2013 Oklahoma Statutes
Title 59 - Professions and Occupations


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<html> <head> <STYLE type="text/css"> body {padding-left:90pt;width:612pt} p {margin-top:0pt;margin-bottom:0pt} .cls12 {font-family:'Courier New', monospace;} .cls13 {font-size:12pt;} .cls0 {font-size:12pt;font-family:'Courier New', monospace;} .cls2 {margin-left:100pt;} .cls8 {margin-left:100pt;margin-right:181pt;} .cls3 {margin-left:136pt;} .cls9 {margin-left:136pt;margin-right:177pt;} .cls14 {margin-left:144pt;} .cls25 {margin-left:172pt;} .cls24 {margin-left:23pt;} .cls7 {margin-left:28pt;} .cls32 {margin-left:28pt;margin-right:28pt;} .cls10 {margin-left:2pt;} .cls22 {margin-left:310pt;margin-right:2pt;} .cls26 {margin-left:43pt;} .cls4 {margin-left:43pt;margin-right:182pt;} .cls17 {margin-left:43pt;margin-right:186pt;} .cls20 {margin-left:43pt;margin-right:226pt;} .cls21 {margin-left:43pt;margin-right:231pt;} .cls28 {margin-left:57pt;margin-right:160pt;} .cls18 {margin-left:57pt;margin-right:164pt;} .cls29 {margin-left:57pt;margin-right:166pt;} .cls31 {margin-left:57pt;margin-right:172pt;} .cls30 {margin-left:57pt;margin-right:178pt;} .cls16 {margin-left:64pt;} .cls19 {margin-left:64pt;margin-right:164pt;} .cls27 {margin-left:64pt;margin-right:185pt;} .cls5 {margin-left:86pt;} .cls15 {margin-left:93pt;} .cls6 {margin-right:343pt;} .cls11 {margin-right:4pt;} .cls23 {text-align:center;} .cls1 {text-align:justify;} </STYLE> <title>&sect;59-15</title> </head> <body> <p><span class="cls0">&sect;59-15.1. Short title - Declaration of policy.&nbsp;</span></p> <p><span class="cls0">Section 15.1 et seq. of this title shall be known and may be cited as the &ldquo;Oklahoma Accountancy Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">In order to protect the citizens of this state, the Legislature hereby declares that it is the policy of this state, and the purpose of this act, to promote the reliability of information that is used for guidance in financial transactions or for accounting for or assessing the financial status or performance of commercial, noncommercial and governmental enterprises. The public interest requires that persons professing special competence in accountancy or offering assurance as to the reliability or fairness of presentation of such information shall have demonstrated their qualifications to do so, that persons who have not demonstrated and maintained such qualifications, not be permitted to represent themselves as having such special competence or to offer such assurance, that the conduct of registrants as having special competence in accountancy be regulated in all aspects of their professional work, that a public authority competent to prescribe and assess the qualifications and to regulate the conduct of registrants be established, and that the use of titles that have a capacity or tendency to deceive the public as to the status or competence of the persons using such titles be prohibited.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 1, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 1, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 1, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 1, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 1, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.1A. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Accountancy Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Accountancy&rdquo; means the profession or practice of accounting;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;AICPA&rdquo; means the American Institute of Certified Public Accountants;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Applicant&rdquo; means an individual or entity that has made application to the Board for a certificate, license, or permit and said application has not been approved;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Assurance&rdquo; means independent professional services that improve the quality of information, or its context, for decision makers;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Attest&rdquo; means providing the following financial statement services:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any audit or other engagement to be performed in accordance with the Statements on Auditing Standards (SAS),&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;any review of a financial statement to be performed in accordance with the Statements on Standards for Accounting and Review Services (SSARS),&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any report performed in accordance with the Statements on Standards for Attestation Engagements (SSAE), and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;any engagement to be performed in accordance with the Auditing Standards of the Public Company Accounting Oversight Board (PCAOB).&nbsp;</span></p> <p><span class="cls0">The statements on standards specified in this definition shall be adopted by reference by the Board pursuant to rulemaking and shall be those developed for general application by recognized national accountancy organizations, such as the AICPA, IFAC and the PCAOB;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Audit&rdquo; can only be performed by an individual or entity who is registered with the Board and holding a valid permit issued pursuant to the Oklahoma Accountancy Act, or an individual granted practice privileges under Section 15.12A of this title, and means a systematic investigation or appraisal of information, procedures, or operations performed in accordance with generally accepted auditing standards in the United States, for the purpose of determining conformity with established criteria and communicating the results to interested parties;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Board&rdquo; means the Oklahoma Accountancy Board;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Candidate&rdquo; means an individual who has been qualified and approved by the Board to take an examination for a certificate or license;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Certificate&rdquo; means the Oklahoma document issued by the Board to a candidate upon successful completion of the certified public accountant examination designating the holder as a certified public accountant pursuant to the laws of Oklahoma. &ldquo;Certificate&rdquo; shall also mean the Oklahoma document issued by reciprocity to an individual who has previously been certified in another jurisdiction;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Certified public accountant&rdquo; means any person who has received a certificate from the Board or other jurisdictions;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Client&rdquo; means the individual or entity which retains a registrant, an individual granted practice privileges under Section 15.12A of this title, or a firm exempt from the permit and registration requirements under Section 15.15C of this title to perform professional services;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Compilation&rdquo; when used with reference to financial statements, means presenting information in the form of financial statements which is the representation of management or owners without undertaking to express any assurance on the statements;&nbsp;</span></p> <p><span class="cls0">13. &ldquo;CPA&rdquo; or &ldquo;C.P.A.&rdquo; means certified public accountant;&nbsp;</span></p> <p><span class="cls0">14. &ldquo;Designated manager&rdquo; means the individual domiciled in Oklahoma and appointed by the firm partners or shareholders to be responsible for the administration of the office;&nbsp;</span></p> <p><span class="cls0">15. &ldquo;Designee&rdquo; means the National Association of State Boards of Accountancy (NASBA) or other entities so designated by the Board;&nbsp;</span></p> <p><span class="cls0">16. &ldquo;Entity&rdquo; means an organization whether for profit or not, recognized by the State of Oklahoma to conduct business;&nbsp;</span></p> <p><span class="cls0">17. &ldquo;Examination&rdquo; means the test sections of Auditing and Attestation, Business Environment and Concepts, Financial Accounting and Reporting, and Regulation or their successors, administered, supervised, and graded by, or at the direction of, the Board or other jurisdiction that is required for a certificate as a certified public accountant or a license as a public accountant;&nbsp;</span></p> <p><span class="cls0">18. &ldquo;Executive director&rdquo; means the chief administrative officer of the Board;&nbsp;</span></p> <p><span class="cls0">19. &ldquo;Financial statements&rdquo; means statements and footnotes related thereto that undertake to present an actual or anticipated financial position as of a point in time, or results of operations, cash flow, or changes in financial position for a period of time, in conformity with generally accepted accounting principles or another comprehensive basis of accounting. The term does not include incidental financial data included in management advisory service reports to support recommendations to a client; nor does it include tax returns and supporting schedules;&nbsp;</span></p> <p><span class="cls0">20. &ldquo;Firm&rdquo; means an entity that is either a sole proprietorship, partnership, professional limited liability company, professional limited liability partnership, limited liability partnership or professional corporation, or any other professional form of organization organized under the laws of the State of Oklahoma or the laws of another jurisdiction and issued a permit in accordance with Section 15.15A of this title or exempt from the permit requirement under Section 15.15C of this title, including individual partners or shareholders, that is engaged in accountancy;&nbsp;</span></p> <p><span class="cls0">21. &ldquo;Holding out&rdquo; means any representation by an individual that he or she holds a certificate or license and a valid permit, or by an entity that it holds a valid permit. Any such representation is presumed to invite the public to rely upon the professional skills implied by the certificate or license and valid permit in connection with the services or products offered;&nbsp;</span></p> <p><span class="cls0">22. &ldquo;Home office&rdquo; means the location specified by the client as the address to which a service described in Section 15.12A of this title is directed;&nbsp;</span></p> <p><span class="cls0">23. &ldquo;IFAC&rdquo; means the International Federation of Accountants;&nbsp;</span></p> <p><span class="cls0">24. &ldquo;Individual&rdquo; means a human being;&nbsp;</span></p> <p><span class="cls0">25. &ldquo;Jurisdiction&rdquo; means any state or territory of the United States and the District of Columbia;&nbsp;</span></p> <p><span class="cls0">26. &ldquo;License&rdquo; means the Oklahoma document issued by the Board to a candidate upon successful completion of the public accountant examination designating the holder as a public accountant pursuant to the laws of Oklahoma. &ldquo;License&rdquo; shall also mean the Oklahoma document issued by the Board by reciprocity to a public accountant who has previously been licensed by examination in another jurisdiction;&nbsp;</span></p> <p><span class="cls0">27. &ldquo;Management advisory services&rdquo;, also known as &ldquo;management consulting services&rdquo;, &ldquo;management services&rdquo;, &ldquo;business advisory services&rdquo; or other similar designation, hereinafter collectively referred to as &ldquo;MAS&rdquo;, means the function of providing advice and/or technical assistance, performed in accordance with standards for MAS engagements and MAS consultations such as those issued by the American Institute of Certified Public Accountants, where the primary purpose is to help the client improve the use of its capabilities and resources to achieve its objectives including but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;counseling management in analysis, planning, organizing, operating, risk management and controlling functions,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;conducting special studies, preparing recommendations, proposing plans and programs, and providing advice and technical assistance in their implementation,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;reviewing and suggesting improvement of policies, procedures, systems, methods, and organization relationships, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;introducing new ideas, concepts, and methods to management.&nbsp;</span></p> <p><span class="cls0">MAS shall not include recommendations and comments prepared as a direct result of observations made while performing an audit, review, or compilation of financial statements or while providing tax services, including tax consultations;&nbsp;</span></p> <p><span class="cls0">28. &ldquo;NASBA&rdquo; means the National Association of State Boards of Accountancy;&nbsp;</span></p> <p><span class="cls0">29. &ldquo;PA&rdquo; or &ldquo;P.A.&rdquo; means public accountant;&nbsp;</span></p> <p><span class="cls0">30. &ldquo;Partnership&rdquo; means a contractual relationship based upon a written, oral, or implied agreement between two or more individuals who combine their resources and activities in a joint enterprise and share in varying degrees and by specific agreement in the management and in the profits or losses. A partnership may be general or limited as the laws of this state define those terms;&nbsp;</span></p> <p><span class="cls0">31. &ldquo;PCAOB&rdquo; means the Public Company Accounting Oversight Board;&nbsp;</span></p> <p><span class="cls0">32. &ldquo;Peer Review&rdquo; means a review performed pursuant to a set of peer review rules established by the Board. The term &ldquo;peer review&rdquo; also encompasses the term &ldquo;quality review&rdquo;;&nbsp;</span></p> <p><span class="cls0">33. &ldquo;Permit&rdquo; means the written authority granted annually by the Board to individuals or firms to practice public accounting in Oklahoma, which is issued pursuant to the Oklahoma Accountancy Act;&nbsp;</span></p> <p class="cls2"><span class="cls0">34.&nbsp;&nbsp;a.&nbsp;&nbsp;&ldquo;Practice of public accounting&rdquo;, also known as &ldquo;practice public accounting&rdquo;, &ldquo;practice&rdquo; and &ldquo;practice accounting&rdquo;, refers to the activities of a registrant, an individual granted practice privileges under Section 15.12A of this title, or a firm exempt from the permit and registration requirements under Section 15.15C of this title in reference to accountancy. An individual or firm shall be deemed to be engaged in the practice of public accounting if the individual or firm holds itself out to the public in any manner as one skilled in the knowledge, science, and practice of accounting and auditing, taxation and management advisory services and is qualified to render such professional services as a certified public accountant or public accountant, and performs the following:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;maintains an office for the transaction of business as a certified public accountant or public accountant,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;offers to prospective clients to perform or who does perform on behalf of clients professional services that involve or require an audit, verification, investigation, certification, presentation, or review of financial transactions and accounting records or an attestation concerning any other written assertion,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;prepares or certifies for clients reports on audits or investigations of books or records of account, balance sheets, and other financial, accounting and related schedules, exhibits, statements, or reports which are to be used for publication or for the purpose of obtaining credit, or for filing with a court of law or with any governmental agency, or for any other purpose,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;generally or incidentally to the work described herein, renders professional services to clients in any or all matters relating to accounting procedure and to the recording, presentation, or certification of financial information or data,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;keeps books, or prepares trial balances, financial statements, or reports, all as a part of bookkeeping services for clients,&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;prepares or signs as the tax preparer, tax returns for clients, consults with clients on tax matters, conducts studies for clients on tax matters and prepares reports for clients on tax matters, unless the services are uncompensated and are limited solely to the registrant&rsquo;s, or the registrant&rsquo;s spouse&rsquo;s lineal and collateral heirs,&nbsp;</span></p> <p class="cls3"><span class="cls0">(7)&nbsp;&nbsp;prepares personal financial or investment plans or provides to clients products or services of others in implementation of personal financial or investment plans, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(8)&nbsp;&nbsp;provides management advisory services to clients.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Except for an individual granted practice privileges under Section 15.12A of this title or a firm exempt from the permit and registration requirements under Section 15.15C of this title, an individual or firm not holding a certificate, license or permit shall not be deemed to be engaged in the practice of public accounting if the individual or firm does not hold itself out, solicit, or advertise for clients using the certified public accountant or public accountant designation and engages only in the following services:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;keeps books, or prepares trial balances, financial statements, or reports, provided such instruments do not use the terms &ldquo;audit&rdquo;, &ldquo;audited&rdquo;, &ldquo;exam&rdquo;, &ldquo;examined&rdquo;, &ldquo;review&rdquo; or &ldquo;reviewed&rdquo; or are not exhibited as having been prepared by a certified public accountant or public accountant. Except for an individual granted practice privileges under Section 15.12A of this title or a firm exempt from the permit and registration requirements under Section 15.15C of this title, nonregistrants may use the following disclaimer language in connection with financial statements and be in compliance with the Oklahoma Accountancy Act: &ldquo;I (we) have not audited, examined or reviewed the accompanying financial statements and accordingly do not express an opinion or any other form of assurance on them.&rdquo;,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;prepares or signs as the tax preparer, tax returns for clients, consults with clients on tax matters, conducts studies for clients on tax matters and prepares reports for clients on tax matters,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;prepares personal financial or investment plans or provides to clients products or services of others in implementation of personal financial or investment plans, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;provides management advisory services to clients.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Only permit holders, individuals granted practice privileges under Section 15.12A of this title, or firms exempt from the permit and registration requirements under Section 15.15C of this title may render or offer to render any attest service, as defined herein, or issue a report on financial statements which purport to be in compliance with the Statements on Standards for Accounting and Review Services (SSARS). This restriction shall not prohibit any act of a public official or public employee in the performance of that person&rsquo;s duties. This restriction shall not be construed to prohibit the performance by any unlicensed individual of other services as set out in subparagraph b of this paragraph.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;A person is not deemed to be practicing public accounting within the meaning of this section solely by displaying an Oklahoma CPA certificate or a PA license in an office, identifying himself or herself as a CPA or PA on letterhead or business cards, or identifying himself or herself as a CPA or PA. However, the designation of CPA or PA on such letterheads, business cards, public signs, advertisements, publications directed to clients or potential clients, or financial or tax documents of a client constitutes the practice of public accounting and requires a permit, practice privileges under Section 15.12A of this title, or an exemption from the permit and registration requirements under Section 15.15C of this title;&nbsp;</span></p> <p><span class="cls0">35. &ldquo;Preissuance review&rdquo; means a review preformed pursuant to a set of procedures that include review of engagement document, report, and clients&rsquo; financial statements in order to permit the reviewer to assess compliance with all applicable professional standards;&nbsp;</span></p> <p><span class="cls0">36. &ldquo;Principal place of business&rdquo; means the office location designated by the licensee for the purposes of substantial equivalency and reciprocity;&nbsp;</span></p> <p><span class="cls0">37. &ldquo;Professional corporation&rdquo; means a corporation organized pursuant to the laws of this state;&nbsp;</span></p> <p><span class="cls0">38. &ldquo;Professional&rdquo; means arising out of or related to the specialized knowledge or skills associated with CPAs or PAs;&nbsp;</span></p> <p><span class="cls0">39. &ldquo;Public accountant&rdquo; means any individual who has received a license from the Board;&nbsp;</span></p> <p><span class="cls0">40. &ldquo;Public interest&rdquo; means the collective well-being of the community of people and institutions the profession serves;&nbsp;</span></p> <p><span class="cls0">41. &ldquo;Qualification applicant&rdquo; means an individual who has made application to the Board to qualify to become a candidate for examination;&nbsp;</span></p> <p><span class="cls0">42. &ldquo;Registrant&rdquo; means a CPA, PA, or firm composed of certified public accountants or public accountants or combination of both currently registered with the Board pursuant to the authority of the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">43. &ldquo;Report&rdquo;, when used with reference to financial statements, or specified elements, accounts or items of a financial statement, means an opinion, report or other form of language that states or implies assurance as to the reliability of any financial statements, or specified elements, accounts or items of a financial statement, and that also includes or is accompanied by any statement or implication that the person or firm issuing it has special knowledge or competence in accounting or auditing. Such a statement or implication of special knowledge or competence may arise from use by the issuer of the report of names or titles indicating that the person or firm is an accountant or auditor, or from the language of the report itself. The term &ldquo;report&rdquo; includes any form of language which disclaims an opinion when such form of language is conventionally understood to imply any positive assurance as to the reliability of the financial statements referred to and/or special competence on the part of the person or firm issuing such language; and it includes any other form of language that is conventionally understood to imply such assurance and/or such special knowledge or competence. This definition is not intended to include a report on financial statements prepared by a person not holding a certificate or license or not granted practice privileges under Section 15.12A of this title. However, such report shall not refer to &ldquo;audit&rdquo;, &ldquo;audited&rdquo;, &ldquo;exam&rdquo;, &ldquo;examined&rdquo;, &ldquo;review&rdquo; or &ldquo;reviewed&rdquo;, nor use the language &ldquo;in accordance with standards established by the American Institute of Certified Public Accountants&rdquo; or successor of said entity, or governmental agency approved by the Board, except for the Internal Revenue Service. Except for an individual granted practice privileges under Section 15.12A of this title or a firm exempt from the permit and registration requirements under Section 15.15C of this title, nonregistrants may use the following disclaimer language in connection with financial statements not to be in violation of the Oklahoma Accountancy Act: &ldquo;I (we) have not audited, examined, or reviewed the accompanying financial statements and accordingly do not express an opinion or any other form of assurance on them.&rdquo;;&nbsp;</span></p> <p><span class="cls0">44. &ldquo;Representation&rdquo; means any oral or written communication including but not limited to the use of title or legends on letterheads, business cards, office doors, advertisements, and listings conveying the fact that an individual or entity holds a certificate, license or permit;&nbsp;</span></p> <p><span class="cls0">45. &ldquo;Review&rdquo;, when used with reference to financial statements, means a registrant or an individual granted practice privileges under Section 15.12A of this title, or a firm exempt from the permit and registration requirements under Section 15.15C of this title performing inquiry and analytical procedures that provide the registrant with a reasonable basis for expressing limited assurance that there are no material modifications that should be made to the statements in order for them to be in conformity with generally accepted accounting principles or, if applicable, with another comprehensive basis of accounting; and&nbsp;</span></p> <p><span class="cls0">46. &ldquo;Substantial equivalency&rdquo; is a determination by the Oklahoma Accountancy Board or its designee that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the education, examination and experience requirements contained in the statutes and administrative rules of another jurisdiction are comparable to, or exceed, the education, examination and experience requirements contained in the AICPA/NASBA Uniform Accountancy Act, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;that an individual certified public accountant&rsquo;s or public accountant&rsquo;s education, examination and experience qualifications are comparable to or exceed the education, examination and experience requirements contained in the Oklahoma Accountancy Act and rules of the Board.&nbsp;</span></p> <p><span class="cls0">In ascertaining substantial equivalency as used in the Oklahoma Accountancy Act, the Board or its designee shall take into account the qualifications without regard to the sequence in which experience, education, or examination requirements were attained.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1992, c. 272, &sect; 2, eff. Sept. 1, 1992. Amended by Laws 1994, c. 293, &sect; 15, eff. July 1, 1994; Laws 2002, c. 312, &sect; 2, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 2, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 1, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 1, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.2. Oklahoma Accountancy Board - Membership - Qualifications - Terms.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, the Oklahoma Accountancy Board. The Oklahoma Accountancy Board shall have the responsibility for administering and enforcing the Oklahoma Accountancy Act. The Oklahoma Accountancy Board shall be composed of seven (7) members, who shall have professional or practical experience in the use of accounting services and financial matters, so as to be qualified to make judgments about the qualifications and conduct of persons and firms subject to regulation under this act to be appointed by the Governor and confirmed by the Senate. The number of registrant members shall not be more than six, not including a firm, who shall serve terms of five (5) years. No member who has served two successive complete terms shall be eligible for reappointment, but an appointment to fill an unexpired term shall not be considered a complete term for this purpose. The public member shall serve coterminously with the Governor appointing the public member.&nbsp;</span></p> <p><span class="cls0">B. One member shall be either a public accountant licensed and holding a permit pursuant to the provisions of the Oklahoma Accountancy Act, or a person with professional or practical experience in the use of accounting services and financial matters and who shall have met the educational requirements to qualify as a candidate for examination for the license of public accountant as provided in subsection B of Section 15.8 of this title. A list of qualified persons shall be compiled and submitted to the Governor by the Oklahoma Society of Public Accountants, or successor organization from time to time as appointment of the Board member is required to be made. A list of three names shall be submitted for each single appointment from which the Governor may make the appointment.&nbsp;</span></p> <p><span class="cls0">C. Five members shall be certified public accountants holding certificates and four shall hold permits issued pursuant to the provisions of the Oklahoma Accountancy Act, at least four of whom shall have been engaged in the practice of public accounting as a certified public accountant continuously for not less than five (5) out of the last fifteen (15) years immediately preceding their appointments. A list of qualified persons shall be compiled and submitted to the Governor by the Oklahoma Society of Certified Public Accountants from time to time as appointments of the certified public accountant Board members are required. A list of three names shall be submitted for each single appointment from which the Governor may make the appointment.&nbsp;</span></p> <p><span class="cls0">D. One member shall be a public member who is not a certified public accountant or licensed public accountant. The public member shall be appointed by the Governor to a term coterminous with the Governor. The public member shall serve at the pleasure of the Governor.&nbsp;</span></p> <p><span class="cls0">E. Upon the expiration of the term of office, a member shall continue to serve until a qualified successor has been appointed. Confirmation by the Senate is required during the next regular session of the Oklahoma Senate for the member to continue to serve.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 2, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 2, emerg. eff. April 30, 1968; Laws 1980, c. 274, &sect; 1, eff. July 1, 1980; Laws 1986, c. 79, &sect; 1, eff. July 1, 1986; Laws 1992, c. 272, &sect; 3, eff. Sept. 1, 1992; Laws 1998, c. 38, &sect; 1; Laws 2004, c. 125, &sect; 3, eff. Nov. 1, 2004; Laws 2005, c. 1, &sect; 85, emerg. eff. March 15, 2005; Laws 2010, c. 30, &sect; 1; Laws 2010, c. 85, &sect; 2, eff. July 1, 2010.&nbsp;</span></p> <p><span class="cls0">NOTE: Laws 1992, c. 10, &sect; 1 repealed by Laws 1992, c. 343, &sect; 4, emerg. eff. July 1, 1992. Laws 2004, c. 27, &sect; 1 repealed by Laws 2005, c. 1, &sect; 86, emerg. eff. March 15, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.3. Vacancies - Disqualification - Removal.&nbsp;</span></p> <p><span class="cls0">A. Vacancies on the Board due to death, resignation, or removal as defined in subsections C and D of this section occurring during a term shall be filled by the Governor for the unexpired portion of said term in a manner as provided for appointments to the Board. Members filling the remainder of a term of a member who has died, resigned, or been removed shall assume office immediately upon appointment by the Governor and shall serve until confirmation or denial of confirmation by the Senate.&nbsp;</span></p> <p><span class="cls0">B. A member of the Board shall become disqualified from serving if that member:&nbsp;</span></p> <p><span class="cls0">1. Is a registrant member whose certificate, license, or permit pursuant to the laws of this state has become void or has been revoked or suspended;&nbsp;</span></p> <p><span class="cls0">2. Is a registrant member or public member who has moved from this state;&nbsp;</span></p> <p><span class="cls0">3. Has been convicted, pled guilty or nolo contendere to a felony pursuant to the laws of the United States or any jurisdiction;&nbsp;</span></p> <p><span class="cls0">4. Has become medically incapacitated as determined in writing by a medical doctor upon request by the Board; or&nbsp;</span></p> <p><span class="cls0">5. Has been absent from three meetings, or is absent for more than one-half (1/2) the number of minutes for which a meeting is conducted of three meetings as determined by the Board during any twelve-month period, unless such absence is determined to be unavoidable in the opinion of a majority of the remaining members.