in or occupants of a building toward which the
order is directed, and/or the general public.
3.6.4
Enforcement Options
A. Pursuant to the authorities defined in
R.I. Gen. Laws Chapters 23-1 and 23-24.6, the Department may pursue any
combination of administrative and/or judicial enforcement actions, depending
upon the circumstances and gravity of each case, including, but not limited to:
1. Enforcement of compliance with this Part
and the Act;
2. Determination and
prioritization of properties with "clear and significant health risks" where
there have been instances of childhood lead poisoning;
3. Issuance of compliance notices or orders,
including but not limited to:
a. Notice of
Violation;
b. Second Notice of
Violation;
c. Notice of
Noncompliance;
d. Cease Work Order;
and/or
e. Immediate Compliance
Order.
4. Assessment of
administrative fines and penalties;
5. Recording a notice, order, or consent
agreement as a Notice of Lis
Pendens against
the title of the property, and/or recording any outstanding fees or
administrative penalties as a lien against the property with the Registry of
Deeds in the municipality where the property is located;
6. Coordination of enforcement actions
including, but not limited to the following State, Federal and local agencies:
a. Municipal building officials;
b. Municipal housing code
enforcement;
c. Rhode Island
Department of Environmental Management (DEM);
d. Rhode Island Contractor's Registration and
Licensing Board (CRLB);
e. Rhode
Island Department of Business Regulation (DBR);
f. US Environmental Protection Agency
(EPA);
g. US Department of Housing
and Urban Development (HUD); and/or
h. US Occupational Safety and Health
Administration (OSHA).
7.
Pursuit of criminal or civil remedies through the Department of Attorney
General, district courts, or municipal courts;
8. Revocation, suspension, limitation,
restriction, or other disciplinary action regarding a license or certification
issued pursuant to Part 11 of this Subchapter; and/or
9. Invalidation of a lead certificate or
inspection exemption issued pursuant to this Part 5 of this Subchapter;
and/or
10. Suspension or revocation
of database access for Lead Inspectors or Lead Assessors to issue lead
certificates.
B. Nothing
herein shall preclude the Department from resolving outstanding violations or
penalties through a consent agreement at any time the Department deems
appropriate.
C. The imposition of
one (1) or more remedies and/or penalties provided shall not prevent the
Department from jointly exercising any other remedy available, except:
1. Fines or penalties levied pursuant to R.I.
Gen. Laws §
23-24.6-27 shall be in lieu of any
administrative fines or penalties issued pursuant to R.I. Gen. Laws §
45-24.3-18(a),
and
2. No municipality shall issue
any fine or penalty for the same violation.
3.6.5
Penalties
A. Applicability and Scope
1. Pursuant to the provisions of R.I. Gen.
Laws §
23-24.6-27, the Department may
impose an administrative fine or penalty of up to five thousand dollars
($5,000.00) per violation per day for each current or past violation of:
a. The Act or any Regulations promulgated
pursuant to the Act; and/or
b. Any
notices, orders, or consent agreements issued pursuant to the Act or this
Part.
2. The Department,
in its discretion, may adjust the fine or penalty upward or downward based on
the criteria listed in this Section, provided that no fine or penalty exceeds
five thousand dollars ($5,000.00) per violation per day.
B. Assessment of Fines and Penalties
1. The total amount of any administrative
fine or penalty to be levied shall be calculated according to the guidelines in
this Section and provided in the Department's Penalty Matrix in § 3.6.5(C)
of this Part below.
2. The penalty
may be based on the gravity of the violation. That portion will be calculated
according to the applicable "Penalty Matrix" in § 3.6.5(C) of this Part.
The applicable penalty range is reached by first determining the "Type of
Violation" and the "Deviation from the Standard" of the alleged
violation.
3. "Type of Violation" -
refers to the nature of the legal requirement allegedly violated.
a. Type I violations include violations of
legal requirements identified by the Department as directly related to the
protection of the public health, safety, welfare or environment. Such
violations include, but are not necessarily limited to:
(1) Acts which pose an actual or potential
for harm to the public health, safety, welfare or the environment;
(2) Acts or failures to act which are of
major importance to the regulatory program;
(3) Any failure to obtain a required license
or approval from the Department;
(4) Any failure to report an unauthorized
activity which actually or potentially threatens the public health, safety,
welfare or the environment;
(5) Any
failure to take remedial action to mitigate a known or suspected harm;
and/or
(6) Any failure to comply
with an order of the Department which is presently enforceable.
b. Type II violations include
violations of legal requirements identified by the Department as important but
indirectly related to the protection of the public health, safety, welfare or
environment. Such violations include, but are not necessarily limited to:
(1) Acts which pose an indirect actual or
potential for harm to the public health, safety, welfare or the
environment;
(2) Acts or failures
to act which are of moderate importance to the regulatory program;
and/or
(3) Failure to comply with
any procedure required by any law administered by the Department, or by a Rule
or Regulation adopted pursuant to the Department's authority for the prevention
of harm to the public health, safety, welfare or the environment.
c. Type III violations include
violations of legal requirements identified by the Department as important but
incidental to the protection of public health, safety, welfare or the
environment. Such violations include, but are not necessarily limited to:
(1) Acts of noncompliance with inspection
standards, reporting requirements or methods which are incidental to the
Department's ability and obligation to enforce the laws administered by the
Department.