&nbsp;</span></p> <p><span class="cls0">C. Removal pursuant to the provisions of this section shall be accomplished by a majority vote of the remaining members. Upon said vote, a written notification shall be sent to the Governor setting out the dates of absences or other grounds for removal and the fact of the disqualification of the member. Upon receipt of the written notification, the Governor shall appoint another member in the manner provided for appointments to the Board.&nbsp;</span></p> <p><span class="cls0">D. The Governor may, after a hearing conducted in accordance with the provisions of the Administrative Procedures Act, remove any member of the Board for misconduct regarding responsibilities and duties of the member, incompetence, or neglect of duty. Removal pursuant to the provisions of this subsection shall occur upon the Governor filing a written statement of findings after the hearing as to the reasons and basis for removal of the member with the Secretary of the Board.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 188, &sect; 3, emerg. eff. June 8, 1965; Laws 1980, c. 274, &sect; 2, eff. July 1, 1980; Laws 1986, c. 79, &sect; 3, eff. July 1, 1986; Laws 1992, c. 272, &sect; 4, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 4, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.4. Officers - Meetings - Duties.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board shall elect from its membership a chair, a vice-chair and a secretary. The officers of the Board shall be elected each May, to take office on July 1 following the election, and shall hold office for a term of one (1) year.&nbsp;</span></p> <p><span class="cls0">B. The chair shall preside at all meetings of the Board, call special meetings of the Board as are necessary, sign all certificates and licenses and perform such other duties as the Board shall direct.&nbsp;</span></p> <p><span class="cls0">C. The vice-chair shall exercise the powers of and perform the duties of the chair in the absence or disability of the chair, and perform such other duties as the Board shall direct.&nbsp;</span></p> <p><span class="cls0">D. The secretary shall preside at any meeting in the absence of the chair and vice-chair, validate minutes of all of the meetings of the Board, in the manner prescribed in the rules of the Board, supervise the maintenance of the records of the Board, including the register of individuals and firms authorized to practice public accounting in this state, and a record of all examination grades. The secretary shall perform such other duties as the Board shall direct.&nbsp;</span></p> <p><span class="cls0">E. At any regular or special meeting at which none of the officers are in attendance, the members of the Board in attendance shall elect a member to preside at that meeting.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 4, emerg. eff. June 8, 1965. Amended by Laws 1992, c. 272, &sect; 5, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 3, eff. Nov. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.5. Quorum - Seal - Records - Staff - Expenditures - Rules and regulations &ndash; Delegation of authority.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board shall be responsible for the administration and enforcement of the Oklahoma Accountancy Act. A majority of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">B. In addition to the other duties imposed on the Board by law, the Board shall:&nbsp;</span></p> <p><span class="cls0">1. Have a seal that shall be judicially noticed and shall be affixed to all certificates and licenses, and such other documents as the Board deems appropriate;&nbsp;</span></p> <p><span class="cls0">2. Keep correct records of all official proceedings including minutes of meetings, applications and related documents of applicants, registry of the names and addresses of registrants, official documents filed in any hearings conducted by the Board and in any proceeding in any court arising out of any provision of the Oklahoma Accountancy Act or the rules and regulations adopted by the Board. Copies of said records certified by the secretary under the seal of the Board shall, if material, be admissible in evidence;&nbsp;</span></p> <p><span class="cls0">3. Employ such executive staff as may be necessary to implement and administer the Oklahoma Accountancy Act, to fix and pay their salaries or fees. Such executive staff shall include an Executive Director, Deputy Director and legal counsel. The Board shall have the authority to employ other staff and contract with or hire special prosecutors, investigators, expert witnesses, hearing examiners and clerical personnel in furtherance of its duties under the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">4. Lease office space and pay the rent thereon, purchase office equipment and supplies, and make such other expenditures as are necessary for the administration and enforcement of the provisions of the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">5. Pay the costs of such research programs in accounting and other subjects as in the determination of the Board would be beneficial to registrants; and&nbsp;</span></p> <p><span class="cls0">6. Adopt rules and regulations for the implementation of the provisions of the Oklahoma Accountancy Act in accordance with the procedures prescribed in the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. The Board may delegate to the executive director the authority to employ other staff and clerical personnel.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 5, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 3, emerg. eff. April 30, 1968; Laws 1986, c. 79, &sect; 4, eff. July 1, 1986; Laws 1992, c. 272, &sect; 6, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 5, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 2, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.6A. Confidentiality of investigations - Use as evidence &ndash; Disclosure of information.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board, its employees, independent contractors, appointed committee members or other agents shall keep confidential all information obtained during an investigation into allegations of violations of the Oklahoma Accountancy Act, including any review or investigation made to determine whether to allow an applicant to take an examination, or whether the Board shall grant a certificate, license, or permit. All information obtained in the course of conducting a peer review, including peer review reports provided to the Board by a registrant, examinations and test scores shall also be held confidential by the Board, its employees and independent contractors.&nbsp;</span></p> <p><span class="cls0">B. To ensure the confidentiality of such information for the protection of the affected individual or entity, the information obtained shall not be deemed to be a &ldquo;record&rdquo; as that term is defined in the Oklahoma Open Records Act.&nbsp;</span></p> <p><span class="cls0">C. Rules adopted to implement the provisions of this subsection shall assure the privacy of the information obtained. Such rules shall include but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Assuring availability of the information for inspection by the individual or entity affected or their designated representatives during the normal business hours of the Board;&nbsp;</span></p> <p><span class="cls0">2. A method for obtaining a written release for the affected individual or entity to allow inspection of their confidential records to the public at large; and&nbsp;</span></p> <p><span class="cls0">3. A method for making available to the public all final written orders of the Board concerning an individual or entity.&nbsp;</span></p> <p><span class="cls0">D. Information obtained by the Board or any of its agents as set out in subsection A of this section shall be considered competent evidence in a court of competent jurisdiction only in matters directly related to actions of the Board and the affected individual or entity as a result of the Board obtaining the information. Such information shall not be admissible as evidence in any other type of civil or criminal action.&nbsp;</span></p> <p><span class="cls0">E. The Board may disclose information concerning investigations into allegations of violations of the Oklahoma Accountancy Act under this section to another governmental, regulatory, or law enforcement agency engaged in an enforcement action. The provisions of this subsection shall not apply to information concerning whether to allow an applicant to take an examination, peer review or test scores.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1992, c. 272, &sect; 7, eff. Sept. 1, 1992. Amended by Laws 2002, c. 312, &sect; 4, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 6, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 3, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.7. Disbursement of fees and monies.&nbsp;</span></p> <p><span class="cls0">All fees and other monies except the fines as provided in Section 15.24 of this title received by the Board pursuant to the provisions of the Oklahoma Accountancy Act shall be expended solely for effectuating the purposes of the Oklahoma Accountancy Act and shall be deposited to the credit of the Board with the Oklahoma State Treasurer. After the close of each fiscal year the Board shall file with the Governor a report of all fees charged, collected and received and all disbursements during the previous fiscal year. The Board shall pay into the General Revenue Fund of the state ten percent (10%) of all annual registration fees so charged, collected and received, and no other portion shall ever revert to the General Revenue Fund or any other fund of the state.&nbsp;</span></p> <p><span class="cls0">All salaries, fees, and other expenses incurred by the Board in the performance of the duties imposed by the provisions of the Oklahoma Accountancy Act shall be paid from the Board&rsquo;s Revolving Fund and none of said expenses shall be a charge against the general funds of this state.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 188, &sect; 7, emerg. eff. June 8, 1965; Laws 1992, c. 272, &sect; 8, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 7, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.8. Application to take examination - Format - Fees - Qualifications.&nbsp;</span></p> <p><span class="cls0">A. A qualification applicant to qualify as a candidate for examination shall file an application for qualification in a format approved by the Oklahoma Accountancy Board. The fee for the qualification application shall be determined by the Board and shall not exceed Three Hundred Dollars ($300.00). Every qualification applicant to qualify as a candidate for the certificate of certified public accountant or license of public accountant must be of good moral character, shall submit to a national criminal history record search, must be a resident of this state immediately prior to making application and, except as otherwise provided in this section, shall meet the education and experience requirements provided in this section. The costs associated with the national criminal history records search shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">B. On or after July 1, 1999, every qualification applicant to qualify as a candidate for examination for the license of public accountant shall have graduated from an accredited four-year college or university with a major in accounting or with a nonaccounting major supplemented by what the Oklahoma Accountancy Board determines to be the equivalent of an accounting major of any four-year college or university in this state or any other four-year college or university recognized by the Board. Such major in accounting or nonaccounting major shall include satisfactory completion of forty-eight (48) semester hours, or the equivalent thereof, in accounting and related subjects. At least thirty (30) semester hours, or the equivalent thereof, of said forty-eight (48) semester hours, shall be in accounting courses, at least one of which shall be in auditing. The remainder of said forty-eight (48) semester hours, or the equivalent thereof, shall be in said related subjects, which shall be in any or all of the subjects of economics, statistics, business law, finance, business management, marketing, business communication, financial information systems or computer science or the equivalent of such subjects as determined by the Board.&nbsp;</span></p> <p><span class="cls0">C. On or after July 1, 2003, every qualification applicant to qualify as a candidate for examination for the certificate of certified public accountant shall have at least one hundred fifty (150) semester hours, or the equivalent thereof, of college education including a baccalaureate or higher degree conferred by a college or university acceptable to the Board from an accredited four-year college or university in this state or any other accredited four-year college or university recognized by the Board. A minimum of seventy-six (76) semester hours must be earned at the upper-division level of college or above or the equivalent thereof as determined by the Board; this education requirement shall have been completed prior to submitting an application to the Board; the total educational program of the applicant for examination shall include an accounting concentration or its equivalent as determined acceptable by the Board which shall include not less than thirty (30) semester hours, or the equivalent thereof, in accounting courses above principles of accounting or introductory accounting, with at least one course in auditing or assurance; the remaining accounting courses shall be selected from financial accounting, accounting theory, cost/managerial accounting, federal income tax, governmental, not-for-profit accounting, accounting information systems, accounting history and other accounting electives; at least nine (9) semester hours shall be from any or all of the subjects of economics, statistics, business law, finance, business management, marketing, business communication, risk management, insurance, management information systems, or computer science at the upper-division level of college or above or the equivalent of such subjects as determined by the Board; all the remaining semester hours, if any, shall be elective but shall be at the upper-division level of college or above.&nbsp;</span></p> <p><span class="cls0">D. The costs associated with the national criminal history record check shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 8, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 5, emerg. eff. April 30, 1968; Laws 1986, c. 79, &sect; 5, eff. July 1, 1986; Laws 1992, c. 272, &sect; 9, eff. Sept. 1, 1992; Laws 1998, c. 52, &sect; 1, eff. Nov. 1, 1998; Laws 2002, c. 312, &sect; 5, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 8, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 4, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 3, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.9. Issuance of certificates or licenses &ndash; Use of uniform CPA examination &ndash; Criminal history check.&nbsp;</span></p> <p><span class="cls0">A. Upon payment of appropriate fees, the Oklahoma Accountancy Board shall grant a certificate or license to any individual of good character who meets the applicable education, experience and testing requirements provided for in this section and in Sections 15.8 and 15.10 of this title. For purposes of this subsection, good character means an individual who does not have a history of dishonest acts as demonstrated by documented evidence and has not been convicted, pled guilty, or pled nolo contendere to a felony charge. The Board may refuse to grant a certificate or license to an applicant for failure to satisfy the requirement of good character. The Board shall provide to the denied applicant written notification specifying grounds for denial of a certificate or license including failure to meet the good character criterion. Appeal of the action of the Board may be made in accordance with the provisions of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall issue certificates as certified public accountants to those applicants who have met the qualifications required by the provisions of the Oklahoma Accountancy Act and the applicable rules of the Board, and have passed an examination in accounting, auditing and related subjects as the Board determines appropriate with such grades that satisfy the Board that each applicant is competent to practice as a certified public accountant.&nbsp;</span></p> <p><span class="cls0">C. The Board shall, upon request, issue licenses as public accountants only to those applicants who shall have qualified and complied with the provisions of this act and the rules of the Board, and shall have passed an examination in accounting, auditing, and other related subjects not to exceed seventy-five percent (75%) of the CPA Examination subjects with such grades that satisfy the Board that each applicant is competent to practice as a public accountant. The subjects examined shall be covered by the same examination, and grading thereon for passing, as those used by the Board to test candidates for the certified public accountant&rsquo;s certificate.&nbsp;</span></p> <p><span class="cls0">D. The Board may make use of all or any part of the Uniform Certified Public Accountant&rsquo;s Examination and any organization that assists in providing the examination.&nbsp;</span></p> <p><span class="cls0">E. An applicant for initial issuance of a certificate or license under this section shall show that the applicant has had one (1) year of experience. Experience shall be defined by the Board by rule and shall include providing a type of service or advice involving the use of accounting, attest, compilation, management advisory, financial advisory, tax or consulting skills, and be satisfied through work experience in government, industry, academia or public practice, all of which shall be verified by a certificate or license holder or an individual approved by the Board. Upon completion of the requirements of Section 15.8 of this title, a qualified applicant for the examination may take the certified public accountant or public accountant examination prior to earning the experience required in this subsection, but shall not be issued a certificate until the experience requirement has been met.&nbsp;</span></p> <p><span class="cls0">F. On or after July 1, 2005, every applicant for the certificate of certified public accountant or license of public accountant shall provide evidence of successful completion of an ethics examination prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">G. Every applicant for the certificate of certified public accountant or license of public accountant shall submit to a national criminal history record check. The costs associated with the national criminal history record check shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">H. An individual applying for a certificate as a certified public accountant must make application for the certificate within five (5) years of the date the Board notifies the candidate that the candidate has successfully passed all sections of the C.P.A. Examination. If the candidate fails to make application for the certificate within five (5) years, the candidate must provide documentation showing he or she has completed at least one hundred twenty (120) hours of qualifying continuing public accountancy education completed within the three-year period immediately preceding the date the individual applies for certification. The Board shall establish rules whereby time limits set for application pursuant to this provision may, upon written application to the Board, be waived or reduced if the candidate is called to active military service or becomes incapacitated as a result of illness or injury or for such other good causes as determined by the Board on a case-by-case basis.&nbsp;</span></p> <p><span class="cls0">I. An individual applying for a license as a public accountant must make application for the license within five (5) years of the date the Board notifies the candidate that the candidate has successfully passed all sections of the PA Examination. If the candidate fails to make application for the license within five (5) years, the candidate must provide documentation showing he or she has completed at least one hundred twenty (120) hours of qualifying continuing public accountancy education completed within the three-year period immediately preceding the date the individual applies for licensure. The Board shall establish rules whereby time limits set for application pursuant to this provision may, upon written application to the Board, be waived or reduced if the candidate is called to active military service or becomes incapacitated as a result of illness or injury or for such other good causes as determined by the Board on a case-by-case basis.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 9, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 6, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 10, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 6, eff. July 1, 2003; Laws 2004, c. 125, &sect; 9, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 5, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 4, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.10. Examinations.&nbsp;</span></p> <p><span class="cls0">A. The Board shall provide an examination for candidates to obtain a certificate or license as accountants at least once each year. Additional examinations may be held at such times and places as the Board may deem advisable.&nbsp;</span></p> <p><span class="cls0">B. Each candidate allowed to sit at the examination shall file a written application on a form prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">C. In addition to the requirement of confidentiality of examination results, the Board shall take such action as necessary to assure the confidentiality of the examination prior to their being administered to candidates.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 188, &sect; 10; Laws 1968, c. 271, &sect; 7, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 11, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 10, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.10A. Fees &ndash; Application and test.&nbsp;</span></p> <p><span class="cls0">Each candidate shall pay fees, to be determined by the Oklahoma Accountancy Board, not to exceed One Thousand Dollars ($1,000.00) for each examination.&nbsp;</span></p> <p><span class="cls0">An application fee, payable to the Board, shall be paid by the candidate at the time the application for the examination is filed. The application fee shall not be refunded unless the Board determines that the candidate is unqualified to sit for the examination or for such other good causes as determined by the Board on a case-by-case basis. Also, each candidate shall pay test fees to the organizations designated by the Board to provide a computer-based examination. In no event shall the total fees paid by a candidate for each examination exceed One Thousand Dollars ($1,000.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 18, emerg. eff. June 8, 1965. Amended by Laws 1982, c. 160, &sect; 1, eff. July 1, 1982; Laws 1992, c. 272, &sect; 12, eff. Sept. 1, 1992. Renumbered from &sect; 15.18 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992. Amended by Laws 2004, c. 125, &sect; 11, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 6, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.11. Use of titles or abbreviations.&nbsp;</span></p> <p><span class="cls0">A. No individual, other than as described in subparagraph d of paragraph 34 of Section 15.1A of this title, shall assume or use the title or designation &ldquo;Certified Public Accountant&rdquo; or the abbreviation &ldquo;C.P.A.&rdquo; or any other title, designation, words, letters, abbreviation, sign, card, or device tending to indicate or represent that such individual is a certified public accountant, unless such individual has received a certificate as a certified public accountant and holds a valid permit issued pursuant to the provisions of the Oklahoma Accountancy Act or is granted practice privileges under Section 15.15C of this title. All offices in this state for the practice of public accounting by such individual shall be maintained and registered as required by the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">B. No entity shall assume or use the title or designation &ldquo;Certified Public Accountant&rdquo; or the abbreviation &ldquo;C.P.A.&rdquo; or any other title, designation, words, letters, abbreviation, sign, card or device tending to indicate or represent that such entity is composed of certified public accountants unless such entity is registered as a firm of certified public accountants and holds a valid permit issued pursuant to the provisions of the Oklahoma Accountancy Act or is exempt from the registration and permit requirements under Section 15.15C of this title. All offices in this state for the practice of public accounting by such entity shall be maintained and registered as required by the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">C. No individual, other than as described in subparagraph d of paragraph 34 of Section 15.1A of this title, shall assume or use the title or designation &ldquo;Public Accountant&rdquo; or the abbreviation &ldquo;P.A.&rdquo; or any other title, designation, words, letters, abbreviation, sign, card, or device tending to indicate or represent that such individual is a public accountant, unless such individual is licensed as a public accountant, or is a certified public accountant and holds a valid permit issued pursuant to the provisions of the Oklahoma Accountancy Act. All offices in this state for the practice of public accounting by such individual shall be maintained and registered as required by the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">D. No entity shall assume or use the title or designation &ldquo;Public Accountant&rdquo; or any other title, designation, words, letters, abbreviation, sign, card, or device tending to indicate or represent that such entity is composed of public accountants, unless such entity is registered as a firm of public accountants and holds a valid permit issued pursuant to the provisions of the Oklahoma Accountancy Act. All offices in this state for the practice of public accounting by such entity shall be maintained and registered as required by the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">E. No individual or entity shall assume or use the title or designation &ldquo;Certified Accountant&rdquo;, &ldquo;Chartered Accountant&rdquo;, &ldquo;Enrolled Accountant&rdquo;, &ldquo;Licensed Accountant&rdquo;, &ldquo;Registered Accountant&rdquo; or any other title or designation which could be confused with &ldquo;Certified Public Accountant&rdquo; or &ldquo;Public Accountant&rdquo;, or any of the abbreviations &ldquo;CA&rdquo;, &ldquo;EA&rdquo;, except as it relates to the term &ldquo;enrolled agent&rdquo; as defined by the Internal Revenue Service, &ldquo;RA&rdquo;, or &ldquo;LA&rdquo;, or similar abbreviations which could be confused with &ldquo;CPA&rdquo; or &ldquo;PA&rdquo;; provided, however, that anyone who holds a valid permit and whose offices in this state for the practice of public accounting are maintained and registered as required by the Oklahoma Accountancy Act or is granted practice privileges under Section 15.12A of this title may hold oneself out to the public as an &ldquo;Accountant&rdquo; or &ldquo;Auditor&rdquo;.&nbsp;</span></p> <p><span class="cls0">F. No individual or entity not holding a valid permit, not granted practice privileges under Section 15.12A of this title, or not exempt from the permit requirement under Section 15.15C of this title shall hold oneself or itself out to the public as an &ldquo;Accountant&rdquo; or &ldquo;Auditor&rdquo; by use of either or both of such words on any sign, card, letterhead, or in any advertisement or directory, without specifically indicating that such individual or entity does not hold such a permit. The provisions of this subsection shall not be construed to prohibit any officer, employee, partner or principal of any entity from describing oneself by the position, title or office one holds in such organization; nor shall this subsection prohibit any act of public official or public employee in the performance of the duties as such.&nbsp;</span></p> <p><span class="cls0">G. Any individual or entity who is registered with the Board but does not hold a valid permit issued pursuant to the Oklahoma Accountancy Act may not issue a report on financial statements of any other person, firm, organization recognized by the State of Oklahoma, or governmental unit. This prohibition does not apply to an officer, partner, or employee of any firm or organization affixing a signature to any statement or report in reference to the financial affairs of such firm or organization with any wording designating the position, title, or office that is held therein; nor prohibit any act of a public official or employee in the performance of the duties as such.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 11, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 8, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 13, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 12, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 7, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 5, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.12. Employees and assistants without certification or permit.&nbsp;</span></p> <p><span class="cls0">An individual who is not a certified public accountant or public accountant in any jurisdiction may serve as an employee of a firm composed of certified public accountants or public accountants holding a valid permit. Such employee or assistant shall not issue any accounting or financial statements over the employee&rsquo;s or assistant&rsquo;s name.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 12, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 9, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 14, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 7, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 13, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 8, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.12A. Holders of certificate or license from another state - Consent to jurisdiction &ndash; Compliance with Board rules - State licensees practicing in another state.&nbsp;</span></p> <p><span class="cls0">A. 1. An individual whose principal place of business is not in this state and who holds a valid certificate or license as a Certified Public Accountant or Public Accountant from any jurisdiction which the Oklahoma Accountancy Board&rsquo;s designee has verified to be in substantial equivalence to the Certified Public Accountant and Public Accountant licensure requirements of the AICPA/NASBA Uniform Accountancy Act shall be presumed to have qualifications substantially equivalent to this state&rsquo;s requirements and shall have all the privileges of certificate and license holders of this state without the need to obtain a certificate, license or permit required under Sections 15.9, 15.13, 15.14A, 15.15 and 15.15A of this title. An individual who offers or renders professional services, whether in person or by mail, telephone or electronic means, under this section shall be granted practice privileges in this state and no notice, fee or submission shall be provided by any such individual. Such an individual shall be subject to the requirements in paragraph 3 of this subsection.