4.
"Deviation of the standard" - refers to the degree to which the violation is
out of compliance with the legal requirement allegedly violated. The Deviation
from the Standard may be determined without consideration of factor (I)
enunciated below in cases of strict liability. In all other cases, the
Department's assessment of whether a violation is a minor, moderate or major
deviation from the standard is based upon an evaluation of one (1) or more of
the following factors except to the extent already considered:
a. The extent to which the act or failure to
act was out of compliance;
b.
Environmental conditions;
c. The
amount of the pollutant;
d. The
toxicity or nature of the pollutant;
e. The duration of the violation;
f. The areal extent of the
violation;
g. Whether the person
took reasonable and appropriate steps to prevent and/or mitigate the
non-compliance;
h. Whether the
person has previously failed to comply with any Regulations, order, statute,
license, permit or approval issued or adopted by the Department, or any law
which the Department has the authority or responsibility to enforce;
i. The degree of willfulness or negligence,
including but not limited to, how much control the violator had over the
occurrence of the violation and whether the violation was foreseeable;
j. Any other factor(s) that may be
relevant in determining the amount of a penalty, provided that said other
factor(s) shall be set forth in the Notice of Violation or other written notice
of the assessment of a penalty.
C. Penalty Matrix
TYPE OF
VIOLATION |
|
I |
II |
III |
MAJOR |
Up to $5,000.00 |
Up to $2,500.00 |
Up to $1,000.00 |
DEVIATION FROM THE STANDARD
|
MODERATE |
$2,500.00 To $1,000.00 |
$1,000.00 To $500.00 |
$500.00 To $100.00 |
MINOR |
Up to $1,000.00 |
Up to $500.00 |
Up to $100.00 |
1. Multiple
Violations. For the purposes of determining the total administrative fine or
penalty to be assessed:
a. Each violation at
any premises may, within the Department's discretion, be considered as a
separate violation.
b. When
multiple violations of this Part or of any notice, order, or consent agreement
issued by the Department are to be counted as separate violations, each act is
counted as separate and distinct from any other act:
(1) By its nature;
(2) Time or place; or
(3) Risk of harm to the public
health.
c. When
applicable, the period for calculating the fine or penalty for a violation
begins on the day following the:
(1) Receipt
or posting of a notice or order issued by the Department;
(2) Expiration of a compliance
period;
(3) Expiration of a consent
agreement; or
(4) Expiration of an
extension of a compliance period or consent agreement.
d. Each day of a continued violation may be
considered a separate violation and compounded for each day during which the
violation is repeated, continued, or remains in place.
D. Criteria for Assessment of
Fines and Penalties
1. In deciding whether to
assess an administrative fine or penalty the Department, in its discretion, may
weigh the relevance of each factor in any case, as well as the amount of any
such administrative fine or penalty. The Department shall consider, but not be
limited to, the following:
a. The ability of
the violator to comply;
b. The
willfulness of the violation(s);
c.
The total number of violations;
d.
The cumulative number of days of noncompliance;
e. Any prior record of noncompliance with any
Regulation, notice, order, consent agreement, license or certification issued
or adopted by the Department;
f.
The economic benefit derived by the violator from noncompliance;
g. Any costs incurred by the State related to
the investigation and enforcement of the noncompliance;
h. The ability of the violator to pay
potential fines and penalties;
i.
Actual or potential injury to public health and safety; and/or
j. Any other factors that the Department
considers relevant.
E. Payment of Fines and Penalties
1. Unless another time period is specified in
the Department's order, any administrative fine or penalty assessed pursuant to
this Section shall be due and payable within thirty (30) days of service of the
notice of the order.
2. If the
person named in the order requests a hearing, pursuant to R.I. Gen. Laws
Chapter 23-24.6, within thirty (30) days of receipt of the notice of the order
the thirty (30) day payment period shall be stayed pending a hearing on the
matter.
3. All payments must be
made in the form of a cashier's check, certified check, money order, or any
other method approved by the Department, payable to: General Treasurer, State
of Rhode Island.
F.
Failure to Pay
1. If, after demand, any
person assessed an administrative fine or penalty pursuant to this Section
neglects or refuses to pay, the assessed amount together with interest and any
other costs that may accrue will be a lien filed in favor of the State upon:
a. The violator's current and future Rhode
Island income tax refunds; and/or
b. The violator's real property subject to
the order, recorded with the Registry of Deeds in the municipality where the
property is located.