&nbsp;</span></p> <p><span class="cls0">2. An individual whose principal place of business is not in this state who holds a valid certificate or license as a Certified Public Accountant or Public Accountant from any jurisdiction which the Oklahoma Accountancy Board&rsquo;s designee has not verified to be in substantial equivalence to the Certified Public Accountant licensure requirements of the AICPA/NASBA Uniform Accountancy Act shall be presumed to have qualifications substantially equivalent to this state&rsquo;s requirements and shall have all the privileges of certificate and license holders of this state without the need to obtain a certificate, license or permit required under Sections 15.9, 15.13, 15.14A, 15.15 and 15.15A of this title. Any individual who passed the Uniform CPA Examination and holds a valid certificate or license issued by any other state prior to January 1, 2012, may be exempt from the education requirement of the Uniform Accountancy Act for purposes of this paragraph. An individual who offers or renders professional services, whether in person, or by mail, telephone or electronic means, under this section, shall be granted practice privileges in this state and no notice, fee or submission shall be provided by any such individual. Such an individual shall be subject to the requirements in paragraph 3 of this subsection.&nbsp;</span></p> <p><span class="cls0">3. An individual certificate holder or license holder of another jurisdiction exercising the privilege afforded under this section, and any firm which employs that certificate holder or license holder hereby simultaneously consent, as a condition of the granting of this privilege:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;to the personal and subject matter jurisdiction and disciplinary authority of the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;to comply with the Oklahoma Accountancy Act and the Board&rsquo;s rules,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;that in the event the certificate holder or license holder from the jurisdiction of the individual&rsquo;s principal place of business is no longer valid, the individual will cease offering or rendering professional services in this state individually or on behalf of a firm, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;to the appointment of the state board which issued the certificate or license as the agent upon whom process may be served in any action or proceeding by the Board against the certificate or license holder.&nbsp;</span></p> <p><span class="cls0">4. A certified public accounting or public accounting firm that is licensed and has its primary place of business in another state, does not have an office in this state and does not provide the professional services described in subparagraphs a, b, and c of paragraph 5 of this subsection for a client whose home office is in this state, may practice in this state without a firm license, permit, or notice to the Board if the firm&rsquo;s practice in this state is performed by an individual who is licensed in Oklahoma or who has been granted practice privileges under paragraph 1 or 2 of this subsection.&nbsp;</span></p> <p><span class="cls0">5. An individual who has been granted practice privileges under this section who, for any entity with its home office in this state, performs any of the following services:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any audit or other engagement to be performed in accordance with Statements on Auditing Standards,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;any review of a financial statement to be performed in accordance with the Statements on Standards for Accounting and Review Services (SSARS),&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any report performed in accordance with Statements on Standards for Attestation Engagements (SSAE), and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;any engagement to be performed in accordance with the Auditing Standards of the Public Company Accounting Oversight Board (PCAOB),&nbsp;</span></p> <p><span class="cls0">may only do so through a firm which has obtained a permit issued under Section 15.15A of this title.&nbsp;</span></p> <p><span class="cls0">B. A registrant of this state offering or rendering services or using the registrant&rsquo;s CPA or PA title in another jurisdiction shall be subject to disciplinary action in this state for an act committed in another jurisdiction which would subject the certificate or license holder to discipline in that jurisdiction. The Board shall be required to investigate any complaint made by the board of accountancy of another jurisdiction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2002, c. 312, &sect; 8, eff. Nov. 1, 2002. Amended by Laws 2004, c. 125, &sect; 14, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 9, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 6, eff. July 1, 2010; Laws 2011, c. 150, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-15.13. Issuance of certificate or license to applicant authorized to practice in other jurisdiction - Reciprocity.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board may issue a certificate or license to an applicant who has been authorized to practice public accounting as a certified public accountant or public accountant pursuant to the laws of any jurisdiction if the applicant passed a test administered for the purpose of authorizing an individual to practice as a certified public accountant or public accountant with grades which were equivalent to passing a test for the same purpose in this state as of the date the applicant originally passed the examination, and said applicant:&nbsp;</span></p> <p><span class="cls0">1. Meets the requirements for issuance of a certificate or license in this state on the date of making application;&nbsp;</span></p> <p><span class="cls0">2. Met, on the date the certificate or license was issued by the other jurisdiction, the requirements in effect on that date for issuance of a certificate or license in this state; or&nbsp;</span></p> <p><span class="cls0">3. Met on the date of becoming a candidate in another jurisdiction, the requirements of becoming a candidate in the State of Oklahoma, except for residency.&nbsp;</span></p> <p><span class="cls0">B. In the event an applicant does not meet the requirements of subsection A of this section, but has passed a test administered for the purpose of authorizing an individual to practice as a certified public accountant or public accountant with grades which were equivalent to passing a test for the same purpose in this state on the date the applicant passed the examination, the Board may issue a certificate or license to an applicant if such applicant has four (4) years of experience practicing public accounting as a certified public accountant or public accountant pursuant to the laws of any jurisdiction. Such experience must have occurred within the ten (10) years immediately preceding the application. Experience acceptable to satisfy the requirements of this subsection shall be determined by standards established by the Board.&nbsp;</span></p> <p><span class="cls0">C. An applicant who is seeking a permit to practice under this section must also provide satisfactory documentation to the Board that such applicant has met the continuing professional education requirements, as provided in Section 15.35 of this title, in effect on the date of the application.&nbsp;</span></p> <p><span class="cls0">D. The Board may issue a certificate or license by reciprocity to the extent required by treaties entered into by the government of the United States.&nbsp;</span></p> <p><span class="cls0">E. A fee in the amount equal to the registration fee and permit fee, if applicable, plus an administrative fee, the total of which shall not exceed Three Hundred Dollars ($300.00), shall be paid by an applicant seeking a certificate or license pursuant to the provisions of this section. The total amount shall be established by Board rule.&nbsp;</span></p> <p><span class="cls0">F. On or after July 1, 2005, an applicant for the certificate of certified public accountant or license of public accountant under this section shall provide evidence of successful completion of an ethics examination prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">G. As an alternative to the requirements of subsection A, B or C of this section, a certificate holder licensed by another jurisdiction who establishes the certificate holder&rsquo;s principal place of business in this state shall request the issuance of a certificate from the Board prior to establishing such principal place of business. The Board shall issue a certificate to such person who obtains from the NASBA National Qualification Appraisal Service verification that such individual&rsquo;s CPA qualifications are substantially equivalent to the CPA licensure requirements of the AICPA/NASBA Uniform Accountancy Act.&nbsp;</span></p> <p><span class="cls0">H. An applicant for the certificate of certified public accountant or license of a public accountant under this section shall submit to a national criminal history record check. The costs associated with the national criminal history record check shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 13, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 10, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 15, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 9, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 15, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 10, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 7, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.13A. Issuance of certificate or license to applicant authorized to practice in foreign country - Reciprocity.&nbsp;</span></p> <p><span class="cls0">A. The Board shall issue a certificate to a holder of a substantially equivalent designation issued by a foreign country, provided that:&nbsp;</span></p> <p><span class="cls0">1. The foreign authority which granted the designation makes similar provision to allow a registrant who holds a valid certificate issued by this state to obtain such foreign authority&rsquo;s comparable designation;&nbsp;</span></p> <p><span class="cls0">2. The designation:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;was duly issued by an authority of a foreign country which regulates the practice of public accounting and has not expired or been revoked or suspended,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;entitles the holder to issue reports upon financial statements, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;was issued upon the basis of substantially equivalent educational, examination and experience requirements established by the foreign authority or by law; and&nbsp;</span></p> <p><span class="cls0">3. The applicant:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;received the designation based on educational and examination standards substantially equivalent to those in effect in this state at the time the foreign designation was granted,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;completed an experience requirement substantially equivalent to the requirement set out under this act in the foreign country which granted the foreign designation or has completed four (4) years of professional experience in this state, or meets equivalent requirements prescribed by the Board by rule within the ten (10) years immediately preceding the application,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;passed a uniform qualifying examination in national standards acceptable to the Board, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;is of good character.&nbsp;</span></p> <p><span class="cls0">An applicant for the certificate of certified public accountant under this section shall submit to a national criminal history record check. The costs associated with the national criminal history record check shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">B. An applicant under subsection A of this section shall in the application list all jurisdictions, foreign and domestic, in which the applicant has applied for or holds a designation to practice public accounting, and each holder of a certificate issued under this subsection shall notify the Board in writing, within thirty (30) days after its occurrence, of any issuance, denial, revocation or suspension of a designation or commencement of disciplinary or enforcement action by any jurisdiction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 125, &sect; 16, eff. Nov. 1, 2004. Amended by Laws 2009, c. 45, &sect; 11, emerg. eff. April 14, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-15.14. Registration - Expiration and renewal - Fee.&nbsp;</span></p> <p><span class="cls0">A. In addition to obtaining a certificate or license, certified public accountants and public accountants, unless granted practice privileges under Section 15.12A of this title, shall register with the Oklahoma Accountancy Board and pay a registration fee.&nbsp;</span></p> <p><span class="cls0">B. Until January 1, 2010, all valid certificates and licenses ending in an odd number shall expire on July 31 of each odd-numbered year. All valid certificates and licenses ending in an even number shall expire on July 31 of each even-numbered year. All such registrations shall expire on the last day of July and may be renewed for a period of two (2) years. The Board shall implement rules for the scheduling of expiration and renewal of certificates and licenses, including the prorating of fees.&nbsp;</span></p> <p><span class="cls0">C. After the initial registration, renewal of registrations shall be accomplished by registrants in good standing upon filing of the registration and upon payment of the registration fee. Interim registration shall be at full rates.&nbsp;</span></p> <p><span class="cls0">D. Effective January 1, 2010, all valid certificates or licenses shall be renewed based on staggered expiration dates on the last day of the individuals&rsquo; birth months. Renewal will be effective for a twelve-month period. The Board shall implement rules for the scheduling of expiration and renewal of certificates and licenses, including the prorating of fees.&nbsp;</span></p> <p><span class="cls0">E. Not less than thirty (30) calendar days before the expiration of a valid certificate or license, written notice of the expiration date shall be mailed to the individual holding the valid certificate or license at the last-known address of such individual according to the official records of the Board.&nbsp;</span></p> <p><span class="cls0">F. A certificate or license shall be renewed by payment of a registration renewal fee set by the Board which shall not exceed Two Hundred Dollars ($200.00) for each two-year period.&nbsp;</span></p> <p><span class="cls0">1. Upon failure of an individual to pay registration fees on or before the expiration date, the Board shall notify the individual in writing by certified mail to the last known address of the individual, as reflected in the records of the Board, of the individual&rsquo;s failure to comply with the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">2. A certificate or license granted under authority of the Oklahoma Accountancy Act shall automatically be revoked if the individual fails to pay registration fees within thirty (30) days after the expiration date.&nbsp;</span></p> <p><span class="cls0">3. Any individual whose certificate or license is automatically revoked by this provision may be reinstated by the Board upon payment of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a fee set by the Board which shall not exceed Three Hundred Dollars ($300.00) for a renewal within one (1) year of the due date, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a fee set by the Board which shall not exceed Six Hundred Dollars ($600.00) for a renewal after the expiration of a year.&nbsp;</span></p> <p><span class="cls0">However, an individual whose certificate or license has been expired, surrendered, canceled or revoked for five (5) years or more may not renew the certificate or license. The individual may obtain a new certificate or license by complying with the requirements and procedures, including the examination requirements, for obtaining an original certificate or license. This provision shall not apply to an individual who is licensed to practice in another jurisdiction for the five (5) years immediately preceding their application for reinstatement.&nbsp;</span></p> <p><span class="cls0">G. The Board shall establish rules whereby the registration fee for certified public accountants and public accountants may, upon written application to the Board, be reduced or waived by the Board for registrants who have retired upon reaching retirement age, or who have attained the age of sixty-five (65) years, or who have become disabled to a degree precluding the continuance of their practice for six (6) months or more prior to the due date of any renewal fee. The Board shall use its discretion in determining conditions required for retirement or disability.&nbsp;</span></p> <p><span class="cls0">H. All notifications of criminal arrests or charges, disciplinary actions by any other jurisdiction or foreign country, revocation or suspension by enforcement action of any professional credential and all changes of employment or mailing address shall be reported to the Board within thirty (30) calendar days of such changes becoming effective.&nbsp;</span></p> <p><span class="cls0">I. At the direction of the Board, a register of registrants may be published in any media format the Board considers appropriate for public distribution.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 14, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 11, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 16, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 10, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 17, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 12, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 8, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.14A. Permits.&nbsp;</span></p> <p><span class="cls0">A. Before any individual may practice public accounting or hold himself or herself out as being engaged in the practice of public accounting as a certified public accountant or public accountant in this state, such person shall obtain a permit from the Oklahoma Accountancy Board, unless such person is granted practice privileges under Section 15.12A of this title. Any individual, corporation or partnership or any other entity who provides any of the services defined hereinabove as the "practice of public accounting" without holding a license and permit, or without holding a certificate and permit, shall be assessed a fine not to exceed Ten Thousand Dollars ($10,000.00) for each separate offense, unless such person is granted practice privileges under Section 15.12A of this title, or such entity is exempt from the permit and registration requirements of Section 15.15C of this title.&nbsp;</span></p> <p><span class="cls0">B. The Board shall promulgate rules establishing the qualifications for obtaining a permit to practice public accounting in this state. Such rules shall include but not be limited to provisions that:&nbsp;</span></p> <p><span class="cls0">1. Any individual seeking a permit must have a valid certificate or license;&nbsp;</span></p> <p><span class="cls0">2. Any individual or entity seeking a permit must be registered pursuant to the provisions of the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">3. Any individual seeking a permit must meet continuing professional education requirements as set forth by the Oklahoma Accountancy Act and rules promulgated by the Board; and&nbsp;</span></p> <p><span class="cls0">4. There shall be no examination for obtaining a permit.&nbsp;</span></p> <p><span class="cls0">C. All such individuals shall, upon application and compliance with the rules establishing qualifications for obtaining a permit and payment of the fees, be granted an annual permit to practice public accounting in this state. Until January 1, 2010, all permits issued shall expire on June 30 of each year and may be renewed from year to year. Effective January 1, 2010, all permits issued shall be renewed based on staggered expiration dates on the last day of the individual&rsquo;s birth month in conjunction with the registrant&rsquo;s certificate or license renewal. The Board may issue interim permits upon payment of the same fees required for annual permits.&nbsp;</span></p> <p><span class="cls0">D. Failure to apply for and obtain a permit shall disqualify an individual from practicing public accounting in this state until such time as a valid permit has been obtained.&nbsp;</span></p> <p><span class="cls0">E. The Board shall charge a fee for each individual permit not to exceed One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 271, &sect; 17, emerg. eff. April 30, 1968. Amended by Laws 1982, c. 160, &sect; 3, eff. July 1, 1982; Laws 1992, c. 272, &sect; 17, eff. Sept. 1, 1992. Renumbered from &sect; 15.22 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept 1, 1992. Amended by Laws 2009, c. 45, &sect; 13, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 9, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.14B. Acts subject to penalty.&nbsp;</span></p> <p><span class="cls0">After notice and hearing, the Oklahoma Accountancy Board may impose any one or more of the penalties authorized in Section 15.24 of this title on a certified public accountant or a public accountant for any one or more of the following causes:&nbsp;</span></p> <p><span class="cls0">1. Fraud or deceit in obtaining a certificate, license, practice privilege or permit;&nbsp;</span></p> <p><span class="cls0">2. Dishonesty, fraud, or gross negligence in accountancy or financially related activities;&nbsp;</span></p> <p><span class="cls0">3. Conviction, plea of guilty, or plea of nolo contendere of a felony in a court of competent jurisdiction of any state or federal court of the United States if the acts involved would have constituted a felony under the laws of this state;&nbsp;</span></p> <p><span class="cls0">4. Conviction, plea of guilty, or plea of nolo contendere of any misdemeanor, an element of which is dishonesty or fraud, pursuant to the laws of the United States or any jurisdiction if the acts involved would have constituted a misdemeanor under the laws of this state;&nbsp;</span></p> <p><span class="cls0">5. Failure to comply with professional standards in the Board&rsquo;s professional code of conduct to the attest and/or compilation competency requirement for those who supervise attest and/or compilation engagements and sign the report on financial statements or other compilation communications with respect to financial statements; and&nbsp;</span></p> <p><span class="cls0">6. Violation of any of the provisions of the Oklahoma Accountancy Act and rules promulgated for its implementation by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 20, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 15, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 18, eff. Sept. 1, 1992. Renumbered from &sect; 15.20 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992. Amended by Laws 2004, c. 125, &sect; 18, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 14, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 10, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.15. Registration - Annual fee - Expiration date - Renewal - Interim registration - Revocation and reinstatement.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board, upon application, shall grant or register any firm, including sole proprietorships, seeking to provide public accounting services to the public in this state if such firm demonstrates its qualifications therefore in accordance with this section. All firms, except sole proprietorships with an office in this state, shall pay an annual registration fee not to exceed One Hundred Dollars ($100.00). The following must register with the Board under this section:&nbsp;</span></p> <p><span class="cls0">1. Any firm with an office in this state engaged in the practice of public accounting or the practice of attest services as defined in paragraph 5 of Section 15.1A of this title;&nbsp;</span></p> <p><span class="cls0">2. Any firm with an office in this state that uses the title &ldquo;CPA&rdquo;, &ldquo;PA&rdquo;, &ldquo;CPA firm&rdquo; or &ldquo;PA firm&rdquo;; or&nbsp;</span></p> <p><span class="cls0">3. Any firm that does not have an office in this state but performs services described in subparagraph a, c, or d of paragraph 5 of Section 15.1A of this title for a client having its home office in this state.&nbsp;</span></p> <p><span class="cls0">B. All such registrations shall expire on June 30 of each year and may be renewed annually for a period of one (1) year by registrants in good standing upon filing the registration and upon payment of the annual fee not later than June 30 of each year.&nbsp;</span></p> <p><span class="cls0">C. Interim registrations shall be at full rates.&nbsp;</span></p> <p><span class="cls0">D. Upon failure of a firm to pay registration fees on or before the last day of June, the Board shall notify the firm in writing by certified mail to the last known address of the firm, as reflected in the records of the Board, of the firm&rsquo;s failure to comply with the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">E. A registration granted under authority of this section shall automatically be revoked if the firm fails to renew its registration on or before June 30.&nbsp;</span></p> <p><span class="cls0">F. A firm whose registration is automatically revoked pursuant to this section may be reinstated by the Board upon payment of a fee to be set by the Board which shall not exceed Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">G. An individual who has practice privileges under Section 15.12A of this title who performs services for which firm registration is required under this section shall not be required to meet the certificate, license, registration or permit requirements of Section 15.9, 15.13, 15.13A, 15.14 or 15.14A of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 15, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 12, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 19, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 11, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 19, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 15, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 11, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.15A. Firm permits.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board, upon application, shall issue a permit to practice public accounting to each firm seeking to provide professional services to the public in this state except that a firm not required to register with the Board under paragraph 4 of subsection A of Section 15.12A of this title shall also not be required to obtain a permit under this section. Renewals of firm permits shall be applied for during the month of May of each year.&nbsp;</span></p> <p><span class="cls0">B. Applicants for initial firm permits shall provide the Board with the following information:&nbsp;</span></p> <p><span class="cls0">1. A list of all states in which the firm has applied for or been issued a permit or its equivalent within the five (5) years immediately preceding the date of application;&nbsp;</span></p> <p><span class="cls0">2. Relevant details as to a denial, revocation, or suspension of a permit or its equivalent of the firm, or any partner or shareholder of the firm in any other state or jurisdiction;&nbsp;</span></p> <p><span class="cls0">3. Documentary proof that the firm has complied with the requirements of the Oklahoma Office of the Secretary of State applicable to such entities; and&nbsp;</span></p> <p><span class="cls0">4. Such other information as the Board deems appropriate for demonstrating that the qualifications of the firm are sufficient for the practice of public accounting in this state.&nbsp;</span></p> <p><span class="cls0">C. The following changes in a firm affecting the offices in this state shall be reported to the Board within thirty (30) calendar days from the date of occurrence:&nbsp;</span></p> <p><span class="cls0">1. Changes in the partners or shareholders of the firm;&nbsp;</span></p> <p><span class="cls0">2. Changes in the structure of the firm;&nbsp;</span></p> <p><span class="cls0">3. Change of the designated manager of the firm;&nbsp;</span></p> <p><span class="cls0">4. Changes in the number or location of offices of the firm; and&nbsp;</span></p> <p><span class="cls0">5. Denial, revocation, or suspension of certificates, licenses, permits, or their equivalent to the firm or its partners, shareholders, or employees other than in this state.&nbsp;</span></p> <p><span class="cls0">D. The Board shall be notified in the event the firm is dissolved. Such notification shall be made within thirty (30) calendar days of the dissolution. The Board shall adopt rules for notice and rules appointing the responsible party to receive such notice for the various types of firms authorized to receive permits. Such notice of dissolution shall contain but not be limited to the following information:&nbsp;</span></p> <p><span class="cls0">1. A list of all partners and shareholders at the time of dissolution;&nbsp;</span></p> <p><span class="cls0">2. The location of each office of the firm at the time of dissolution; and&nbsp;</span></p> <p><span class="cls0">3. The date the dissolution became effective.&nbsp;</span></p> <p><span class="cls0">E. The Board shall set a fee of not more than Two Hundred Dollars ($200.00) for each initial or renewal firm permit except for sole proprietorships.&nbsp;</span></p> <p><span class="cls0">F. Each firm seeking a permit to practice accounting as a CPA firm shall be issued a permit by the Board upon application and payment of appropriate fees. A firm applying for a permit shall provide documentary proof to the Board that:&nbsp;</span></p> <p><span class="cls0">1. A simple majority of the ownership of the firm, in terms of financial interests and voting rights, belongs to partners or shareholders engaged in the practice of public accounting in the United States and holding a certificate as a certified public accountant in one or more jurisdictions. Although firms may include non-certificate holder owners, the firm and its ownership must comply with rules promulgated by the Board; and&nbsp;</span></p> <p><span class="cls0">2. Each designated manager of an office in this state is a holder of a valid Oklahoma certificate and permit to practice as a certified public accountant; and&nbsp;</span></p> <p><span class="cls0">3. All nonlicensed owners are active individual participants in the public accounting firm or affiliated entities.&nbsp;</span></p> <p><span class="cls0">G. Each firm seeking a permit to practice accounting as a PA firm shall be issued a permit by the Board upon application and payment of appropriate fees. A firm applying for a permit shall provide documentary proof to the Board that:&nbsp;</span></p> <p><span class="cls0">1. A simple majority of the ownership of the firm, in terms of financial interests and voting rights, belongs to partners or shareholders engaged in the practice of public accounting in the United States and holding a license as a public accountant in one or more jurisdictions. Although firms may include nonlicense holder owners, the firm and its ownership must comply with rules promulgated by the Board; and&nbsp;</span></p> <p><span class="cls0">2. Each designated manager of an office in this state has received an Oklahoma license and permit to practice as a public accountant or certificate and permit to practice as a certified public accountant; and&nbsp;</span></p> <p><span class="cls0">3. All nonlicensed owners are active individual participants in the public accounting firm or affiliated entities.&nbsp;</span></p> <p><span class="cls0">H. Any individual licensee who is responsible for supervising attest or compilation services and signs or authorizes someone to sign the accountant&rsquo;s report on the financial statement on behalf of the firm shall meet the competency requirements set out in the professional standards for such services.&nbsp;</span></p> <p><span class="cls0">I. Any individual licensee who signs or authorizes someone to sign the accountant&rsquo;s report on the financial statements on behalf of the firm shall meet the competency requirements of the prior subsection.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1992, c. 272, &sect; 20, eff. Sept. 1, 1992. Amended by Laws 2002, c. 312, &sect; 12, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 20, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 16, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 12, eff. July 1, 2010; Laws 2011, c. 150, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;5915.15B. Designated manager.&nbsp;</span></p> <p><span class="cls0">A. Each office established or maintained in this state for the practice of public accounting shall be under the direct supervision of a designated manager.&nbsp;</span></p> <p><span class="cls0">1. The designated manager must be the holder of a certificate in order for the title "Certified Public Accountant" or the abbreviation "C.P.A." to be used in connection with such office;&nbsp;</span></p> <p><span class="cls0">2. The designated manager must be the holder of a certificate or a license in order for the title "Public Accountant" or the abbreviation "P.A." to be used in connection with such office.&nbsp;</span></p> <p><span class="cls0">B. The Board shall prescribe such rules as are necessary to implement registration pursuant to the provisions of this section.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 188, &sect; 17, emerg. eff. June 8, 1965; Laws 1968, c. 271, &sect; 13, emerg. eff. April 30, 1968; Laws 1992, c. 272, &sect; 21, eff. Sept. 1, 1992. Renumbered from &sect; 15.17 by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.15C. Services provided by unregistered firm.&nbsp;</span></p> <p><span class="cls0">It shall not be a violation of the Oklahoma Accountancy Act for a firm which is not registered under Section 15.15 of Title 59 of the Oklahoma Statutes and does not hold a valid permit under Section 15.15A of Title 59 of the Oklahoma Statutes and which does not have an office in this state to provide its professional services in this state so long as it complies with the requirements of paragraph 4 of subsection A of Section 15.12A of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 45, &sect; 17, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.16. Revocation or suspension of registration and permits of firm.&nbsp;</span></p> <p><span class="cls0">A. After notice and hearing the Board shall revoke the registration and all permits of a firm if at any time it does not have all of the qualifications required for registration pursuant to the provisions of the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">B. After notice and hearing, the Board may impose any one or more of the penalties authorized in Section 15.24 of this title on a firm for any one or more of the following causes:&nbsp;</span></p> <p><span class="cls0">1. The revocation or suspension of the certificate or license of any partner or shareholder issued in accordance with the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">2. Failure to maintain compliance with the requirements for issuance or renewal of the permit of the firm;&nbsp;</span></p> <p><span class="cls0">3. Failure to sign accountants&rsquo; opinions in the firm name, except in instances in which a governmental agency shall require the signature to be that of an individual;&nbsp;</span></p> <p><span class="cls0">4. Fraud or deceit by any partner or shareholder in obtaining the firm permit;&nbsp;</span></p> <p><span class="cls0">5. Except sole proprietorships, failure to file income tax returns in the name of the firm; and&nbsp;</span></p> <p><span class="cls0">6. Dishonesty, fraud, or gross negligence in the practice of public accounting by any partner, shareholder, or employee of the firm in the name of the firm.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 188, &sect; 16, emerg. eff. June 8, 1965; Laws 1992, c. 272, &sect; 22, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 21, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.17. Renumbered as &sect; 15.15B of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.18. Renumbered as &sect; 15.10A of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.19. Repealed by Laws 1992, c. 272, &sect; 33, eff. Sept. 1. 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.20. Renumbered as &sect; 15.14B of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.22. Renumbered as &sect; 15.14A of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;5915.23. Hearings.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Accountancy Board shall conduct investigations and hearings when it believes a registrant, individual practicing under the provisions of the Oklahoma Accountancy Act, other individual or entity has violated any of the provisions of the Oklahoma Accountancy Act or rules promulgated thereunder wherever or whenever appropriate for the exercise of authority granted to the Board either on its own motion or on the complaint of any person or entity. Such proceedings shall be conducted in accordance with the provisions of the Administrative Procedures Act. The Board shall have all powers granted to administrative agencies for the conduct of individual proceedings; and judicial review thereof shall be in accordance with the provisions of such general laws relating to administrative procedure.&nbsp;</span></p> <p><span class="cls0">B. At all hearings, the Attorney General of this state, or an Assistant Attorney General, shall represent the Board. If the Attorney General is unable or declines to provide the Board with counsel, the Board is authorized to employ other legal counsel to represent it at a hearing. The counsel who presents the evidence supporting the complaint shall not be the counsel who advises the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 21, emerg. eff. June 8, 1965. Renumbered from &sect; 15.21 of this title by Laws 1968, c. 271, &sect; 23, emerg. eff. April 30, 1968. Amended by Laws 1992, c. 272, &sect; 23, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 13, eff. Nov. 1, 2002; Laws 2009, c. 45, &sect; 18, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.24. Penalties - Reinstatement or termination of suspension.&nbsp;</span></p> <p><span class="cls0">A. In the event an individual, certified public accountant, public accountant, firm or entity, after proper notice and hearing, is found to have violated one or more provisions of the Oklahoma Accountancy Act, the Board may impose one or more of the following penalties on the offending individual, firm or entity:&nbsp;</span></p> <p><span class="cls0">1. Revoke any certificate, license, practice privilege or permit issued pursuant to the provisions of the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">2. Suspend any certificate, license, practice privilege or permit for not more than five (5) years, subject to such terms, conditions, or limitations as deemed appropriate by the Board;&nbsp;</span></p> <p><span class="cls0">3. Reprimand a registrant, an individual granted practice privileges under Section 15.12A of this title, or a firm exempt from the permit and registration requirements under Section 15.15C of this title;&nbsp;</span></p> <p><span class="cls0">4. Place a registrant, an individual granted practice privileges under Section 15.12A of this title, or a firm exempt from the permit and registration requirements under Section 15.15C of this title on probation for a specified period of time, which may be shortened or lengthened, as the Board deems appropriate;&nbsp;</span></p> <p><span class="cls0">5. Limit the scope of practice of a registrant, an individual granted practice privileges under Section 15.12A of this title, or a firm exempt from the permit and registration requirements under Section 15.15C of this title;&nbsp;</span></p> <p><span class="cls0">6. Deny renewal of a permit;&nbsp;</span></p> <p><span class="cls0">7. Require a preissuance review or accelerated peer review of the registrant subject to such procedures as the Board deems appropriate;&nbsp;</span></p> <p><span class="cls0">8. Require successful completion of continuing professional educational programs deemed appropriate;&nbsp;</span></p> <p><span class="cls0">9. Assess a fine not to exceed Ten Thousand Dollars ($10,000.00) for each separate offense; and&nbsp;</span></p> <p><span class="cls0">10. Require the registrant, individual or entity to pay all costs incurred by the Board as a result of hearings conducted regarding accountancy actions of the registrant, individual, or entity, including, but not limited to, attorney fees, investigation costs, hearing officer costs, renting of special facilities costs, and court reporter costs.&nbsp;</span></p> <p><span class="cls0">B. Upon application in writing, the Board may reinstate a certificate, license, practice privilege or permit which has been revoked, or may modify, upon good cause as to why the individual or entity should be reinstated, the suspension of any certificate, license, practice privilege or permit.&nbsp;</span></p> <p><span class="cls0">C. Before reinstating or terminating the suspension of a certificate, license, practice privilege or permit, or as a condition to such reinstatement or termination, the Board may require the applicant to show successful completion of specified continuing professional education courses.&nbsp;</span></p> <p><span class="cls0">D. Before reinstating or terminating the suspension of a certificate, license, practice privilege or permit, or as a condition to such reinstatement or termination, the Board may make the reinstatement of a certificate, license, or permit conditional and subject to satisfactory completion of a peer review conducted in such fashion as the Board may specify.&nbsp;</span></p> <p><span class="cls0">E. Before reinstating or terminating the suspension of a certificate or license or as a condition to such reinstatement or termination, the Board may require the applicant to submit to a national criminal history records search. The costs associated with the national criminal history records search shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">F. The provisions of this section shall not be construed to preclude the Board from entering into any agreement to resolve a complaint prior to a formal hearing or before the Board enters a final order.&nbsp;</span></p> <p><span class="cls0">G. All monies, excluding costs, collected from civil penalties authorized in this section, such penalties being enforceable in the district courts of this state, shall be deposited with the State Treasurer to be paid into the General Revenue Fund of the state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 22, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 18, emerg. eff. April 30, 1968. Renumbered from &sect; 15.22 of this title by Laws 1968, c. 271, &sect; 23, emerg. eff. April 30, 1968. Amended by Laws 1992, c. 272, &sect; 24, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 22, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 19, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 13, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.25. Misrepresentation or fraud - Violations of act - Penalty.&nbsp;</span></p> <p><span class="cls0">Any individual or entity who:&nbsp;</span></p> <p><span class="cls0">1. Represents himself, herself or itself as having received a certificate, license, or permit and otherwise presents himself, herself or itself to the public as having specialized knowledge or skills associated with CPAs and PAs without having received such certificate, license, or permit; or&nbsp;</span></p> <p><span class="cls0">2. Continues to use such title or designation after such certificate, license, or permit has been recalled, revoked, surrendered, canceled, or suspended or refuses to surrender such certificate, license, or permit; or&nbsp;</span></p> <p><span class="cls0">3. Falsely represents himself, herself or itself as being a CPA or licensed as a public accountant, or firm of CPAs or licensed public accountants, or who incorrectly designates the character of the certificate, license or permit which he, she or it holds; or&nbsp;</span></p> <p><span class="cls0">4. Otherwise violates any of the provisions of the Oklahoma Accountancy Act;&nbsp;</span></p> <p><span class="cls0">upon conviction shall be deemed guilty of a misdemeanor.&nbsp;</span></p> <p><span class="cls0">Provided, however, that an individual granted practice privileges under Section 15.12A of this title or a firm exempt from the permit and registration requirements under Section 15.15C of this title may hold out as a CPA or a firm of CPAs, respectively, without violation of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 23, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 19, emerg. eff. April 30, 1968. Renumbered from &sect; 15.23 of this title by Laws 1968, c. 271, &sect; 23, emerg. eff. April 30, 1968. Amended by Laws 1992, c. 272, &sect; 25, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 23, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 20, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 14, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.26. False reports or statements - Penalty.&nbsp;</span></p> <p><span class="cls0">Any individual holding a certificate or license who knowingly falsifies any report or statement bearing on any attestation, investigation, or audit made by the individual or subject to the individual&rsquo;s direction shall be guilty of a felony, and upon conviction shall be punishable by imprisonment for a period of not more than one (1) year, or by a fine of not more than Twenty-five Thousand Dollars ($25,000.00) per occurrence, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 24, emerg. eff. June 8, 1965. Renumbered from &sect; 15.24 of Title 59 by Laws 1968, c. 271, &sect; 23, emerg. eff. April 30, 1968. Amended by Laws 1992, c. 272, &sect; 26, eff. Sept. 1, 1992; Laws 1997, c. 133, &sect; 505, eff. July 1, 1999; Laws 1999, 1st Ex.Sess., c. 5, &sect; 369, eff. July 1, 1999; Laws 2002, c. 312, &sect; 14, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 24, eff. Nov. 1, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 505 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.27. Cease and desist order &ndash; Fine - Injunction.&nbsp;</span></p> <p><span class="cls0">A. In addition to any other powers conferred on the Board to impose penalties for violations of the provisions of the Oklahoma Accountancy Act, whenever in the judgment of the Board any individual or entity has engaged in any acts or practices, that constitute a violation of the Oklahoma Accountancy Act, the Board may:&nbsp;</span></p> <p><span class="cls0">1. After notice and hearing, issue a cease and desist order to any individual who should have obtained a certificate, license, practice privilege or permit or to an entity which should have obtained a permit;&nbsp;</span></p> <p><span class="cls0">2. Impose a fine of not more than Ten Thousand Dollars ($10,000.00) for each violation in the event after the issuance of an order to cease and desist the illegal activity, the individual or entity to whom the order is directed commits any act in violation of the order; and&nbsp;</span></p> <p><span class="cls0">3. Make application to the appropriate court for an order enjoining such acts or practices, and upon a showing by the Board that such person has engaged in any such acts or practices, an injunction, restraining order, or such other order as may be appropriate shall be granted by such court, without bond.&nbsp;</span></p> <p><span class="cls0">B. Each day a violation is continuing shall constitute a separate offense.&nbsp;</span></p> <p><span class="cls0">C. Administrative fines imposed pursuant to this section shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">D. Notices and hearings required by this section shall be in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">E. Appeals from orders entered pursuant to this section shall be in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 26, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 22, emerg. eff. April 30, 1968. Renumbered from &sect; 15.26 of this title by Laws 1968, c. 271, &sect; 23, emerg. eff. April 30, 1968. Amended by Laws 1992, c. 272, &sect; 27, eff. Sept. 1, 1992; Laws 2004, c. 125, &sect; 25, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 21, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.28. Prima facie evidence.&nbsp;</span></p> <p><span class="cls0">The displaying or uttering by an individual or entity not registered in accordance with the Oklahoma Accountancy Act of a card, sign, advertisement, or other printed, engraved, or written instrument or device bearing the name of the individual or entity in conjunction with the words &ldquo;Certified Public Accountant&rdquo; or &ldquo;Public Accountant&rdquo; or any abbreviation thereof shall be prima facie evidence in any action brought pursuant to the provisions of the Oklahoma Accountancy Act that the individual or entity whose name is so displayed or uttered caused or procured the display or uttering of such card, sign, advertisement or other printed, engraved or written instrument or device, and that such individual or entity is representing himself, herself or itself to be a certified public accountant, public accountant or CPA, PA or entity holding a valid permit.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 188, &sect; 27, emerg. eff. June 8, 1965. Amended by Laws 1968, c. 271, &sect; 20, emerg. eff. April 30, 1968. Renumbered from &sect; 15.27 of Title 59 by Laws 1968, c. 271, &sect; 23, emerg. eff. April 30, 1968. Amended by Laws 1992, c. 272, &sect; 28, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 15, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 26, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.29A. Unlawful use of titles or abbreviations - Injunction, restraining order, or other order.&nbsp;</span></p> <p><span class="cls0">Whenever, as a result of an investigation under Section 15.23 of this title or otherwise, the Oklahoma Accountancy Board believes that any person or firm has engaged, or is about to engage, in any acts or practices which constitute or will constitute a violation of Section 15.11 of this title, the Board may make application to the appropriate court for an order enjoining such acts or practices, and upon a showing by the Board that such person or firm has engaged, or is about to engage, in any such acts or practices, an injunction, restraining order, or other order as may be appropriate shall be granted by such court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2002, c. 312, &sect; 16, eff. Nov. 1, 2002. Amended by Laws 2004, c. 125, &sect; 27, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.29B. Enforcement actions - Evidence of single act sufficient.&nbsp;</span></p> <p><span class="cls0">In any action brought under Section 15.24 or 15.27 of this title, evidence of the commission of a single action prohibited by the Oklahoma Accountancy Act shall be sufficient to justify a penalty, injunction, restraining order, or conviction, respectively, without evidence of a general course of conduct.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2002, c. 312, &sect; 17, eff. Nov. 1, 2002. Amended by Laws 2004, c. 125, &sect; 28, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.30. Peer reviews.&nbsp;</span></p> <p><span class="cls0">A. As a condition for issuance or renewal of permits, the Board may require applicants who perform attest services, except compilations and those services described in subparagraph d of paragraph 5 of Section 15.1A of this title, to undergo peer reviews conducted not less than once every three (3) years.&nbsp;</span></p> <p><span class="cls0">B. Peer reviews shall be conducted in such manner and in accordance with such standards as the Board may specify by rule.&nbsp;</span></p> <p><span class="cls0">C. The rules may provide for a registrant to comply by providing documented proof of a satisfactory peer review conducted for some other purpose which meets the purposes and standards of the Board peer review program within three (3) years preceding the date the Oklahoma peer review is to be conducted.&nbsp;</span></p> <p><span class="cls0">D. Failure of any registrant to provide full cooperation with the Board or any individual acting at the direction of the Board in performing a peer review shall after notice and a hearing be subject to the penalties provided in the Oklahoma Accountancy Act.&nbsp;</span></p> <p><span class="cls0">E. The Board by rule may establish a fee in an amount not to exceed One Hundred Dollars ($100.00) for each peer review required by the Board under this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1992, c. 272, &sect; 29, eff. Sept. 1, 1992. Amended by Laws 2004, c. 125, &sect; 29, eff. Nov. 1, 2004; Laws 2011, c. 150, &sect; 3.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-15.31. Repealed by Laws 1992, c. 272, &sect; 33, eff. Sept. 1. 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.32. Renumbered as &sect; 15.36 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.33. Renumbered as &sect; 15.37 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-15.35. Continuing professional education.&nbsp;</span></p> <p><span class="cls0">A. In order to assure continuing professional competence of individuals in accountancy, and as a condition for issuance of a certificate or license and/or renewal of a permit to practice, certificate and license holders shall furnish evidence of participation in continuing professional education.&nbsp;</span></p> <p><span class="cls0">B. Continuing professional education compliance periods shall be established by rule.&nbsp;</span></p> <p><span class="cls0">C. All certificate and license holders shall complete at least one hundred twenty (120) hours of continuing professional education within a three-year period with completion of not less than twenty (20) hours of continuing professional education in any year.&nbsp;</span></p> <p><span class="cls0">D. The Oklahoma Accountancy Board shall adopt rules and regulations regarding such continuing professional education. Such rules shall include but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Requiring reporting of continuing professional education to coincide with the annual permit renewal date;&nbsp;</span></p> <p><span class="cls0">2. Provisions for exempting retired, inactive and disabled individuals as defined by the Board in the rules from the requirement of continuing professional education; and&nbsp;</span></p> <p><span class="cls0">3. Adopt standards for determining approved continuing professional education courses.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 274, &sect; 4, eff. July 1, 1980. Amended by Laws 1992, c. 272, &sect; 30, eff. Sept. 1, 1992; Laws 2002, c. 312, &sect; 18, eff. Nov. 1, 2002; Laws 2004, c. 125, &sect; 30, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 22, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.36. Persons who may perform assurance services and audits or issue reports.&nbsp;</span></p> <p><span class="cls0">Any CPA or PA holding a valid permit, or an individual granted practice privileges under Section 15.12A of this title, may perform assurance services, including audit services, and issue a report required by any statute, charter, ordinance, trust or other legal instrument.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 324, &sect; 2, emerg. eff. June 24, 1971. Amended by Laws 1992, c. 272, &sect; 31, eff. Sept. 1, 1992. Renumbered from &sect; 15.32 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992. Amended by Laws 2004, c. 125, &sect; 31, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 23, emerg. eff. April 14, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.37. Acts and instruments not to provide for audit services by other than registrant holding valid permit.&nbsp;</span></p> <p><span class="cls0">No ordinance, trust or other legal instrument shall provide for any audit services to be performed other than by a registrant holding a valid permit or an individual granted practice privileges under Section 15.12A of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 324, &sect; 3, emerg. eff. June 24, 1971. Amended by Laws 1992, c. 272, &sect; 32, eff. Sept. 1, 1992. Renumbered from &sect; 15.33 of this title by Laws 1992, c. 272, &sect; 34, eff. Sept. 1, 1992. Amended by Laws 2004, c. 125, &sect; 32, eff. Nov. 1, 2004; Laws 2009, c. 45, &sect; 24, emerg. eff. April 14, 2009; Laws 2010, c. 85, &sect; 15, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-15.38. Filing, fees, and continuing professional education requirements waived for license or certificate holder called to active military service.&nbsp;</span></p> <p><span class="cls0">All filing requirements, fees and the continuing professional education requirements provided in the Oklahoma Accountancy Act shall be waived for any holder of a license or certificate who is called to active military service. The license or certificate holder shall provide the Board a copy of the order to active military service. This waiver shall remain in effect for the duration of the certificate or license holder&rsquo;s active military service. Within sixty (60) days after the discharge from active military service, the license or certificate holder shall provide a copy of the discharge order to the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 125, &sect; 33, eff. Nov. 1, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.1. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;State Architectural and Registered Interior Designers Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 347, &sect; 1. Amended by Laws 1980, c. 314, &sect; 1, eff. July 1, 1980; Laws 1986, c. 287, &sect; 1, operative July 1, 1986. Renumbered from Title 59, &sect; 45.1, by Laws 1986, c. 287, &sect; 30, operative July 1, 1986; Laws 2006, c. 163, &sect; 1, eff. July 1, 2006; Laws 2009, c. 184, &sect; 1, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.2. Purpose of act.&nbsp;</span></p> <p><span class="cls0">In order to safeguard life, health and property and to promote the public welfare, the professions of architecture or landscape architecture are declared to be subject to regulation in the public interest. It is unlawful for any person to practice or offer to practice architecture or landscape architecture in this state, as defined in the provisions of Section 46.1 et seq. of this title, use in connection with the person's name, or otherwise assume the title of architect, landscape architect or registered interior designer, or advertise any title or description tending to convey the impression that the person is a licensed architect or landscape architect or a registered interior designer unless the person is duly licensed or exempt from licensure or registration under the State Architectural and Interior Designers Act. The practice of architecture and landscape architecture and the use of the titles, architect, landscape architect or registered interior designer, are privileges granted by the state through the Board of Governors of the Licensed Architects, Landscape Architects and Registered Interior Designers of Oklahoma based upon the qualifications of the individual as evidenced by a certificate of licensure or registration which shall not be transferable.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 347, &sect; 2, emerg. eff. April 16, 1947. Amended by Laws 1986, c. 287, &sect; 2, operative July 1, 1986. Renumbered from &sect; 45.2 of this title by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 1, eff. July 1, 1998; Laws 2006, c. 163, &sect; 2, eff. July 1, 2006; Laws 2006, c. 193, &sect; 1, eff. July 1, 2006; Laws 2009, c. 184, &sect; 2, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.3. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the State Architectural and Registered Interior Designers Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Architect&rdquo; means any person who is licensed and engages in the practice of architecture as hereinafter defined;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Practice of architecture&rdquo; means rendering or offering to render certain services, in connection with the design and construction, enlargement or alteration of a building or a group of buildings and the space surrounding such buildings, including buildings which have as their principal purpose human occupancy or habitation; the services referred to include planning, providing preliminary studies, designs, drawings, specifications and other technical submissions, the administration of construction contracts, and the coordination of any elements of technical submissions prepared by others including, as appropriate and without limitation, consulting engineers and landscape architects; provided, that the practice of architecture shall include such other professional services as may be necessary for the rendering of or offering to render architectural services;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Registration or license&rdquo; means a certificate of registration or license issued by the Board. The definition of &ldquo;license&rdquo; shall apply to those persons licensed under a practice act. The definition of &ldquo;registration&rdquo; shall apply to those persons registered under a title act;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Building&rdquo; means a structure consisting of a foundation, walls, all floors and roof, with or without other parts;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Board&rdquo; means the Board of Governors of the Licensed Architects, Landscape Architects and Registered Interior Designers of Oklahoma;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Certificate of authority&rdquo; means the authorization granted by the Board for persons to practice or offer to practice architecture or landscape architecture through a partnership, firm, association, corporation, limited liability company or limited liability partnership;&nbsp;</span></p> <p><span class="cls0">7. &rdquo;Certificate of title&rdquo; means the authorization granted by the Board for a partnership, firm, association, corporation, limited liability company or limited liability partnership to use the title &ldquo;registered interior designer&rdquo; or any modification or derivation of these terms;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Technical submissions&rdquo; means designs, drawings, specifications, studies and other technical reports prepared in the course of practicing architecture or landscape architecture;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Responsible control&rdquo; means the amount of control and detailed knowledge of the content of technical submissions during their preparation as is ordinarily exercised by licensed architects or landscape architects applying the required professional standard of care;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Landscape architect&rdquo; means a person licensed to practice landscape architecture as provided in the State Architectural and Registered Interior Designers Act;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Landscape architecture&rdquo; means the performance of professional services defined as teaching, consultations, investigations, reconnaissance, research, planning, design, preparation of construction drawings and specifications, and construction observation in connection with the planning and arranging of land and the elements thereon for public and private use and enjoyment, including the design and layout of roadways, service areas, parking areas, walkways, steps, ramps, pools, the location and siting of improvements including buildings and other structures, and the grading of the land, surface and subsoil drainage, erosion control, planting, reforestation, and the preservation of the natural landscape, in accordance with accepted professional standards, and to the extent that the dominant purpose of such services or creative works is the preservation, conservation, enhancement, or determination of proper land uses, natural land features, ground cover and plantings, or naturalistic and aesthetic values.