3.6.6
Extension of Compliance
Period
A. Requests for extensions to
the compliance period specified in a Department- issued notice, order, or
consent agreement, shall be made in writing to the Department.
B. Extensions may be granted, at the
discretion of the Department, based on the circumstances of a case and if an
extension is not considered to pose a threat to the health or safety of
children, other occupants of the building, and/or the general public.
C. Owners who request an extension
to the compliance period specified in a Department-issued notice or order,
shall enter into a consent agreement with the Department and complete temporary
lead hazard control measures within a time frame approved by the
Department.
D. In deciding whether
to grant an extension, as well as any condition(s) attached to such an
extension, the Department shall consider, but not be limited to, the following
factors:
1. The current threat to public
health posed by the violation(s);
2. The severity of the
violation(s);
3. The progress made
toward correcting the violation(s); and
4. Any prior or concurrent instances of
noncompliance by the person named in the notice, order, or agreement.
E. Persons, who fail to
comply with the terms of this Part, or a Department-issued notice, order, or
consent agreement, may be subject to additional escalated enforcement action by
the Department, DEM, CRLB, OSHA, Department of the Attorney General, and/or the
municipality where the violation occurred.
F. Unless an extension is granted by the
Department in writing, the Department may assess a fine or penalty for failure
to comply with this Part, or a Department-issued notice, order, or consent
agreement, by the compliance period or deadline specified in a
Department-issued notice, order, or consent agreement.
G. The Department may declare any extension
granted pursuant to this Section immediately null and void if the Department
determines that the terms of the notice, order, or consent agreement have been
violated.
3.6.7
Injunctive Relief
A. If an owner
fails to comply with the lead-safe standards of Part 5 of this Subchapter, as
applicable:
1. Households of an "at risk
occupant" may seek injunctive relief from a court with jurisdiction against the
owner in the form of a court order to compel compliance with the requirements
for lead hazard mitigation, lead hazard control or lead hazard reduction, as
applicable.
2. Such cases brought
before the court shall be granted an accelerated hearing.
3.6.8
Equal Access to
Justice The Department's Rules and Regulations Relating to Equal Access
to Justice (Part 10-05-3 of this Title) define the process and procedures to
carry out the provisions of R.I. Gen. Laws Chapter 42-92 and provide for equal
access to justice for small businesses and individuals.
3.6.9
Declaratory Rulings
A. In accordance with R.I. Gen. Laws §
42-35-8, any person affected by
any statutory provision administered by the Department or affected by any Rule
or order of the Department and this Part, may petition the Department for a
declaratory ruling as to the applicability of such statute, Rule or order. The
petition shall clearly and concisely identify:
1. The precise statute, Rule, or order under
which a declaratory ruling is sought;
2. How the petitioner is affected by the
statute, Rule, or order; and
3. The
petitioner's position on how the applicable statute, Rule, or order should be
interpreted, including citations to any applicable documents or law that
support the petitioner's position.
3.6.10
Variance from this Part
A. A variance from compliance with one (1) or
more provisions of this Part may be granted by the Department in a specific
case, either upon its own motion or upon the request of an applicant, if the
Department determines that a literal enforcement of the provision(s) would
result in unnecessary hardship to a regulated person and that such a variance
will not be contrary to the public health or public interest.
B. A request for a variance must be filed by
an applicant in writing, setting forth in detail the basis upon which the
request is made. The applicant must further certify that the measures taken
pursuant to the variance will be as protective of public health as this
Part.
C. After filing of a request
for a variance with the Department, and within thirty (30) days thereafter, the
Department shall notify the applicant of its approval or denial, unless the
Department has indicated that additional time is needed.
D. If the applicant appeals the denial, a
hearing will be scheduled in accordance with the provisions of § 3.6.11 of
this Part.
E. The Department may
declare any variance granted pursuant to this Section immediately null and void
if the Department determines that the terms of the variance have been violated.
3.6.11
Administrative Hearing and Judicial Review
A. Any person who is subject to enforcement
action by the Department or who is otherwise aggrieved by a final decision of
the Department has the right to request an administrative hearing to contest
the action or decision, provided that no request for a hearing on an immediate
compliance order issued pursuant to R.I. Gen. Laws §
23-1-21 may be made.
B. Any request for a hearing must be made in
writing and must be received by the Department within thirty (30) days of
service of the Department's notice or order. Failure to make a timely request
for a hearing or electing to waive such a hearing shall result in a final order
of the Department.
C. If a timely
request for a hearing is made, the hearing shall be conducted in accordance
with the provisions of R.I. Gen. Laws Chapter 42-35 and Rules and Regulations
Governing the Practices and Procedures before the Department of Health (Part
10-05-4 of this Title).
D.
Judicial review of any final decision of the Administrative Hearing Officer
shall be available in accordance with R.I. Gen. Laws §
42-35-15.