&nbsp;</span></p> <p><span class="cls0">The practice of landscape architecture shall include the location and arrangement of tangible objects and features as are incidental and necessary to the purpose outlined for landscape architecture. The practice of landscape architecture shall not include the design of structures or facilities with separate and self-contained purposes for habitation or industry, or the design of public streets, highways, utilities, storm and sanitary sewers and sewage treatment facilities, that are statutorily defined as the practice of engineering or architecture;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Code&rdquo; means the nationally recognized building code adopted by the local, municipal, or county jurisdiction in which a building is located. Where no building code has been adopted by the local, municipal or county jurisdiction, all buildings shall meet the requirements of the state building code as adopted by the Office of the State Fire Marshal;&nbsp;</span></p> <p><span class="cls0">13. &ldquo;Applicable building official&rdquo; means the official responsible for the application of the adopted building code as implemented by the local, municipal or county jurisdiction in which a building is located. Where no building code has been adopted by the local, municipal or county jurisdiction, the applicable building official shall be defined as the State Fire Marshal; and&nbsp;</span></p> <p><span class="cls0">14. &ldquo;Registered interior designer&rdquo; means a person recognized by this state who is registered, qualified by education, experience and examination and meeting all the requirements set forth in the State Architectural and Registered Interior Designers Act and the Board&rsquo;s rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 347, &sect; 3, emerg. eff. April 16, 1947. Amended by Laws 1949, p. 387, &sect; 1, emerg. eff. May 6, 1949; Laws 1978, c. 191, &sect; 1; Laws 1980, c. 314, &sect; 2, eff. July 1, 1980; Laws 1986, c. 154, &sect; 1, eff. July 1, 1986; Laws 1986, c. 287, &sect; 3, operative July 1, 1986. Renumbered from &sect; 45.3 of this title by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 2, eff. July 1, 1998; Laws 2005, c. 77, &sect; 1, eff. July 1, 2005; Laws 2006, c. 163, &sect; 3, eff. July 1, 2006; Laws 2006, c. 193, &sect; 2, eff. July 1, 2006; Laws 2009, c. 184, &sect; 3, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.4. Board of Governors of the Licensed Architects, Landscape Architects and Registered Interior Designers of Oklahoma.&nbsp;</span></p> <p><span class="cls0">There is hereby re-created, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, a board to be known as the &ldquo;Board of Governors of the Licensed Architects, Landscape Architects and Registered Interior Designers of Oklahoma&rdquo;, hereinafter referred to as the Board. The Board shall be composed of eleven (11) members, including seven persons who have been duly licensed to practice architecture and are actively engaged in the practice of architecture in this state or are teaching professors of architecture and duly licensed to practice architecture in this state, two persons who have been duly licensed to practice landscape architecture and are actively engaged in the practice of landscape architecture in this state or are teaching professors of landscape architecture and duly licensed to practice landscape architecture in this state, one person as a registered interior designer after the initial appointment and any new appointees thereafter shall be a registered interior designer and either actively engaged as a registered interior designer in this state or is a registered teaching professor of interior design, and one lay member. Each member of the Board shall be a qualified elector of this state, and the architect and landscape architect members shall have had five (5) years' experience in the application or the study of the principles of their respective profession after initial licensure. The registered interior designer shall have five (5) years&rsquo; experience in the application or the study of the principles of interior design, met the requirements of Section 46.38 of this title and become registered. After July 1, 2012, the registered interior designer member of the Board shall have five (5) years of being registered by the Board and shall have met the requirements of Section 46.38 of this title. Re-creation of the Board shall not alter existing staggered terms. Board members, other than the lay member, shall be appointed for a period of five (5) years thereafter; provided that nothing herein shall affect the tenure of office of anyone who is a member of the Board on the effective date of this act. A member may be reappointed to succeed such membership. The licensed persons engaged in the practice of architecture or landscape architecture or the registered interior designer, or the persons who are licensed teaching professors of architecture, landscape architecture or registered and teaching interior design, may be appointed by the Governor from a list of nominees submitted by respective professional societies of this state. Membership in a professional society shall not be a prerequisite to appointment to the Board. The lay member of the Board shall be appointed by the Governor to a term coterminous with that of the Governor. The lay member shall serve at the pleasure of the Governor. Provided, the lay member may continue to serve after the expiration of the term of the member until such time as a successor is appointed. Vacancies which may occur in the membership of the Board shall be filled by appointment by the Governor. Each person who has been appointed to fill a vacancy shall serve for the remainder of the term for which the member the person shall succeed was appointed and until a successor, in turn, has been appointed and shall have qualified. Each member of the Board, before entering upon the discharge of the duties of the member, shall make and file with the Secretary of State a written oath or affirmation for the faithful discharge of official duties. Each member of the Board shall be reimbursed for travel expenses pursuant to the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 348, &sect; 5, emerg. eff. April 16, 1947. Amended by Laws 1957, p. 463, &sect; 1, emerg. eff. May 31, 1957; Laws 1980, c. 314, &sect; 4, eff. July 1, 1980; Laws 1981, c. 320, &sect; 1; Laws 1985, c. 178, &sect; 28, operative July 1, 1985; Laws 1986, c. 154, &sect; 2, eff. July 1, 1986; Laws 1986, c. 287, &sect; 5, operative July 1, 1986. Renumbered from &sect; 45.5 of this title by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1992, c. 20, &sect; 1; Laws 1998, c. 39, &sect; 1; Laws 1998, c. 220, &sect; 3, eff. July 1, 1998; Laws 2004, c. 30, &sect; 1; Laws 2006, c. 163, &sect; 4, eff. July 1, 2006; Laws 2006, c. 193, &sect; 3, eff. July 1, 2006; Laws 2009, c. 184, &sect; 4, eff. July 1, 2009; Laws 2010, c. 28, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.5. Repealed by Laws 1998, c. 220, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.6. Meetings - Officers - Salary - Quorum.&nbsp;</span></p> <p><span class="cls0">The Board shall hold regular meetings with the dates, times and place to be fixed by the Board. The Board shall hold a regular meeting in June of each year, which meeting shall be the annual meeting, at which time it shall elect its officers for the next fiscal year and conduct all other business required under this act. At the regular meeting of the Board herein in June of each year, the Board shall elect from its membership a chair, a vice-chair and a secretary-treasurer, each of whom shall serve until such officer's respective successor shall have been elected and shall have qualified. The position of the secretary-treasurer shall not count against the agency&rsquo;s full-time-equivalent limits authorized by the Legislature. The chair shall preside at all meetings of the Board and shall perform such other duties as the Board may prescribe. The secretary-treasurer shall receive a monthly salary to be fixed by the Board and shall be reimbursed pursuant to the State Travel Reimbursement Act for travel and other expenses which shall have been incurred while in the performance of the duties of this office. Six Board members shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 349, &sect; 7, emerg. eff. April 16, 1947. Amended by Laws 1980, c. 159, &sect; 9, emerg. eff. April 2, 1980; Laws 1980, c. 314, &sect; 6, eff. July 1, 1980; Laws 1986, c. 287, &sect; 8, operative July 1, 1986. Renumbered from Title 59, &sect; 45.7, by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 4, eff. July 1, 1998; Laws 2006, c. 163, &sect; 5, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.7. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">In addition to the other powers and duties imposed by law, the Board shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Prescribe such rules and to make such orders, as it may deem necessary or expedient in the performance of its duties;&nbsp;</span></p> <p><span class="cls0">2. Prepare, conduct, and grade examinations of persons who shall apply for the issuance of licenses to them, and to promulgate such rules with reference thereto as it may deem proper;&nbsp;</span></p> <p><span class="cls0">3. Contract with nationally recognized registration organizations to prepare, conduct, and grade examinations, written or oral, of persons who shall apply for the issuance of licenses;&nbsp;</span></p> <p><span class="cls0">4. Determine the satisfactory passing score on such examinations and issue licenses to persons who shall have passed examinations, or who shall otherwise be entitled thereto;&nbsp;</span></p> <p><span class="cls0">5. Determine eligibility for licenses and certificates of authority;&nbsp;</span></p> <p><span class="cls0">6. Determine eligibility for registration as a registered interior designer and for certificate of title;&nbsp;</span></p> <p><span class="cls0">7. Promulgate rules to govern the issuing of reciprocal licenses and registrations;&nbsp;</span></p> <p><span class="cls0">8. Upon good cause shown, as hereinafter provided, deny the issuance of a license, registration, certificate of authority or certificate of title or suspend, revoke or refuse to renew licenses, registrations, certificates of title or certificates of authority previously issued, and upon proper showing, to reinstate them;&nbsp;</span></p> <p><span class="cls0">9. Review, affirm, reverse, vacate or modify its order with respect to any such denial, suspension, revocation or refusal to renew;&nbsp;</span></p> <p><span class="cls0">10. Prescribe rules governing proceedings for the denial of issuance of a license, registration, certificate of authority or certificate of title, suspension, revocation or refusal to renew, for cause, of licenses, registrations, certificates of authority or certificates of title heretofore issued and the reinstatement thereof;&nbsp;</span></p> <p><span class="cls0">11. Prescribe such penalties, as it may deem proper, to be assessed against holders of licenses, registrations, certificates of authority or certificates of title for the failure to pay the biennial fee hereinafter provided for;&nbsp;</span></p> <p><span class="cls0">12. Levy civil penalties plus the legal costs incurred by the Board to prosecute the case against any person or entity who shall violate any of the provisions of the State Architectural and Registered Interior Designers Act or any rule promulgated thereto;&nbsp;</span></p> <p><span class="cls0">13. Obtain an office, secure such facilities, and employ, direct, discharge and define the duties and set the salaries of such office personnel and set the salaries of such unclassified and exempt office personnel as deemed necessary by the Board;&nbsp;</span></p> <p><span class="cls0">14. Initiate disciplinary action, prosecute and seek injunctions against any person or entity who has violated any of the provisions of the State Architectural and Registered Interior Designers Act or any rule of the Board promulgated pursuant to said act and against the owner/developer of the building type not exempt;&nbsp;</span></p> <p><span class="cls0">15. Investigate alleged violations of the State Architectural and Registered Interior Designers Act or of the rules, orders or final decisions of the Board;&nbsp;</span></p> <p><span class="cls0">16. Promulgate rules of conduct governing the practice of licensed architects and landscape architects;&nbsp;</span></p> <p><span class="cls0">17. Keep accurate and complete records of proceedings, and certify the same as may be appropriate;&nbsp;</span></p> <p><span class="cls0">18. Whenever it deems it appropriate, confer with the Attorney General or the Attorney General&rsquo;s assistants in connection with all legal matters and questions. The Board may also retain an attorney who is licensed to practice law in this state. The attorney shall serve at the pleasure of the Board for such compensation as may be provided by the Board. The attorney shall advise the Board and perform legal services for the Board with respect to any matters properly before the Board. In addition to the above, the Board may employ hearing examiners to conduct administrative hearings under the provisions of the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">19. Prescribe by rules, fees to be charged as required by this act;&nbsp;</span></p> <p><span class="cls0">20. Adopt rules providing for a program of continuing education in order to insure that all licensed architects or landscape architects remain informed of those technical and professional subjects which the Board deems appropriate to professional architect or landscape architect practice. The Board may by rule describe the methods by which the requirements of such program may be satisfied. Failure to meet such requirements of continuing education shall result in nonrenewal of the license issued to the architect or landscape architect;&nbsp;</span></p> <p><span class="cls0">21. Adopt rules regarding requirements for intern development as a prerequisite for licensure; and&nbsp;</span></p> <p><span class="cls0">22. Take such other action as may be reasonably necessary or appropriate to effectuate the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 349, &sect; 8, emerg. eff. April 16, 1947. Amended by Laws 1980, c. 314, &sect; 7, eff. July 1, 1980; Laws 1986, c. 154, &sect; 4, eff. July 1, 1986; Laws 1986, c. 287, &sect; 9, operative July 1, 1986. Renumbered from &sect; 45.8 of this title by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 5, eff. July 1, 1998; Laws 2006, c. 163, &sect; 6, eff. July 1, 2006; Laws 2006, c. 193, &sect; 4, eff. July 1, 2006; Laws 2009, c. 184, &sect; 5, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.8. Repealed by Laws 1998, c. 220, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.8a. Unlawful practice or use of title - License&mdash;Reciprocity.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person to directly or indirectly engage in the practice of architecture in this state or use the title &ldquo;Architect&rdquo;, &ldquo;Registered or Licensed Architect&rdquo;, &ldquo;Architectural Designer&rdquo;, or display or use any words, letters, figures, titles, signs, cards, advertisements, or other symbols or devices indicating or tending to indicate that such person is an architect or is practicing architecture, unless the person is licensed under the provisions of this act. No person shall aid or abet any person, not licensed under the provisions of this act, in the practice of architecture.&nbsp;</span></p> <p><span class="cls0">B. Every person applying to the Board for an initial license shall submit an application accompanied by the fee established in accordance with the rules of the Board, with satisfactory evidence that such person holds an accredited professional degree in architecture or has completed such other education as the Board deems equivalent to an accredited professional degree and with satisfactory evidence that such person has completed such practical training in architectural work as the Board requires. If an applicant is qualified in accordance with this subsection, the Board shall, by means of a written examination, examine the applicant on such technical and professional subjects as are prescribed by the Board. None of the examination materials shall be considered public records. The Board may exempt from such written examination an applicant who holds a certification issued by the National Council of Architectural Registration Boards. The Board may adopt as its own rules governing practical training and education those guidelines published from time to time by the National Council of Architectural Registration Boards. The Board may also adopt the examinations and grading procedures of the National Council of Architectural Registration Boards and the accreditation decisions of the National Architectural Accrediting Board. The Board shall issue its license to each applicant who is found to be of good moral character and who satisfies the requirements set forth in this section and the Board&rsquo;s rules. Such license shall be effective upon issuance.&nbsp;</span></p> <p><span class="cls0">C. Pursuant to such rules as it may have adopted, the Board shall have the power to issue licenses without requiring an examination to persons who have been licensed to practice architecture in states other than the State of Oklahoma, in a territory of the United States, in the District of Columbia, or in a country other than the United States; provided that the state or country has a similar reciprocal provision to authorize the issuance of licenses to persons who have been licensed in this state. If a person who has been licensed in a state other than the State of Oklahoma, or in a territory of the United States, in the District of Columbia, or in a country other than the United States complies with the rules of the Board, the secretary-treasurer, acting in the exercise of his or her discretion or upon the order of the Board in the exercise of its discretion and upon the receipt of the stated payment to the Board pursuant to the rules of the Board, shall issue to the person a license to practice architecture in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1998, c. 220, &sect; 6, eff. July 1, 1998. Amended by Laws 2006, c. 163, &sect; 7, eff. July 1, 2006; Laws 2009, c. 184, &sect; 6, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.9. Practice through partnership, firm, association, corporation, limited liability company or limited liability partnership - Certificates of authority or title - Foreign entities - Registration of trade name or service mark.&nbsp;</span></p> <p><span class="cls0">A. The practice of architecture or landscape architecture or offering to practice these professions for others by persons licensed under this act through a partnership, firm, association, corporation, limited liability company or limited liability partnership as directors, partners, officers, shareholders, employees, managers, members or principals is permitted, subject to the provisions of the State Architectural and Registered Interior Designers Act, provided:&nbsp;</span></p> <p><span class="cls0">1. One or more of the directors, partners, officers, shareholders, managers, members or principals of said partnership, firm, association, corporation, limited liability company or limited liability partnership is designated as being responsible for the entity&rsquo;s activities and decisions of said partnership, firm, association, corporation, limited liability company or limited liability partnership;&nbsp;</span></p> <p><span class="cls0">2. Such director, partner, officer, shareholder, manager, member or principal is duly licensed under the State Architectural and Registered Interior Designers Act;&nbsp;</span></p> <p><span class="cls0">3. All personnel of said partnership, firm, association, corporation, limited liability company or limited liability partnership which act in behalf of the entity for these professions in the state are licensed under the State Architectural and Registered Interior Designers Act; and&nbsp;</span></p> <p><span class="cls0">4. Said partnership, firm, association, corporation, limited liability company or limited liability partnership has been issued a certificate of authority by the Board.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the power to issue, revoke, deny, or refuse to renew a certificate of authority for a partnership, firm, association, corporation, limited liability company or limited liability partnership as provided for in the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">C. A partnership, firm, association, corporation, limited liability company or limited liability partnership desiring to practice architecture or landscape architecture shall file with the Board an application for a certificate of authority on a form approved by the Board which shall include the names, addresses, state of licensure and license number of all partners, directors, officers, members, managers or principals of the partnership, firm, association, corporation, limited liability company or limited liability partnership legally responsible for the entity&rsquo;s practice. The form shall name an individual having the practice of architecture in such person's charge who is a director, partner, officer, member, manager or principal. The person shall be duly licensed as an architect to practice architecture or licensed as a landscape architect to practice landscape architecture in this state through said partnership, firm, association, corporation, limited liability company or limited liability partnership legally responsible for the entity&rsquo;s practice or services offered and other information required by the Board. In the event there shall be a change in any of these persons during the term of the certification, such change shall be filed with the Board within thirty (30) days after the effective date of said change. If all of the requirements of this section and the Board's current rules have been met, the Board shall issue a certificate of authority to such partnership, firm, association, corporation, limited liability company or limited liability partnership.&nbsp;</span></p> <p><span class="cls0">D. Any other person licensed pursuant to the State Architectural and Registered Interior Designers Act, not practicing these professions as a partnership, firm, association, corporation, limited liability company or limited liability partnership, shall practice as an individual.&nbsp;</span></p> <p><span class="cls0">E. No such partnership, firm, association, corporation, limited liability company or limited liability partnership shall be relieved of responsibility for the conduct or acts of its agents, employees, partners, directors, officers, managers, members or principals by reason of its compliance with the provisions of this section, or shall any individual practicing these professions be relieved of responsibility for professional services performed as an individual by reason of such person's employment or relationship with such partnership, firm, association, corporation, limited liability company or limited liability partnership.&nbsp;</span></p> <p><span class="cls0">F. The Secretary of State shall not issue a certificate of incorporation or register a foreign corporation or any other entity which includes among the objectives for which it is established any of the words &ldquo;Architect&rdquo;, &ldquo;Architectural&rdquo;, &ldquo;Architecture&rdquo;, &ldquo;Landscape Architect&rdquo;, &ldquo;Landscape Architecture&rdquo; or any modification or derivation of these words, unless the Board has issued for said applicant either a certificate of authority for an entity, or a letter indicating the eligibility for an exemption pursuant to the State Architectural and Registered Interior Designers Act. The entity applying shall supply such certificate or letter from the Board with its application for incorporation or registration.&nbsp;</span></p> <p><span class="cls0">G. The Secretary of State shall not register any trade name or service mark which includes such words, as set forth in subsection F of this section, or modifications or derivatives thereof in its firm name or logotype except those entities or individuals holding certificates of authority issued under the provisions of this section or letters of eligibility issued by the Board.&nbsp;</span></p> <p><span class="cls0">H. The use of the title &ldquo;Registered Interior Designer&rdquo; by a partnership, firm, association, corporation, limited liability company or limited liability partnership is allowed to those entities listed, provided:&nbsp;</span></p> <p><span class="cls0">1. One or more of the directors, partners, officers, shareholders, members, managers or principals is registered with the Board as a registered interior designer and is in good standing with the Board; and&nbsp;</span></p> <p><span class="cls0">2. The partnership, firm, association, corporation, limited liability company or limited liability partnership has been issued a certificate of title by the Board.&nbsp;</span></p> <p><span class="cls0">I. The Board shall have the power to issue, revoke, deny or refuse to renew a certificate of title for a partnership, firm, association, corporation, limited liability company or limited liability partnership as provided for in the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">J. A partnership, firm, association, corporation, limited liability company or limited liability partnership shall file with the Board an application for a certificate of title on a form approved by the Board which shall include the names, addresses, state of registration and registration number of all directors, partners, officers, shareholders, members, managers, or principals of the partnership, firm, association, corporation, limited liability company or limited liability partnership. In the event there shall be a replacement of any of these persons during the term of certification, the change shall be filed with the Board within thirty (30) days after the effective date of the change. If all the requirements of this section and the current rules of the Board have been met, the Board shall issue a certificate of title to such partnership, firm, association, corporation, limited liability company or limited liability partnership.&nbsp;</span></p> <p><span class="cls0">K. The Secretary of State shall not issue a certificate of incorporation or register a foreign corporation or any other entity which includes among the objectives for which it is established any of the words &ldquo;Registered Interior Designer&rdquo; or any modification or derivation of these words, unless the Board has issued for the applicant either a certificate of title for an entity, or a letter indicating the eligibility for an exemption pursuant to the State Architectural and Registered Interior Designers Act. The firm applying shall supply such certificate of title or letter from the Board with its application for incorporation or registration.&nbsp;</span></p> <p><span class="cls0">L. The Secretary of State shall not register any trade name or service mark which includes such words as set forth in subsection K of this section, or modification or derivatives thereof in its firm name or logotype except those entities or individuals holding certificates of title issued under the provisions of this section or letters of eligibility issued by the Board.&nbsp;</span></p> <p><span class="cls0">M. Upon application for renewal and upon compliance with the provisions of the State Architectural and Registered Interior Designers Act and the rules of the Board, a certificate of title shall be renewed as provided in this act.&nbsp;</span></p> <p><span class="cls0">N. Upon application for renewal and upon compliance with the provisions of the State Architectural and Registered Interior Designers Act and the rules of the Board, a certificate of authority shall be renewed as provided in this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 351, &sect; 12, emerg. eff. April 16, 1947. Amended by Laws 1963, c. 178, &sect; 1, emerg. eff. June 10, 1963; Laws 1981, c. 320, &sect; 4; Laws 1983, c. 21, &sect; 2, operative July 1, 1983; Laws 1986, c. 154, &sect; 6, eff. July 1, 1986; Laws 1986, c. 287, &sect; 13, operative July 1, 1986. Renumbered from Title 59, &sect; 45.12, by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 7, eff. July 1, 1998; Laws 2006, c. 163, &sect; 8, eff. July 1, 2006; Laws 2009, c. 184, &sect; 7, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.10. Dues - Cancellation of license or registration for nonpayment.&nbsp;</span></p> <p><span class="cls0">Every licensed architect, landscape architect and registered interior designer shall pay to the Board a fee as prescribed by the rules of the Board. Upon receipt of the fee the Board shall issue a renewal of the license or registration, which shall authorize the person to practice architecture, landscape architecture or use the title registered interior designer, as the case may be, in this state. The license of an architect or landscape architect or the registration of a registered interior designer which has been canceled by the Board for nonpayment of dues may be renewed at any time within three (3) years from the date of the cancellation, upon payment to the Board of the fees which had accrued at the time of the cancellation and which would have been paid at the time of reinstatement had not the license or registration been suspended, together with payment of the amount of penalties which may have been prescribed by the Board. If a license or registration remains canceled for a period exceeding three (3) consecutive years, it shall not be reinstated unless the licensee or registrant has taken or submitted to a test or a quiz or a Board review or an examination as the circumstances of the individual case may warrant and as may be prescribed by the Board in order to determine continued competency of the licensee or registrant. A partnership, firm, association, corporation, limited liability company or limited liability partnership shall pay to the Board the fee prescribed and in the manner provided by the rules of the Board for the renewal of the certificate of authority or certificate of title for such partnership, firm, association, corporation, limited liability company or limited liability partnership.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 351, &sect; 13, emerg. eff. April 16, 1947. Amended by Laws 1949, p. 388, &sect; 3, emerg. eff. May 6, 1949; Laws 1963, c. 178, &sect; 2, emerg. eff. June 10, 1963; Laws 1983, c. 21, &sect; 3, operative July 1, 1983; Laws 1986, c. 154, &sect; 7, eff. July 1, 1986; Laws 1986, c. 287, &sect; 14, operative July 1, 1986. Renumbered from &sect; 45.13 of this title by Laws 1986, c. 287, &sect; 30, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 8, eff. July 1, 1998; Laws 2001, c. 245, &sect; 1, eff. Nov. 1, 2001; Laws 2006, c. 163, &sect; 9, eff. July 1, 2006; Laws 2006, c. 193, &sect; 5, eff. July 1, 2006; Laws 2009, c. 184, &sect; 8, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.11. Renewal of license or certificate - Display.&nbsp;</span></p> <p><span class="cls0">No license for architects or landscape architects or a certificate of authority for a partnership, firm, association, corporation, limited liability company or limited liability partnership, shall be issued or renewed for longer than two (2) years. A license or certificate may be renewed upon application, compliance with the rules of the Board, and payment of fees prior to or on June 30 of alternate years. Every licensed architect or landscape architect having a place of business or employment within the state shall display such person's license in a conspicuous place in such place of business or employment. A new license to replace a lost, destroyed or mutilated license shall be issued by the Board upon payment of a fee established in accordance with the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 287, &sect; 11, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 9, eff. July 1, 1998; Laws 2006, c. 163, &sect; 10, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.12. Reinstatement of license, registration or certificate.&nbsp;</span></p> <p><span class="cls0">After the expiration of a period of six (6) months and upon payment to the Board of a fee as prescribed by the rules of the Board, a person or entity whose license, registration or certificate of authority has been suspended or revoked for cause, pursuant to the provisions of the State Architectural and Registered Interior Designers Act, may file an application with the Board for the reinstatement of said license, registration, certificate of authority or certificate of title. After a showing has been made by the applicant to the Board that the interests of the public will not suffer by reason of reinstatement, the Board in its discretion may order the reinstatement of the license, registration, certificate of authority or certificate of title upon the payment of a sum equal to the fees which would have accrued had not the license, registration, certificate of authority or certificate of title of the applicant been suspended or revoked.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 353, &sect; 16, emerg. eff. April 16, 1947. Amended by Laws 1983, c. 21, &sect; 4, operative July 1, 1983; Laws 1986, c. 154, &sect; 8, eff. July 1, 1986; Laws 1986, c. 287, &sect; 16, operative July 1, 1986. Renumbered from Title 59, &sect; 45.16, by Laws 1986, c. 287, &sect; 31, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 10, eff. July 1, 1998; Laws 2006, c. 163, &sect; 11, eff. July 1, 2006; Laws 2009, c. 184, &sect; 9, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.13. Repealed by Laws 1998, c. 220, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.14. Grounds for suspension, revocation or nonrenewal of license or certificate - Hearing.&nbsp;</span></p> <p><span class="cls0">The Board shall have power to suspend, to revoke or refuse to renew a license, registration, certificate of authority or certificate of title issued by it, pursuant to the provisions of the State Architectural and Registered Interior Designers Act, when the holder thereof:&nbsp;</span></p> <p><span class="cls0">1. Shall have been convicted of a felony;&nbsp;</span></p> <p><span class="cls0">2. Shall have been guilty of fraud or misrepresentation in the person's application, whether for an examination or for a license or registration without examination, or of fraud in the examination;&nbsp;</span></p> <p><span class="cls0">3. Shall have been guilty of gross incompetence or recklessness in the practice of architecture relating to the construction of buildings or structures, or of dishonest practices;&nbsp;</span></p> <p><span class="cls0">4. Shall have been guilty of gross incompetence or recklessness in the practice of landscape architecture, or of dishonest practices;&nbsp;</span></p> <p><span class="cls0">5. Presents the registration of another as his or her own;&nbsp;</span></p> <p><span class="cls0">6. Gives false or forged evidence to the Board;&nbsp;</span></p> <p><span class="cls0">7. Conceals information relative to any violation of this act or rules promulgated under this act;&nbsp;</span></p> <p><span class="cls0">8. Shall have been found to be guilty of a violation of a provision of the State Architectural and Registered Interior Designers Act or the rules of the Board; provided, that a person or entity complained of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;shall first have been served notice in the same manner as provided by law in other civil actions of the charges filed against the person or entity and of the time, place, and nature of the hearing before the Board, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;shall have the right to be represented by counsel and an opportunity to respond and present evidence and argument on all issues involved, by the introduction of evidence and by the examination and cross-examination of witnesses, and to compel the attendance of witnesses and the production of books and papers. Pursuant to the foregoing, the Board shall have the power of a court of record, including the power to issue subpoena and to compel the attendance and testimony of witnesses. Each member of the Board shall have the power to administer oaths and to issue subpoena. Whenever any person who shall have been subpoenaed to appear to give testimony, or to answer any pertinent or proper question, or to produce books, papers or documents which shall have been designated in a subpoena, either on behalf of the prosecution or on behalf of the accused, shall refuse to appear to testify before the Board, or to answer any pertinent or proper questions, or to produce a book, paper or document which shall have been designated in a subpoena, the person shall be deemed to be in contempt of the Board, and it shall be the duty of the presiding officer of the Board, to report the fact to the district court of the State of Oklahoma in and for the county in which such person may be or may reside whereupon the court shall issue an attachment in the usual form, directed to the sheriff of the county, which shall command the sheriff to attach such person and forthwith bring the person before the court. On the return of the attachment duly served upon the accused, or upon the production of the person attached, the district court shall have jurisdiction of the matter. The person charged may purge himself or herself of the contempt in the same way and the same proceedings shall be had, and the same penalties may be imposed, as in the case of a witness subpoenaed to appear and give evidence on the trial of a civil cause before a district court of the State of Oklahoma. Depositions may be taken and used in the same manner as in civil cases. The Board shall keep a record of the evidence in, and a record of each proceeding for the suspension, revocation of or refusal to renew a license or certificate of authority and shall make findings of fact and render a decision therein. If, after a hearing, the charges shall have been found to have been sustained by the vote of a majority of the members of the Board it shall immediately enter its order of suspension, revocation or refusal to renew, as the case may be.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 351, &sect; 14, emerg. eff. April 16, 1947. Amended by Laws 1986, c. 287, &sect; 15, operative July 1, 1986. Renumbered from Title 59, &sect; 45.14, by Laws 1986, c. 287, &sect; 31, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 11, eff. July 1, 1998; Laws 2006, c. 163, &sect; 12, eff. July 1, 2006; Laws 2009, c. 184, &sect; 10, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.15. Appeals from Board - Jurisdiction of District Court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">Any person or entity aggrieved by a final order of the Board may appeal from such decision by filing a petition in the District Court of Oklahoma County within thirty (30) days from the date of such final order. The District Court of Oklahoma County shall have jurisdiction of an appeal from the Board, and shall have power to affirm, reverse or modify the decisions of the Board. Such appeals shall be subject to the law and practice applicable to other civil actions. Provided, that any party to said appeal may appeal from the decision of said district court to the Supreme Court of Oklahoma in the same manner as provided by law in other civil actions.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 352, &sect; 15, emerg. eff. April 16, 1947. Renumbered from &sect; 45.15 of this title by Laws 1986, c. 287, &sect; 31, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 12, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.16. Repealed by Laws 1998, c. 220, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.17. Criminal penalties.&nbsp;</span></p> <p><span class="cls0">Any person or entity convicted of violating any provision of the State Architectural and Registered Interior Designers Act shall be guilty of a misdemeanor. The continued violation of any provision of the State Architectural and Registered Interior Designers Act during each day shall be deemed to be a separate offense. Upon conviction thereof the person or entity shall be punished by imprisonment in the county jail not to exceed one (1) year, or by a fine of not more than One Thousand Dollars ($1,000.00), or by both such fine and imprisonment for each offense. The Board may request the appropriate district attorney to prosecute such violation and seek an injunction against such practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 287, &sect; 25, operative July 1, 1986. Amended by Laws 2006, c. 163, &sect; 13, eff. July 1, 2006; Laws 2009, c. 184, &sect; 11, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.18. Civil penalties.&nbsp;</span></p> <p><span class="cls0">A. Any person or entity who has been determined by the Board to have violated any provision of the State Architectural and Registered Interior Designers Act or any rule or order issued pursuant to the provisions of the State Architectural and Registered Interior Designers Act may be liable for a civil penalty of not more than One Hundred Dollars ($100.00) for each day that said violation continues plus the legal costs incurred by the Board to prosecute the case. The maximum civil penalty shall not exceed Ten Thousand Dollars ($10,000.00) for any related series of violations plus the legal costs incurred by the Board to prosecute the case.&nbsp;</span></p> <p><span class="cls0">B. The amount of the penalty shall be assessed by the Board pursuant to the provisions of subsection A of this section, after notice and hearing. In determining the amount of the penalty, the Board shall include but not be limited to consideration of the nature, circumstances, and gravity of the violation and, with respect to the person or entity found to have committed the violation, the degree of culpability, the effect on ability of the person or entity to continue to do business, and any show of good faith in attempting to achieve compliance with the provisions of the State Architectural and Registered Interior Designers Act. All monies collected from such civil penalties shall be deposited with the State Treasurer of Oklahoma and placed in the Board of Architects' Fund.&nbsp;</span></p> <p><span class="cls0">C. Any license, registration, certificate of authority or certificate of title holder may elect to surrender the license, registration, certificate of authority or certificate of title in lieu of said fine but shall be forever barred from obtaining a reissuance of said license, registration, certificate of authority or certificate of title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 287, &sect; 26, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 13, eff. July 1, 1998; Laws 2006, c. 163, &sect; 14, eff. July 1, 2006; Laws 2009, c. 184, &sect; 12, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.19. Board of Architects' Fund.&nbsp;</span></p> <p><span class="cls0">All monies which shall be paid to the Board pursuant to the provisions of the State Architectural and Registered Interior Designers Act shall be deposited with the State Treasurer of Oklahoma and placed in a separate and distinct fund to be known as the &ldquo;Board of Architects' Fund&rdquo;. At the end of each fiscal year hereafter such unexpended balance remaining in the Board of Architects' Fund shall be carried over and continued therein. All sums of money now or hereafter to be or to come into the fund are hereby appropriated for the purpose of effectuating the purposes of the State Architectural and Registered Interior Designers Act, and to pay all costs and expenses heretofore and hereafter incurred in connection therewith.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 353, &sect; 17. Amended by Laws 1980, c. 314, &sect; 10, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 9, eff. July 1, 1986; Laws 1986, c. 287, &sect; 17, operative July 1, 1986. Renumbered from 59, &sect; 45.17, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986; Laws 2006, c. 163, &sect; 15, eff. July 1, 2006; Laws 2009, c. 184, &sect; 13, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;5946.20. Annual report.&nbsp;</span></p> <p><span class="cls0">At the close of each fiscal year, the Board shall make a full report of its proceedings during the year to the Governor and shall pay into the General Revenue Fund of the state, ten percent (10%) of all license and certificate of authority issuance and renewal fees collected and received during the fiscal year.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1947, p. 353, &sect; 18; Laws 1979, c. 30, &sect; 17, emerg. eff. April 6, 1979; Laws 1980, c. 314, &sect; 11, eff. July 1, 1980. Amended by Laws 1986, c. 287, &sect; 18, operative July 1, 1986. Renumbered from &sect; 45.18 by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. &nbsp;</span></p> <p><span class="cls0">&sect;59-46.21. Persons, firms, corporations, limited liability companies or limited liability partnerships excepted from act.&nbsp;</span></p> <p><span class="cls0">A. The State Architectural and Registered Interior Designers Act shall not apply to any persons, firms, corporations, limited liability companies or limited liability partnerships who prepare plans and specifications for persons, firms, corporations, limited liability companies or limited liability partnerships other than such person or entity, for buildings exempted by the State Architectural and Registered Interior Designers Act from requiring an architect licensed under the laws of the State of Oklahoma, providing such persons, firms, corporations, limited liability companies or limited liability partnerships shall not, in any manner, represent such person or entity to be an architect or other title of profession or business using a form of the word, &ldquo;Architect&rdquo;, and providing further that nothing in the State Architectural and Registered Interior Designers Act shall prevent such persons, firms, corporations, limited liability companies or limited liability partnerships advertising or selling such service.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this act shall be construed to prevent:&nbsp;</span></p> <p><span class="cls0">1. The preparation of technical submissions or the administration of construction contracts by employees of a person or entity lawfully engaged in the practice of architecture when such employees are acting under the responsible control of a licensed architect;&nbsp;</span></p> <p><span class="cls0">2. A nonresident, who holds the certification issued by the National Council of Architectural Registration Boards, from offering to render the professional services involved in the practice of architecture; provided, that the person shall not perform any of the professional services involved in the practice of architecture until licensed as hereinbefore provided; and further provided, that the person shall notify the Board in writing that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the person holds a National Council of Architectural Registration Boards certificate and is not currently licensed in the jurisdiction, but will be present in the state for the purpose of offering to render architectural services,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the person will deliver a copy of such notice to every potential client to whom the applicant offers to render architectural services, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the person promises to apply immediately to the Board for registration if selected as the architect for the project; or&nbsp;</span></p> <p><span class="cls0">3. A person, who holds the certification issued by the National Council of Architectural Registration Boards but who is not currently licensed in the jurisdiction, from seeking an architectural commission by participating in an architectural design competition for a project in the state; provided, that the person shall notify the Board in writing that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the person holds a National Council of Architectural Registration Boards certificate and is not currently licensed in the jurisdiction, but will be present in the state for the purpose of participating in an architectural design competition,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the person will deliver a copy of such notice to every person conducting an architectural design competition in which the applicant participates, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the person promises to apply immediately to the Board for registration if selected as the architect for the project.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 388, &sect; 2, emerg. eff. May 6, 1949. Amended by Laws 1986, c. 287, &sect; 27, operative July 1, 1986. Renumbered from Title 59, &sect; 45.3a, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 14, eff. July 1, 1998; Laws 2006, c. 163, &sect; 16, eff. July 1, 2006; Laws 2009, c. 184, &sect; 14, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.21b. Architects required for certain buildings - Code Use Groups - Exempted buildings.&nbsp;</span></p> <p><span class="cls0">A. An architect shall be required to plan, design and prepare plans and specifications for the following building types except where specifically exempt from the provisions of the State Architectural and Registered Interior Designers Act. All use groups in this section are defined by the 2003 International Building Code.&nbsp;</span></p> <p><span class="cls0">B. The construction, addition or alteration of a building of any size or occupancy in the following Code Use Groups shall be subject to the provisions of the State Architectural and Registered Interior Designers Act:&nbsp;</span></p> <p><span class="cls0">1. Code Use Group I &mdash; Institutional;&nbsp;</span></p> <p><span class="cls0">2. Code Use Group R-2 &ndash; Residential, limited to dormitories, fraternities and sororities, and monasteries and convents;&nbsp;</span></p> <p><span class="cls0">3. Code Use Group A-1 &ndash; Assembly and theaters;&nbsp;</span></p> <p><span class="cls0">4. Code Use Group A-4 &ndash; Assembly, arenas and courts;&nbsp;</span></p> <p><span class="cls0">5. Code Use Group A-5 &ndash; Assembly, bleachers and grandstands; and&nbsp;</span></p> <p><span class="cls0">6. Buildings for which the designated Code Use Group changes are not exempt from the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">C. The following shall be exempt from the provisions of the State Architectural and Registered Interior Designers Act; provided that, for the purposes of this subsection, a basement is not to be counted as a story for the purpose of counting stories of a building for height regulations:&nbsp;</span></p> <p><span class="cls0">1. The construction, addition or alteration of a building no more than two stories in height and with a code&ndash;defined occupancy of no more than fifty (50) persons for the Code Use Groups A-2 and A-3 &ndash; Assembly and Code Use Group E - Education;&nbsp;</span></p> <p><span class="cls0">2. The construction, addition or alteration of a building no more than two stories in height and no more than sixty-four transient lodging units per building for the Code Use Group R1 &mdash; Residential, including, but not limited to, hotels and motels;&nbsp;</span></p> <p><span class="cls0">3. The construction, addition or alteration of a building no more than two stories in height and with a gross square footage not exceeding one hundred thousand (100,000) in the Code Use Group B &ndash; Business;&nbsp;</span></p> <p><span class="cls0">4. The construction, addition or alteration of a building no more than two stories in height and with a gross square footage not exceeding two hundred thousand (200,000) in the Code Use Group M &ndash; Mercantile; and&nbsp;</span></p> <p><span class="cls0">5. The construction, addition or alteration of a building no more than two stories in height in the following Code Use Groups or buildings:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Code Use Group U &mdash; Utility,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Code Use Group F &ndash; Factory and Industrial,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Code Use Group H &ndash; High hazard,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;Code Use Group S &ndash; Storage,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;Code Use Group R2 &mdash; Residential, including apartments containing no more than thirty-two dwelling units or thirty-two guest units per building,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;Code Use Groups R3 and R4 &mdash; Residential,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;all buildings used by a municipality, county, state, public trust, public agency or the federal government with a construction value under One Hundred Fifty-eight Thousand Dollars ($158,000.00),&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;incidental buildings or appurtenances associated with paragraphs 1 through 5 of this subsection, and &nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;all uninhabitable, privately owned agricultural buildings.&nbsp;</span></p> <p><span class="cls0">D. The renovation or alteration of a building where the intended use is exempt as new construction shall be exempt from the provisions of the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">E. Addition, renovation or alteration of buildings where the intended use is not exempt from the provisions of this act, but where the planned addition or alteration, as determined by the applicable building official, does not affect the primary structural, mechanical, or electrical systems, life-safety systems or exit passageways shall be exempt from the provisions of the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 163, &sect; 17, eff. July 1, 2006. Amended by Laws 2006, c. 193, &sect; 6, eff. July 1, 2006; Laws 2007, c. 50, &sect; 1, emerg. eff. April 24, 2007; Laws 2009, c. 184, &sect; 15, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.22. Repealed by Laws 1998, c. 220, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.23. Repealed by Laws 1998, c. 220, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.24. Issuance of architecture license - Qualifications - Examination - License certificate - Confidential records.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided in the State Architectural and Registered Interior Designers Act, no license shall be issued to any person to practice architecture in this state unless the person:&nbsp;</span></p> <p><span class="cls0">1. Is twenty-one (21) years of age or over and is of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Is an actual bona fide resident of this state, except the Board may waive this requirement in the case of a bona fide resident of a foreign country or in any other case when the Board determines the applicant for a license is not seeking to avoid the requirements of the state of residence for a license;&nbsp;</span></p> <p><span class="cls0">3. Is the holder of an accredited professional degree in architecture and shall have had such practical training as the Board, by rule, shall deem appropriate. In lieu of the requirement of an accredited professional degree, the Board may register an applicant who demonstrates in accordance with such standards and requirements as the Board adopts by rule that the person has such other educational experience as the Board deems equivalent to an accredited professional degree in architecture;&nbsp;</span></p> <p><span class="cls0">4. Has paid to the Board a fee as prescribed by the rules of the Board plus the actual cost of the examination; and&nbsp;</span></p> <p><span class="cls0">5. Has passed the examinations prescribed by the Board for the issuance of a license.&nbsp;</span></p> <p><span class="cls0">B. Upon meeting the requirements of subsection A of this section and payment of an initial fee as may be prescribed by the rules of the Board, the Board shall issue to the applicant a license which shall authorize the applicant to engage in the practice of architecture in this state.&nbsp;</span></p> <p><span class="cls0">C. The examination for a license to practice architecture in this state shall be held not less than once each year, shall cover such subjects as may be prescribed by the Board and shall be graded on such basis as the Board shall prescribe by rule. The Board may adopt the examinations, requirements for admission to the examinations and the grading procedures of the National Council of Architectural Registration Boards. Notice of the time and place for the holding of examinations shall be given in the manner and form prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">D. The license certificate shall be in a form prescribed by the Board. The certificate shall be signed by the chair and by the secretary-treasurer of the Board and shall bear the impress of the seal of the Board. All papers received by the Board relating to an application for a license, to an examination and to the issuance of a license shall be retained by the Board for three (3) years.&nbsp;</span></p> <p><span class="cls0">E. The following Board records and papers are of a confidential nature and are not public records: Examination material for examinations before and after they are given, file records of examination problem solutions, letters of inquiry and reference concerning applicants, Board inquiry forms concerning applicants, and investigation files.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 350, &sect; 11, emerg. eff. April 16, 1947. Amended by Laws 1980, c. 314, &sect; 9, eff. July 1, 1980; Laws 1981, c. 320, &sect; 3; Laws 1983, c. 21, &sect; 1, operative July 1, 1983; Laws 1986, c. 154, &sect; 5, eff. July 1, 1986; Laws 1986, c. 287, &sect; 12, operative July 1, 1986. Renumbered from Title 59, &sect; 45.11, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 15, eff. July 1, 1998; Laws 2006, c. 163, &sect; 18, eff. July 1, 2006; Laws 2009, c. 184, &sect; 16, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.25. Seal of architect.&nbsp;</span></p> <p><span class="cls0">Each licensed architect shall have a seal, the image of which must contain the name of the architect, the person&rsquo;s license number and the words, &ldquo;Licensed Architect, State of Oklahoma&rdquo;.&nbsp;</span></p> <p><span class="cls0">All technical submissions prepared by such architect, or under the responsible control of the architect, shall be sealed, signed and dated, which shall mean that the architect was in responsible control over the content of such technical submissions during their preparation and has applied the required professional standard of care. No licensed architect may sign or seal technical submissions unless they were prepared by or under the responsible control of the architect; except that:&nbsp;</span></p> <p><span class="cls0">1. The person may sign or seal those portions of the technical submissions that were prepared by or under the responsible control of persons who are licensed under the State Architectural and Registered Interior Designers Act if the architect has reviewed and adapted in whole or in part such portions and has either coordinated their preparation or integrated them into the work; and&nbsp;</span></p> <p><span class="cls0">2. The person may sign or seal those portions of the technical submissions that are not required to be prepared by or under the responsible control of an architect if the architect has reviewed and adapted in whole or in part such submissions and integrated them into the work. The seal may be a rubber stamp or may be generated electronically, pursuant to rules adopted by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 353, &sect; 19, emerg. eff. April 16, 1947. Amended by Laws 1986, c. 287, &sect; 19, operative July 1, 1986. Renumbered from &sect; 45.19 of this title by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 16, eff. July 1, 1998; Laws 2006, c. 163, &sect; 19, eff. July 1, 2006; Laws 2006, c. 193, &sect; 7, eff. July 1, 2006; Laws 2009, c. 184, &sect; 17, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;5946.26. Acceptance of compensation from other than client Unlawful.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for an architect to accept or to receive compensation, directly or indirectly, from another than his client in connection with the reparation, alteration or construction of a building or structure in relation to which he shall have accepted employment in any manner.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1947, p. 354, &sect; 20. Renumbered from &sect; 45.20 by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. &nbsp;</span></p> <p><span class="cls0">&sect;5946.27. Prohibition against bidding as a contractor.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for an architect, at any time, to bid for a contract for the reparation, alteration or erection of a building or other structure for which he has prepared the plans and specifications.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 354, &sect; 21, emerg. eff. May 20, 1941. Renumbered from &sect; 45.21 of this title by Laws 1986, c. 287, &sect; 32, operative July 1, 1986.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.28. Scope of act.&nbsp;</span></p> <p><span class="cls0">The State Architectural and Registered Interior Designers Act shall not require the registration of practitioners of the following professions and occupations to practice landscape architecture:&nbsp;</span></p> <p><span class="cls0">1. A professional civil engineer, as defined in Section 475.2 of this title, certified to practice the profession in this state under any act to regulate the practice of that profession. Nothing contained in the State Architectural and Registered Interior Designers Act shall be construed as precluding an architect or engineer from performing services included within the definition of &ldquo;landscape architecture&rdquo; when incidental to the performance of his normal practice as an architect or engineer;&nbsp;</span></p> <p><span class="cls0">2. A landscape contractor building or installing what was designed by a landscape architect;&nbsp;</span></p> <p><span class="cls0">3. An agriculturist, horticulturist, forester as defined in Section 1202 of this title, nursery operator, gardener, landscape gardener, garden or lawn caretaker and grader or cultivator of land involved in the selection, placement, planting and maintenance of plant material;&nbsp;</span></p> <p><span class="cls0">4. Persons who act under the supervision of a licensed landscape architect or an employee of a person lawfully engaged in the practice of landscape architecture and who, in either event, does not assume responsible charge of design or supervision;&nbsp;</span></p> <p><span class="cls0">5. Regional planners or urban planners, who evaluate and develop land-use plans to provide for community and municipal projections of growth patterns based on demographic needs;&nbsp;</span></p> <p><span class="cls0">6. A landscape designer or contractor whose business is to consult and prepare plans and specifications with respect to choosing types of plants and planning the location thereof and the design of landscapes for those projects or whose work is limited to projects for a single-family residential home. Landscape design or installation work may also be performed by an owner or occupant on the single-family residence of the owner or occupant;&nbsp;</span></p> <p><span class="cls0">7. Persons other than landscape architects who prepare details and shop drawings for use in connection with the execution of their work;&nbsp;</span></p> <p><span class="cls0">8. Builders or their superintendents in the supervision of landscape architectural projects; and&nbsp;</span></p> <p><span class="cls0">9. Persons in the occupations set forth in this section shall not use the title &ldquo;landscape architect&rdquo; or hold themselves out to practice &ldquo;landscape architecture&rdquo; without complying with the provisions of the State Architectural and Registered Interior Designers Act and the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 14, eff. July 1, 1980. Amended by Laws 1986, c. 287, &sect; 20, operative July 1, 1986. Renumbered from Title 59, &sect; 45.27, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 2005, c. 77, &sect; 2, eff. July 1, 2005; Laws 2006, c. 163, &sect; 20, eff. July 1, 2006; Laws 2009, c. 184, &sect; 18, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.29. Landscape architecture license required.&nbsp;</span></p> <p><span class="cls0">No person shall practice landscape architecture in this state, or use the title &ldquo;landscape architect&rdquo; on any sign, title, card or device to indicate that such person is practicing landscape architecture or is a landscape architect, unless such person shall have secured from the Board a license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 16, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 11, eff. July 1, 1986. Renumbered from Title 59, &sect; 45.29, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 2006, c. 163, &sect; 21, eff. July 1, 2006. &nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.30. Licensing of landscape architects - Certificate of qualification.&nbsp;</span></p> <p><span class="cls0">The Board shall license, as a landscape architect, each applicant who demonstrates to the satisfaction of the Board his or her fitness for such license as provided in this act.&nbsp;</span></p> <p><span class="cls0">The Board shall issue to each individual licensed a certificate of qualification and the right to use the title &ldquo;landscape architect&rdquo;, and to practice landscape architecture in the state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 18, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 13, eff. July 1, 1986. Renumbered from Title 59, &sect; 45.31, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 2006, c. 163, &sect; 22, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.31. Examination of landscape architects - License certificate - Issuance of license without examination.&nbsp;</span></p> <p><span class="cls0">A. Any person of good moral character who is a legal resident of the State of Oklahoma and who is twenty-one (21) years of age or older, with a degree from an approved landscape architecture program and upon completion of practical training as the Board, by rule, shall deem appropriate, whose application has been approved by the Board, and who has fulfilled such other requirements as determined by the State Architectural and Registered Interior Designers Act and the rules of the Board, upon the payment to the Board of a fee as prescribed by the rules of the Board, plus an amount to be determined by the Board, equal to the cost of the examination, may take an examination for the purpose of securing a license to practice landscape architecture in this state. Examinations shall be held not less than once each year by the Board or by a committee appointed by it to do so. Notice of the time and place of the holding of examinations shall be given in manner and form as prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">B. The Board shall establish rules for examination of landscape architects and may elect to follow the recommendations of the Council of Landscape Architects Registration Board (CLARB) or its successor. The examinations shall be designed to determine the qualifications of the applicant to practice landscape architecture. The examination shall cover such technical, professional and practical subjects as relate to the practice of the profession of landscape architecture. The examination shall also cover the basic arts and sciences and knowledge of material which is necessary to the proper understanding, application and qualification for practice of the profession of landscape architecture. The minimum passing grade in all subjects of the examination shall be as established by the Board. An applicant receiving a passing grade on a subject included in the examination will be given credit, subject to the rules of the Board. Applicants for readmittance to the examination shall pay the full examination fee for each testing.&nbsp;</span></p> <p><span class="cls0">Upon passage of the examination, completion of the Board's requirements as prescribed by rules, and the payment of a sum as prescribed by the rules of the Board, the Board shall issue to the applicant a license certificate which shall authorize the person to engage in the practice of landscape architecture in this state.&nbsp;</span></p> <p><span class="cls0">C. Pursuant to such rules as it may have adopted, the Board shall have the power to issue licenses without requiring an examination to persons who have been licensed to practice landscape architecture in states other than the State of Oklahoma, in a territory of the United States, in the District of Columbia, or in a country other than the United States provided that the state, territory, district or country has a similar reciprocal provision to authorize the issuance of licenses to persons who have been licensed in this state. If a person who has been licensed in a state other than the State of Oklahoma, or in a territory of the United States, in the District of Columbia, or in a country other than the United States complies with this act and rules of the Board, the secretary-treasurer, in the exercise of his or her discretion, or upon the order of the Board and upon the receipt of the stated fee by the Board, shall issue to the person a license to practice landscape architecture in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 19, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 14, eff. July 1, 1986; Laws 1986, c. 287, &sect; 21, operative July 1, 1986. Renumbered from &sect; 45.32 of this title by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 17, eff. July 1, 1998; Laws 2006, c. 163, &sect; 23, eff. July 1, 2006; Laws 2006, c. 193, &sect; 8, eff. July 1, 2006; Laws 2009, c. 184, &sect; 19, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.32. Practice of landscape architecture - Not transferable.&nbsp;</span></p> <p><span class="cls0">The privilege of engaging in the practice of landscape architecture is personal, based upon the qualifications of the individual evidenced by the individual's registration, and is not transferable.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 21, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 15, eff. July 1, 1986. Renumbered from Title 59, &sect; 45.34, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 18, eff. July 1, 1998; Laws 2006, c. 163, &sect; 24, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.33. Restoration of license - Application.&nbsp;</span></p> <p><span class="cls0">The Board may restore a license to any person whose license has lapsed or has been revoked or suspended. Application for the reissuance of a license and fees shall be made in such manner as the Board may direct.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 27, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 20, eff. July 1, 1986; Laws 1986, c. 287, &sect; 23, operative July 1, 1986. Renumbered from Title 59, &sect; 45.40, by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 2006, c. 163, &sect; 25, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.34. Seal of landscape architect.&nbsp;</span></p> <p><span class="cls0">A. Each licensed landscape architect shall have a seal, the image of which shall contain the name of the landscape architect, the person's license number and the words, &ldquo;Licensed Landscape Architect, State of Oklahoma&rdquo;. All technical submissions prepared by such landscape architect, or under the responsible control of the landscape architect, shall be sealed, signed and dated, which shall mean that the landscape architect was in responsible control over the content of such technical submissions during their preparation and has applied the required professional standard of care. No licensed landscape architect may sign or seal technical submissions unless they were prepared by or under the responsible control of the landscape architect, except that:&nbsp;</span></p> <p><span class="cls0">1. The person may sign or seal those portions of the technical submissions that were prepared by or under the responsible control of persons who are licensed under the State Architectural and Registered Interior Designers Act if the landscape architect has reviewed and adapted in whole or in part such portions and has either coordinated their preparation or integrated them into the work; and&nbsp;</span></p> <p><span class="cls0">2. The person may sign or seal those portions of the technical submissions that are not required to be prepared by or under the responsible control of a landscape architect if the landscape architect has reviewed and adapted in whole or in part such submissions and integrated them into the work. The seal may be a rubber stamp or may be generated electronically.&nbsp;</span></p> <p><span class="cls0">B. All drawings, specifications, plans, reports or other papers or documents involving the practice of landscape architecture, shall be dated and bear the signature and seal of the landscape architect or landscape architects who prepared or approved them. It is permissible to only sign, seal and date documents on the first sheet of bound sets of drawings, with index of drawings included, title page of specifications, and other drawings and contract documents in a manner consistent with this act and rules of the Board.&nbsp;</span></p> <p><span class="cls0">C. The seal, signature and date of the landscape architect may be applied to tracings to produce legible reproduction of the drawings or to reprints made from the tracings. This provision, however, does not in any manner modify the requirements of the other subsections of this section.&nbsp;</span></p> <p><span class="cls0">D. The license of a landscape architect shall not permit the practice of architecture, engineering or land surveying, except that which is incidental to the practice of landscape architecture. No landscape architect shall permit his or her seal to be affixed to any plans, specifications or drawings if such portions thereof as are involved in the practice of his or her particular profession were not prepared by or under the landscape architect's personal and direct supervision by a regularly employed subordinate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 28, eff. July 1, 1980. Amended by Laws 1986, c. 154, &sect; 21, eff. July 1, 1986; Laws 1986, c. 287, &sect; 24, operative July 1, 1986. Renumbered from &sect; 45.41 of this title by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 2006, c. 163, &sect; 26, eff. July 1, 2006; Laws 2006, c. 193, &sect; 9, eff. July 1, 2006; Laws 2009, c. 184, &sect; 20, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;5946.35. Unlawful compensation.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for a landscape architect to accept or to receive compensation, directly or indirectly, from any person other than the client in connection with the reparation, alteration or construction of a project in relation to which the landscape architect shall have accepted employment in any manner.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1980, c. 314, &sect; 30, eff. July 1, 1980. Renumbered from &sect; 45.43 by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. &nbsp;</span></p> <p><span class="cls0">&sect;59-46.36. Unlawful bid for construction project.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for a landscape architect, at any time, to bid for a contract for the reparation, alteration or construction of a project for which the landscape architect has prepared construction documents.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 314, &sect; 31, eff. July 1, 1980. Renumbered from &sect; 45.44 of this title by Laws 1986, c. 287, &sect; 32, operative July 1, 1986. Amended by Laws 1998, c. 220, &sect; 19, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.37. Repealed by Laws 2006, c. 163, &sect; 31, eff. July 1, 2006.&nbsp;</span></p> <p><span class="cls0">&sect;59-46.38. Registration of interior designers - Effective date - Qualifications - Reciprocity - Certificate of title - Term of registration or certificate.&nbsp;</span></p> <p><span class="cls0">A. On July 1, 2007, the effective date of registration of interior designers begins.&nbsp;</span></p> <p><span class="cls0">B. Except as otherwise provided in the State Architectural and Registered Interior Designers Act, no registration shall be issued to any person to represent that the person is a &ldquo;registered interior designer&rdquo; nor shall any person be allowed to use the term unless the person pays to the Board the required fees and/or penalties if applicable as established by the rules of the Board and:&nbsp;</span></p> <p><span class="cls0">1. Holds an accredited professional degree in interior design from an interior design program accredited by the Foundation for Interior Design Education Research, or its successor, or from an interior design program determined by the Board to be substantially equivalent to an accredited program;&nbsp;</span></p> <p><span class="cls0">2. Provides proof of a minimum of two (2) years of full-time diversified and appropriate experience within established standards as the Board shall prescribe; and&nbsp;</span></p> <p><span class="cls0">3. Provides to the Board proof of passage of the examination administered by the National Council for Interior Design Qualification or its successor.&nbsp;</span></p> <p><span class="cls0">C. The Board may waive the requirements of the State Architectural and Registered Interior Designers Act for an individual who holds a current valid registration from another state, jurisdiction or foreign country where the requirements for registration are substantially equivalent to those required for registration in this state and pays the required fees and/or penalties, if applicable, to the Board.&nbsp;</span></p> <p><span class="cls0">D. This section does not apply to a person licensed to practice architecture pursuant to the laws of this state.&nbsp;</span></p> <p><span class="cls0">E. Nothing in this act shall be construed to authorize the board to regulate persons who are rendering interior design services and are not a registered interior designer under the provisions of this act or to adopt regulations that would exceed the powers and responsibilities expressly authorized under this act.&nbsp;</span></p> <p><span class="cls0">F. Certificate of title shall be subject to the following:&nbsp;</span></p> <p><span class="cls0">1. The use of the title &ldquo;Registered Interior Designer&rdquo; by a partnership, firm, association, corporation, limited liability company or limited liability partnership is allowed to those entities listed, provided:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;one or more of the directors, partners, officers, shareholders, members, managers, or principals is a registered interior designer and is in good standing with the Board, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the partnership, firm, association, corporation, limited liability company or limited liability partnership has been issued a certificate of title by the Board;&nbsp;</span></p> <p><span class="cls0">2. The Board shall have the power to issue, revoke, deny or refuse to renew a certificate of title for a partnership, firm, association, corporation, limited liability company or limited liability partnership as provided for in this act;&nbsp;</span></p> <p><span class="cls0">3. A partnership, firm, association, corporation, limited liability company or limited liability partnership shall file with the Board an application for a certificate of title on a form approved by the Board which shall include the names, addresses, state of registration and registration number of all directors, partners, officers, shareholders, members, managers or principals of the partnership, firm, association, corporation, limited liability company or limited liability partnership. In the event there shall be a change in any of these persons during the term of certification, the change shall be filed with the Board within thirty (30) days after the effective date of the change. If all the requirements of this section and the Board&rsquo;s current rules have been met, the Board shall issue a certificate of title to the partnership, firm, association, corporation, limited liability company or limited liability partnership;&nbsp;</span></p> <p><span class="cls0">4. The Secretary of State shall not issue a certificate of incorporation or register a foreign corporation or any other entity which includes among the objectives for which it is established the words &ldquo;Registered Interior Designer&rdquo; or any modification or derivation of these words, unless the Board has issued for the applicant either a certificate of title for an entity, or a letter indicating the eligibility for an exemption pursuant to the requirements of this act. The firm applying shall supply the certificate of title or letter from the Board with its application for incorporation or registration;&nbsp;</span></p> <p><span class="cls0">5. The Secretary of State shall not register any trade name or service mark which includes such words as set forth in paragraph 4 of this subsection, or modification or derivatives thereof in its firm name or logotype except those entities or individuals holding certificates of title issued under the provisions of this section or letters of eligibility issued by the Board; and&nbsp;</span></p> <p><span class="cls0">6. Upon application for renewal and upon compliance with the provisions of this act and the rules of the Board, a certificate of title shall be renewed as provided by this act.&nbsp;</span></p> <p><span class="cls0">G. No registration for registered interior designers or a certificate of title for a partnership, firm, association, corporation, limited liability company or limited liability partnership, shall be issued or renewed for longer than two (2) years. A registration or certificate of title may be renewed upon application, compliance with the rules of the Board and payment of fees prior to or on June 30 of alternate years. The registration for registered interior designers shall begin July 1, 2007, and shall end June 30, 2009, unless renewed every two (2) years thereafter. A new registration to replace a lost, destroyed or mutilated registration shall be issued by the Board upon payment of a fee established in accordance with the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 163, &sect; 27, eff. July 1, 2006. Amended by Laws 2006, c. 193, &sect; 10, eff. July 1, 2006; Laws 2009, c. 184, &sect; 21, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-46.39. Alternative requirements for interior designer registration.&nbsp;</span></p> <p><span class="cls0">Any person who applies to become a registered interior designer and remits the application and initial fees within two (2) years after July 1, 2007, shall be registered by the Board of Governors of the Licensed Architects, Landscape Architects and Registered Interior Designers if:&nbsp;</span></p> <p><span class="cls0">1. In lieu of the requirement of an accredited professional degree, an applicant demonstrates, in accordance with such standards and requirements as the Board adopts by rule, that the applicant has the interior design education that the Board deems equivalent to an accredited professional degree in interior design and the applicant has passed the examination of the National Council for Interior Design Qualification, or its successor;&nbsp;</span></p> <p><span class="cls0">2. In lieu of the requirement of any professional degree, an applicant may provide documented proof of diversified and appropriate experience in the practice of interior design for a period of six (6) years and the applicant has passed the examination of the National Council for Interior Design Qualification, or its successor; or&nbsp;</span></p> <p><span class="cls0">3. The applicant is a licensed architect.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 163, &sect; 28, eff. July 1, 2006. Amended by Laws 2009, c. 184, &sect; 22, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.40. Waiver of educational and examination requirements for interior designer registration - Licensed architect granted use of interior design term.&nbsp;</span></p> <p><span class="cls0">A. The Board of Governors of the Licensed Architects, Landscape Architects and Registered Interior Designers of Oklahoma may waive the educational and examination requirements of the State Architectural and Registered Interior Designers Act for persons with diversified and appropriate experience in the practice of interior design for a period of fifteen (15) years prior to July 1, 2007, if the person is not registered under the State Architectural and Registered Interior Designers Act and not exempt from the requirement for registration in order to use the title &ldquo;Registered Interior Designer&rdquo;.&nbsp;</span></p> <p><span class="cls0">B. The State Architectural and Registered Interior Designers Act shall not be construed to prohibit or interfere with the ability of a licensed architect to perform those activities that are associated with his or her practice as provided under the provisions of the State Architectural and Registered Interior Designers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 163, &sect; 29, eff. July 1, 2006. Amended by Laws 2007, c. 50, &sect; 2, emerg. eff. April 24, 2007; Laws 2009, c. 184, &sect; 23, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-46.41. Unlawful use of interior designer title.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person or entity to use the title &ldquo;Registered Interior Designer&rdquo; or any other derivation of these words to indicate that the person or entity is registered under the provisions of this act, if the person is not registered under this act and not exempt from the requirement for registration.&nbsp;</span></p> <p><span class="cls0">B. Any person who, for a fee or other direct compensation, holds himself or herself out as a registered interior designer, advertises, puts out any sign, card or drawings in this state designating himself or herself as a &ldquo;Registered Interior Designer&rdquo; or uses some form of the term in the title of a profession or business without first having complied with the provisions of the State Architectural and Registered Interior Designers Act shall be deemed guilty of a misdemeanor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 163, &sect; 30, eff. July 1, 2007. Amended by Laws 2006, c. 193, &sect; 11, eff. July 1, 2007; Laws 2009, c. 184, &sect; 24, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-61.1. Rules - Powers of State Board of Cosmetology and Barbering - Suspension, revocation or refusal to issue or renew license.&nbsp;</span></p> <p><span class="cls0">A. Except as provided in subsection B of Section 61.4 of this title, the State Board of Cosmetology and Barbering is hereby authorized to promulgate rules which govern the examining and licensing of barbers, barber apprentices, barber instructors, and barber colleges; the defining of categories and limitations for such licenses; the sanitary operation and sanitation of barber shops and barber colleges; and the establishment and levying of administrative fines not to exceed Fifty Dollars ($50.00) for those licensed and not to exceed Five Hundred Dollars ($500.00) for those not licensed. Each day a violation continues shall be a separate offense.&nbsp;</span></p> <p><span class="cls0">B. Except as provided in subsection B of Section 61.4 of this title, the State Board of Cosmetology and Barbering shall have the power and duty to issue and renew annual barber, barber apprentice, barber instructor and barber college licenses, to inspect barber licenses, and to inspect the sanitary operating practices of barbers and the sanitary condition of barber shops and barber colleges.&nbsp;</span></p> <p><span class="cls0">C. The State Board of Cosmetology and Barbering may suspend, revoke, or refuse to issue or renew any barber, barber instructor, barber apprentice, or barber college license for:&nbsp;</span></p> <p><span class="cls0">1. Unsanitary operating practices or unsanitary conditions of barber shops or barber colleges;&nbsp;</span></p> <p><span class="cls0">2. Unsanitary practices of barbers, apprentice barbers, or barber instructors;&nbsp;</span></p> <p><span class="cls0">3. Making a material misstatement in the application for a license, in the renewal of a license, or in the records which are maintained by barber instructors or colleges to comply with Sections 61.1 through 61.6 of this title or the regulations promulgated pursuant thereto; or&nbsp;</span></p> <p><span class="cls0">4. Employment of an unlicensed person as a barber, barber apprentice, or barber instructor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 183, &sect; 1, eff. July 1, 1985. Amended by Laws 1992, c. 87, &sect; 1, eff. July 1, 1992; Laws 1996, c. 318, &sect; 4, eff. July 1, 1996; Laws 2002, c. 93, &sect; 1, eff. Nov. 1, 2002; Laws 2013, c. 229, &sect; 81, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-61.2. License fees.&nbsp;</span></p> <p><span class="cls0">Fees for licenses issued by the State Board of Cosmetology and Barbering to practice barbering as adopted by the Board pursuant to Section 1-106.1 of Title 63 of the Oklahoma Statutes shall not be less than:&nbsp;</span></p> <p><span class="cls0">Barber College&nbsp;&nbsp;$200.00 per year&nbsp;</span></p> <p><span class="cls0">Barber Apprentice&nbsp;&nbsp;$10.00 per year&nbsp;</span></p> <p><span class="cls0">Barber Examination Fee&nbsp;&nbsp;$35.00 per exam&nbsp;</span></p> <p><span class="cls0">Barber Instructor License Fee&nbsp;&nbsp;$50.00 per year&nbsp;</span></p> <p><span class="cls0">Barber Instructor Examination Fee&nbsp;&nbsp;$50.00 per year&nbsp;</span></p> <p><span class="cls0">Barber License Fee&nbsp;&nbsp;$25.00 per year&nbsp;</span></p> <p><span class="cls0">Barber License Renewal after Expiration&nbsp;&nbsp;$50.00 per year&nbsp;</span></p> <p class="cls4"><span class="cls0">Barber Instructor License Renewal After Expiration&nbsp;&nbsp;$75.00 per year&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 183, &sect; 2, eff. July 1, 1985. Amended by Laws 1992, c. 87, &sect; 2, eff. July 1, 1992; Laws 2013, c. 229, &sect; 82, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-61.3. Oklahoma Cosmetology and Barbering Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the State Board of Cosmetology and Barbering, to be designated the "Oklahoma Cosmetology and Barbering Fund". All unexpended funds within the State Board of Barber Examiners revolving fund provided for in Section 155 of Title 62 of the Oklahoma Statutes shall be transferred to the Oklahoma Cosmetology and Barbering Fund. All property, records, and any outstanding financial obligations and encumbrances of the State Board of Barber Examiners are hereby transferred to the State Board of Cosmetology and Barbering.&nbsp;</span></p> <p><span class="cls0">All personnel of the State Board of Barber Examiners shall be transferred to the State Board of Cosmetology and Barbering at the same salary such personnel is receiving on June 30, 1985.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 183, &sect; 3, eff. July 1, 1985. Amended by Laws 2013, c. 229, &sect; 83, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-61.4. Repealed by Laws 2013, c. 229, &sect; 99, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;5961.5. Practice of barbering defined.&nbsp;</span></p> <p><span class="cls0">Any one or any combination of the following practices, when done upon the upper part of the human body for cosmetic purposes and when done for payment either directly or indirectly for the general public, constitutes the practice of barbering, to wit: Shaving or trimming the beard or cutting the hair; giving facial or scalp massages or treatment with oils, creams, lotions or other preparations, either by hand or mechanical appliances; singeing, shampooing or dyeing the hair or applying hair tonics; applying cosmetic preparations, antiseptics, powders, oils, clays or lotions to scalp, face, neck or upper part of the body; and removing superfluous hair from the face, neck or upper part of the body.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1931, p. 38, &sect; 10. Renumbered from &sect; 70 by Laws 1985, c. 183, &sect; 5. &nbsp;</span></p> <p><span class="cls0">&sect;5961.6. Board of Barber Examiners - Licenses.&nbsp;</span></p> <p><span class="cls0">Any person practicing the trade of barber, barber instructor, or apprentice barber, without having at the time a valid, unrevoked certificate, as provided in this act, or any person who as owner, lessee, manager, or in any other supervisory capacity, employs a person practicing the trade of barber, barber instructor, or apprentice barber without such person having a valid, unrevoked certificate as a barber, barber instructor, or apprentice barber, shall be deemed guilty of a misdemeanor, and shall, upon conviction, be fined not to exceed One Hundred Dollars ($100.00), and each day of such practice, or each day such unlicensed person is so employed, shall constitute a separate offense. All fines under the provisions of this section shall be paid into the common school fund of the county wherein the conviction is had.&nbsp;</span></p> <p><span class="cls0">Laws 1931, p. 38, &sect; 9; Laws 1937, p. 53, &sect; 1. Renumbered from &sect; 69 by Laws 1985, c. 183, &sect; 5. Amended by Laws 1992, c. 87, &sect; 3, eff. July 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-89.1. Repealed by Laws 1985, c. 183, &sect; 6, eff. July 1, 1985.&nbsp;</span></p> <p><span class="cls0">&sect;59-89.2. Repealed by Laws 1985, c. 183, &sect; 6, eff. July 1, 1985.&nbsp;</span></p> <p><span class="cls0">&sect;59-89.3. Repealed by Laws 1985, c. 183, &sect; 6, eff. July 1, 1985.&nbsp;</span></p> <p><span class="cls0">&sect;59135.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 135.1 through 160.2 of this title shall be known and may be cited as the "Podiatric Medicine Practice Act".&nbsp;</span></p> <p><span class="cls0">Laws 1983, c. 138, &sect; 1, operative July 1, 1983; Laws 1993, c. 150, &sect; 1, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59136. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Podiatric Medicine Practice Act, these words, phrases or terms, unless the context otherwise indicates, shall have the following meanings:&nbsp;</span></p> <p><span class="cls0">1. "Accredited college of podiatric medicine" means a podiatric medicine educational institution which confers the degree of Doctor of Podiatric Medicine (D.P.M.), or its equivalent, and meets all of the requirements for accreditation by the Council on Podiatric Medical Education of the American Podiatric Medical Association, Inc.;&nbsp;</span></p> <p><span class="cls0">2. "Board" means the Board of Podiatric Medical Examiners;&nbsp;</span></p> <p><span class="cls0">3. "Oklahoma Podiatric Medical Association" means the Oklahoma Podiatric Medical Association, Inc., a nonprofit corporation organized and existing under the laws of this state for the association of podiatric physicians and for the advancement of the profession of podiatric medicine; and&nbsp;</span></p> <p><span class="cls0">4. "Podiatric physician", "doctor of podiatric medicine" and "podiatrist" are synonymous and mean a person duly licensed pursuant to the laws of this state to practice podiatric medicine.&nbsp;</span></p> <p><span class="cls0">5. "Code of Ethics" means the Code of Ethics of the American Podiatric Medical Association, as currently adopted, or as hereinafter amended by said Association.&nbsp;</span></p> <p><span class="cls0">Laws 1955, p. 308, &sect; 1, emerg. eff. May 23, 1955; Laws 1983, c. 138, &sect; 2, operative July 1, 1983; Laws 1993, c. 150, &sect; 2, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-137. Board of Podiatric Medical Examiners - Membership - Qualifications - Terms - Removal.&nbsp;</span></p> <p><span class="cls0">A. A Board of Podiatric Medical Examiners is hereby recreated, to continue until July 1, 2015, in accordance with the provisions of the Oklahoma Sunset Law. Said Board shall regulate the practice of podiatric medicine in this state in accordance with the provisions of the Podiatric Medicine Practice Act. The Board, appointed by the Governor, shall be composed of five podiatric physicians licensed to practice podiatric medicine in this state and one lay member representing the public.&nbsp;</span></p> <p><span class="cls0">B. Each podiatric physician member of the Board shall:&nbsp;</span></p> <p><span class="cls0">1. Be a legal resident of this state;&nbsp;</span></p> <p><span class="cls0">2. Have practiced podiatric medicine continuously in this state during the three (3) years immediately preceding his appointment to the Board;&nbsp;</span></p> <p><span class="cls0">3. Be free of pending disciplinary action or active investigation by the Board; and&nbsp;</span></p> <p><span class="cls0">4. Be a member in good standing of the American Podiatric Medical Association and of the Oklahoma Podiatric Medical Association.&nbsp;</span></p> <p><span class="cls0">C. The lay member of the Board shall:&nbsp;</span></p> <p><span class="cls0">1. Be a legal resident of this state;&nbsp;</span></p> <p><span class="cls0">2. Not be a registered or licensed practitioner of any of the healing arts or be related, within the third degree of consanguinity or affinity, to any such person; and&nbsp;</span></p> <p><span class="cls0">3. Participate in Board proceedings only for the purposes of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;reviewing, investigating and disposing of written complaints regarding the conduct of podiatric physicians; and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;formulating, adopting and promulgating rules pursuant to Article I of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. Except as provided in subsection E of this section, the term of office of each podiatric physician member of the Board shall be five (5) years, with one such member being appointed to the Board each year. The lay member of the Board shall serve a term coterminous with that of the Governor. Each member shall hold office until the expiration of the term for which appointed or until a qualified successor has been duly appointed. An appointment shall be made by the Governor within ninety (90) days after the expiration of the term of any member, or the occurrence of a vacancy on the Board due to resignation, death, or any other cause resulting in an unexpired term. The appointment of the podiatric physician members shall be made from a list of not less than five persons submitted annually to the Governor by the Oklahoma Podiatric Medical Association.&nbsp;</span></p> <p><span class="cls0">E. Each of the three podiatric physician members of the Board, serving on the effective date of this act, shall complete the term of office for which he was appointed, and the successor to each such member shall be appointed for a term of five (5) years. Within sixty (60) days after the effective date of this act, the Governor shall appoint two new podiatric physician members to the Board, one for a term expiring July 1, 1997, and one for a term expiring on July 1, 1998. The successor to each such new member shall be appointed for a term of five (5) years.&nbsp;</span></p> <p><span class="cls0">F. Before assuming his duties on the Board, each member shall take and subscribe to the oath or affirmation provided in Article XV of the Oklahoma Constitution, which oath or affirmation shall be administered and filed as provided in said article.&nbsp;</span></p> <p><span class="cls0">G. A member may be removed from the Board by the Governor for cause which shall include, but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Ceasing to be qualified;&nbsp;</span></p> <p><span class="cls0">2. Being found guilty by a court of competent jurisdiction of a felony or of any offense involving moral turpitude;&nbsp;</span></p> <p><span class="cls0">3. Being found guilty, through due process, of malfeasance, misfeasance or nonfeasance in relation to his Board duties;&nbsp;</span></p> <p><span class="cls0">4. Being found mentally incompetent by a court of competent jurisdiction;&nbsp;</span></p> <p><span class="cls0">5. Being found in violation of any provision of the Podiatric Medicine Practice Act; or&nbsp;</span></p> <p><span class="cls0">6. Failing to attend three consecutive meetings of the Board without just cause, as determined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 308, &sect; 2, emerg. eff. May 23, 1955. Amended by Laws 1983, c. 138, &sect; 3, operative July 1, 1983; Laws 1988, c. 225, &sect; 7; Laws 1993, c. 150, &sect; 3, eff. Sept. 1, 1993; Laws 1999, c. 20, &sect; 1; Laws 2005, c. 27, &sect; 1; Laws 2011, c. 45, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1993, c. 4, &sect; 1 repealed by Laws 1993, c. 360, &sect; 17, eff. Sept. 1, 1993.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59138. Application of act.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall apply to any medical doctor, osteopath, or chiropractor licensed as such under the laws of this state, now or hereafter.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 308, &sect; 3. &nbsp;</span></p> <p><span class="cls0">&sect;59-139. Board of Podiatric Medical Examiners - Organization - Meetings - Compliance with other acts - Bonding -&nbsp;</span></p> <p><span class="cls0">Tort claims.&nbsp;</span></p> <p><span class="cls0">A. The Board of Podiatric Medical Examiners shall organize annually at the last regularly scheduled meeting of the Board before the beginning of the next fiscal year by electing from among its members a president, a vice-president, and a secretary-treasurer. The term of office of each officer shall be for the following fiscal year and until a successor is elected and qualified. The duties of each officer shall be prescribed in the rules of the Board.&nbsp;</span></p> <p><span class="cls0">B. The Board may hold such regularly scheduled meetings, special meetings, emergency meetings, or continued or reconvened meetings as found by the Board to be expedient or necessary. A majority of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">C. The Board shall act in accordance with the provisions of the Oklahoma Open Meeting Act, the Oklahoma Open Records Act, and the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. All members of the Board and such employees as determined by the Board shall be bonded as required by Sections 85.26 through 85.31 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">E. The responsibilities and rights of any member or employee of the Board who acts within the scope of Board duties or employment shall be governed by the Governmental Tort Claims Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 308, &sect; 4. Amended by Laws 1997, c. 222, &sect; 1, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59140. Employees of Board Prosecutions Materials and supplies Bonds Seal.&nbsp;</span></p> <p><span class="cls0">The Board of Podiatric Medical Examiners may:&nbsp;</span></p> <p><span class="cls0">1. Employ, contract with, and direct stenographic, clerical, and secretarial help and investigators and attorneys to assist it and its officers in observing and performing under the applicable laws and to help carry out and enforce the applicable laws;&nbsp;</span></p> <p><span class="cls0">2. Gather and present to district attorneys of this state evidence which it believes shows violations of the applicable laws, and, among other purposes authorized by law, it may use attorneys it employs to assist district attorneys (but only with their consent) in the prosecution of such violations, and also to represent it in any court;&nbsp;</span></p> <p><span class="cls0">3. Discharge any person it employs, but this provision shall not be interpreted as authorizing it to fail in any way to observe and perform its lawful contracts;&nbsp;</span></p> <p><span class="cls0">4. Contract for and purchase or rent books, stationery, forms, postage, equipment, other materials and supplies, and furniture and it may rent or lease office space or other quarters; however the compensation of those it employs or with whom it contracts and the consideration it owes under its contracts and its other costs, expenses and liabilities of whatever nature shall never be a charge against the State of Oklahoma, except that the Board may cause payment for all thereof to be made from the Board of Podiatric Medical Examiners' Revolving Fund insofar as there are from time to time amounts in said fund for such purposes;&nbsp;</span></p> <p><span class="cls0">5. Require fidelity bonds of those it employs; and&nbsp;</span></p> <p><span class="cls0">6. Adopt a seal and use the same by impression in addition to the signature of the Board wherever its signature is permitted or required.&nbsp;</span></p> <p><span class="cls0">Laws 1955, p. 309, &sect; 5, emerg. eff. May 23, 1955; Laws 1993, c. 150, &sect; 4, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59141. Powers and duties.&nbsp;</span></p> <p><span class="cls0">The Board of Podiatric Medical Examiners shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Regulate the practice of podiatric medicine;&nbsp;</span></p> <p><span class="cls0">2. Promulgate the rules that may be necessary to implement and enforce the Podiatric Medicine Practice Act;&nbsp;</span></p> <p><span class="cls0">3. Set license and examination fees required by the Podiatric Medicine Practice Act;&nbsp;</span></p> <p><span class="cls0">4. Receive fees and deposit said fees with the State Treasurer in the Board of Podiatric Medical Examiners' Revolving Fund;&nbsp;</span></p> <p><span class="cls0">5. Issue, renew, revoke, deny, and suspend licenses to practice podiatric medicine;&nbsp;</span></p> <p><span class="cls0">6. Examine all qualified applicants for licenses to practice podiatric medicine;&nbsp;</span></p> <p><span class="cls0">7. Investigate complaints and hold hearings;&nbsp;</span></p> <p><span class="cls0">8. Adopt and establish rules of professional conduct, which shall apply to every person who practices podiatric medicine in this state;&nbsp;</span></p> <p><span class="cls0">9. Set educational requirements for licensure; and&nbsp;</span></p> <p><span class="cls0">10. Perform such other duties, exercise such other powers, and employ such personnel as is required by the provisions of the Podiatric Medicine Practice Act.&nbsp;</span></p> <p><span class="cls0">Laws 1955, p. 309, &sect; 6, emerg. eff. May 23, 1955; Laws 1983, c. 138, &sect; 4, operative July 1, 1983; Laws 1993, c. 150, &sect; 5, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-142. Acts constituting practice of podiatric medicine - Exceptions.&nbsp;</span></p> <p><span class="cls0">A. Podiatric medicine is that profession of the health sciences concerned with the diagnosis and treatment of conditions affecting the human foot and ankle, including the local manifestations of systemic conditions, by all appropriate systems and means.&nbsp;</span></p> <p><span class="cls0">B. Any one or more of the following shall be deemed to be practicing podiatric medicine:&nbsp;</span></p> <p><span class="cls0">1. In any way examining, diagnosing, recommending for, prescribing for, caring for or treating in this state ailments, diseased conditions, deformities or injuries of the human foot and ankle, whether or not done directly thereon;&nbsp;</span></p> <p><span class="cls0">2. Massage or adjustment in connection with such examining, diagnosing, recommending, prescribing, treating, or caring for;&nbsp;</span></p> <p><span class="cls0">3. Fitting, building, or otherwise furnishing pads, inserts, appliances, inlays, splints, or supports, or giving or using medicament or anesthetics in connection with such examining, diagnosing, recommending, prescribing, treating, caring for, or fitting; and&nbsp;</span></p> <p><span class="cls0">4. Offering in this state to any person to do or cause to be done, or attempting in this state to do or cause to be done, any or all of the foregoing.&nbsp;</span></p> <p><span class="cls0">C. The provisions of the Podiatric Medicine Practice Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. The sale of proprietary or patented foot remedies, pads, supports or corrective shoes;&nbsp;</span></p> <p><span class="cls0">2. The fitting or recommending of appliances, devices, or shoes for the prevention, correction, or relief of foot ailments or troubles, by regularly established retail dealers or their regular salesmen, not holding themselves out to the public as podiatric physicians under the terms of this act;&nbsp;</span></p> <p><span class="cls0">3. A person providing services or assistance in case of an emergency if no fee or other consideration is contemplated, charged, or received; or&nbsp;</span></p> <p><span class="cls0">4. Any person who is licensed to practice podiatric medicine in another state or territory of the United States whose sole purpose and activity in this state is to practice podiatric medicine and surgery with a specific podiatrist who is licensed to practice podiatric medicine by the Board, excluding a podiatrist with a temporary or restricted license. The length of such person&rsquo;s practice in this state shall be limited to four (4) weeks per year and shall be limited to training purposes. The scope of the training shall not exceed that allowed by Oklahoma law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 310, &sect; 7, emerg. eff. May 23, 1955. Amended by Laws 1993, c. 150, &sect; 6, eff. Sept. 1, 1993; Laws 1994, c. 105, &sect; 1, eff. Sept. 1, 1994; Laws 2009, c. 261, &sect; 1, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59143. Unlawful practices Penalty.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for:&nbsp;</span></p> <p><span class="cls0">1. Any person to practice or attempt to practice podiatric medicine in this state as defined by the applicable laws or as otherwise defined, or to hold himself out to the public in this state as a podiatric physician, doctor of podiatric medicine, podiatrist, foot doctor or foot specialist without having first obtained a license to practice podiatric medicine from the Board of Podiatric Medical Examiners, or after his license to practice podiatric medicine has been revoked, or while such license is under suspension. Provided, however, an applicant for a license by examination who has successfully passed the examination administered by the Board may practice podiatric medicine to the extent necessary to enable him to observe and assist a podiatric physician, as an intern, preceptee or resident, if while so doing he complies with all of the rules of the Board;&nbsp;</span></p> <p><span class="cls0">2. A podiatric physician to practice as such at any time when his license is not conspicuously displayed in his place of regular practice;&nbsp;</span></p> <p><span class="cls0">3. Any person to knowingly represent in any manner in this state, either publicly or privately, that another person is a licensed podiatric physician, doctor of podiatric medicine, podiatrist, foot doctor or foot specialist, or is capable of examining, diagnosing, recommending for, prescribing for, caring for, or treating in this state ailments, diseased conditions, deformities, or injuries of the human foot, unless such other person at the time of such representation is a licensed podiatric physician; and&nbsp;</span></p> <p><span class="cls0">4. Any podiatric physician to violate any provision of the Podiatric Medicine Practice Act or the rules of the Board.&nbsp;</span></p> <p><span class="cls0">B. Any person who does any one or more of the things made unlawful by subsection A of this section shall be deemed guilty of a misdemeanor and upon conviction shall be punishable by a fine of not more than Five Hundred Dollars ($500.00) or by imprisonment in the county jail for not more than six (6) months, or by both such fine and imprisonment. Each day of such violation shall constitute a separate and distinct offense.&nbsp;</span></p> <p><span class="cls0">Laws 1955, p. 311, &sect; 8, emerg. eff. May 23, 1955; Laws 1993, c. 150, &sect; 7, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-144. Examination - Fee - Qualifications of applicants - License - Temporary license.&nbsp;</span></p> <p><span class="cls0">A. The fee for examination for a license to practice podiatric medicine in this state shall be One Hundred Dollars ($100.00). The Board of Podiatric Medical Examiners may increase this fee by not more than an additional Two Hundred Dollars ($200.00). The examination for such license shall be given by the Board. The Board may give the examination at any special meeting, but shall not be required to do so. The Board may utilize the National Board of Podiatric Examiners' National Board Examination Part III as the written portion of the state licensing exam.&nbsp;</span></p> <p><span class="cls0">B. To be entitled to take the examination, a person shall:&nbsp;</span></p> <p><span class="cls0">1. File a written application on a form prescribed by the Board;&nbsp;</span></p> <p><span class="cls0">2. Pay to the secretary-treasurer of the Board in advance the fee for examination;&nbsp;</span></p> <p><span class="cls0">3. Satisfy the Board that the person is loyal to the United States of America;&nbsp;</span></p> <p><span class="cls0">4. Be more than twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">5. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">6. Not have been finally convicted of any crime involving moral turpitude or of any felony;&nbsp;</span></p> <p><span class="cls0">7. Be free from contagious or infectious disease;&nbsp;</span></p> <p><span class="cls0">8. Be a graduate of an accredited college of podiatric medicine; and&nbsp;</span></p> <p><span class="cls0">9. Have complied with applicable Board rules.&nbsp;</span></p> <p><span class="cls0">C. An applicant satisfying the requirements of subsection B of this section shall receive a license to practice podiatric medicine in this state, to be issued by the Board, if the applicant:&nbsp;</span></p> <p><span class="cls0">1. Takes the examination administered or approved by the Board and receives a passing score of at least seventy-five percent (75%) on both the written and oral portions. An applicant receiving less than a score of seventy-five percent (75%) on either the written or oral portion of the examination shall be deemed to have failed the entire examination;&nbsp;</span></p> <p><span class="cls0">2. Satisfactorily completes a podiatric surgical residency, approved by the Council of Podiatric Medical Education of the American Podiatric Medical Association, of not less than three hundred sixty-five (365) days; and&nbsp;</span></p> <p><span class="cls0">3. Satisfies the Board that the applicant has not violated any of the provisions of the Podiatric Medicine Practice Act or any of the rules of the Board.&nbsp;</span></p> <p><span class="cls0">D. The examination administered or approved by the Board shall include both a written and an oral portion, shall be administered in the English language, and shall cover areas in anatomy, pathology, podiatric medicine and surgery, dermatology, pharmacology, biomechanics, anesthesia, radiology, Oklahoma law relating to podiatric medicine, and such other subjects as the Board from time to time determines necessary and appropriate. The Board may authorize examination papers to be graded by one or more of its own members or by any one or more licensed podiatric physicians selected by the Board. Each license issued by the Board shall be signed by each member of the Board, bear the seal of the Board, and designate the licensee as a licensed podiatric physician.&nbsp;</span></p> <p><span class="cls0">E. The Board may issue a temporary license if the applicant:&nbsp;</span></p> <p><span class="cls0">1. Has met the requirements of subsection B of this section;&nbsp;</span></p> <p><span class="cls0">2. Takes the examination administered or approved by the Board and receives a passing score of at least seventy-five percent (75%) on both the written and oral portions. An applicant receiving less than a score of seventy-five percent (75%) on either the written or oral portion of the examination shall be deemed to have failed the entire examination;&nbsp;</span></p> <p><span class="cls0">3. Is within ninety (90) days of completing or has completed a podiatric surgical residency, approved by the Council of Podiatric Medical Education of the American Podiatric Medical Association, of not less than three hundred sixty-five (365) days; and&nbsp;</span></p> <p><span class="cls0">4. Satisfies the Board that the applicant has not violated any of the provisions of the Podiatric Medicine Practice Act or any of the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 311, &sect; 9, emerg. eff. May 23, 1955. Amended by Laws 1990, c. 163, &sect; 1, eff. Sept. 1, 1990; Laws 1993, c. 150, &sect; 8, eff. Sept. 1, 1993; Laws 2002, c. 118, &sect; 1, eff. Nov. 1, 2002; Laws 2008, c. 149, &sect; 1, emerg. eff. May 12, 2008; Laws 2013, c. 185, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-144.1. Training license - Eligibility - Restrictions.&nbsp;</span></p> <p><span class="cls0">A. No person who is granted a training license shall practice outside the limitations of the license.&nbsp;</span></p> <p><span class="cls0">B. To be eligible for training licensure, the applicant shall have completed all the requirements for full and unrestricted licensure except graduate education and/or licensing examination or other requirements relative to the basis for the training license.&nbsp;</span></p> <p><span class="cls0">C. By rule, the Board of Podiatric Medical Examiners shall establish restrictions for training licensure to assure that the holder will practice only under appropriate circumstances as set by the Board.&nbsp;</span></p> <p><span class="cls0">D. A training license shall be renewable annually upon the approval of the Board and upon the evaluation of performance in the special circumstances upon which the training license was granted.&nbsp;</span></p> <p><span class="cls0">E. The issuance of a training license shall not be construed to imply that a full and unrestricted license to practice podiatric medicine will be issued at a future date.&nbsp;</span></p> <p><span class="cls0">F. All other provisions of the Podiatric Medicine Practice Act shall apply to the holders of training licenses.&nbsp;</span></p> <p><span class="cls0">G. This section shall not limit the authority of any state agency or educational institution in this state which employs a training licensed podiatric physician to impose additional practice limitations upon such podiatric physician.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 185, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-145. Renewal of licenses - Fees - Suspension on nonpayment - Reinstatement - Records.&nbsp;</span></p> <p><span class="cls0">A. Each license to practice podiatric medicine shall be renewed by June 30 of even-numbered years. Such license shall entitle the licensee to practice podiatric medicine in this state as defined by law and to hold himself/herself out as a licensed podiatric physician, doctor of podiatric medicine or podiatrist as long as lawfully renewed, unless suspended or revoked as authorized by law.&nbsp;</span></p> <p><span class="cls0">B. Upon application and payment of required fees, and upon first satisfying the Board of Podiatric Medical Examiners that the licensee is not at the time violating any applicable law or any of the rules of the Board or the Code of Ethics, and upon showing proof of compliance with Section 145.1 of this title, a licensee shall be entitled to have his/her license to practice podiatric medicine renewed until June 30 of the following even-numbered year.&nbsp;</span></p> <p><span class="cls0">C. A license not renewed in the time and manner required by this section shall become inactive and the licensee may not practice as a licensed podiatric physician, doctor of podiatric medicine or podiatrist. The license may be renewed on or before September 30 following the June 30 deadline by payment of the delinquent renewal fee upon satisfying the Board of compliance with subsection B of this section. After that September 30 and on or before the close of June 30 of the next even-numbered year, the license may be reinstated upon satisfying the Board of compliance with subsection B of this section and upon the payment first of the delinquent renewal fee, plus such additional penalty as the Board imposes, not to exceed in all four times the delinquent fee. Any license to practice podiatric medicine not reinstated in such time shall become void at the close of June 30 of the next even-numbered year; and thereafter it shall not be renewed or reinstated.&nbsp;</span></p> <p><span class="cls0">D. The renewal fee shall be such sum as the Board from time to time sets. Upon the timely payment of the renewal fee or the reinstatement fee, as the case may be, the secretary-treasurer of the Board shall provide to the licensee such certificate of renewal or reinstatement as the Board shall direct, which shall operate to renew or reinstate the license, as the case may be, until June 30 of the next even-numbered year, after which it must be renewed again or be reinstated in the same time and manner to continue to be effective.&nbsp;</span></p> <p><span class="cls0">E. The secretary-treasurer of the Board shall keep a license record showing each license issued by the Board, the name and last mailing address furnished to said secretary-treasurer by each licensee, the year of issuance of the license, whether by examination or otherwise, the renewals, reinstatements, suspensions and revocations thereof, and the fact as to whether the license be in force or suspended or void. Such record as to any license, or a copy thereof certified to by said secretary-treasurer as complete and true as to the license in question, shall constitute prima facie evidence of the recitals therein and the fact disclosed thereby as to whether the license described is in force or suspended or void.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 312, &sect; 10, emerg. eff. May 23, 1955. Amended by Laws 1979, c. 81, &sect; 1; Laws 1993, c. 150, &sect; 9, eff. Sept. 1, 1993; Laws 2013, c. 185, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-145.1. Continuing education requirement for renewal of license - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. Sixty (60) hours of continuing education shall be required for renewal of an individual license to practice podiatric medicine in this state. This must be obtained in the two-year period immediately preceding the two-year period for which the license is to be issued. The continuing education required by this section shall be any of the following:&nbsp;</span></p> <p><span class="cls0">1. Education presented by an organization approved by the Council on Continuing Education of the American Podiatric Medical Association;&nbsp;</span></p> <p><span class="cls0">2. A national, state or county podiatric medical association meeting approved by the Board of Podiatric Medical Examiners;&nbsp;</span></p> <p><span class="cls0">3. Hospital-sponsored scientific programs approved by the Board; or&nbsp;</span></p> <p><span class="cls0">4. Six (6) hours of continuing education credit may be obtained by attending meetings and hearings of the Board.&nbsp;</span></p> <p><span class="cls0">At least thirty (30) hours of the required sixty (60) hours must be obtained in this state.&nbsp;</span></p> <p><span class="cls0">B. Any practitioner not so satisfying the Board of the fulfillment of the continuing education requirements required by subsection A of this section shall cease to be entitled to have such license renewed.&nbsp;</span></p> <p><span class="cls0">C. Any practitioner fully retired from the practice of podiatric medicine shall be exempt from compliance with the requirements imposed by subsection A of this section. However, upon resuming the practice of podiatric medicine, the individual shall fulfill such requirements which have accrued from the effective date of this act to the time of resumption of practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1979, c. 81, &sect; 2. Amended by Laws 1993, c. 150, &sect; 10, eff. Sept. 1, 1993; Laws 2013, c. 185, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-146. Repealed by Laws 1990, c. 163, &sect; 7, eff. Sept. 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-147. Penalties - Guidelines.&nbsp;</span></p> <p><span class="cls0">A. The Board of Podiatric Medical Examiners is authorized, after notice and opportunity for a hearing pursuant to Article II of the Administrative Procedures Act, to issue an order imposing one or more of the following penalties whenever the Board finds, by clear and convincing evidence, that a podiatric physician has committed any of the acts or occurrences set forth in Section 148 of this title:&nbsp;</span></p> <p><span class="cls0">1. Disapproval of an application for a renewal license;&nbsp;</span></p> <p><span class="cls0">2. Suspension of a license issued by the Board for a maximum period of three (3) years;&nbsp;</span></p> <p><span class="cls0">3. Revocation of a license issued by the Board;&nbsp;</span></p> <p><span class="cls0">4. An administrative fine not to exceed One Thousand Dollars ($1,000.00) for each count or separate violation;&nbsp;</span></p> <p><span class="cls0">5. A censure or reprimand;&nbsp;</span></p> <p><span class="cls0">6. Placement on probation for a period of time and under such terms and conditions as deemed appropriate by the Board;&nbsp;</span></p> <p><span class="cls0">7. Restriction of the practice of a podiatric physician under such terms and conditions as deemed appropriate by the Board; and&nbsp;</span></p> <p><span class="cls0">8. Payment of costs associated with a disciplinary proceeding.&nbsp;</span></p> <p><span class="cls0">B. The Board may, by rule, establish guidelines for the disposition of disciplinary cases involving specific types of violations. The guidelines may include:&nbsp;</span></p> <p><span class="cls0">1. Minimum and maximum administrative fines;&nbsp;</span></p> <p><span class="cls0">2. Periods of suspension, probation or supervision;&nbsp;</span></p> <p><span class="cls0">3. Terms and conditions of probation; and&nbsp;</span></p> <p><span class="cls0">4. Terms and conditions for the reinstatement of a license.&nbsp;</span></p> <p><span class="cls0">C. The Board is authorized to issue a confidential letter of concern to a podiatric physician when, though evidence does not warrant initiation of an individual proceeding, the Board has noted indications of possible errant conduct by the podiatric physician that could lead to serious consequences and formal action by the Board.&nbsp;</span></p> <p><span class="cls0">D. A podiatric physician against whom a penalty is imposed by an order of the Board pursuant to the provisions of this section shall have the right to seek a judicial review of such order pursuant to Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 313, &sect; 12, emerg. eff. May 23, 1955. Amended by Laws 1993, c. 150, &sect; 11, eff. Sept. 1, 1993; Laws 1997, c. 222, &sect; 2, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-148. Violations.&nbsp;</span></p> <p><span class="cls0">A. The following acts or occurrences by a podiatric physician shall constitute grounds for which the penalties specified in Section 147 of this title may be imposed by order of the Board of Podiatric Medical Examiners:&nbsp;</span></p> <p><span class="cls0">1. Willfully making a false and material statement to the Board, either before or after the issuance of a license;&nbsp;</span></p> <p><span class="cls0">2. Pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substances laws;&nbsp;</span></p> <p><span class="cls0">3. Using alcohol, any drug, or any other substance which impairs the licensee to a degree that the licensee is unable to practice podiatric medicine with safety and benefit to the public;&nbsp;</span></p> <p><span class="cls0">4. Being mentally or physically incapacitated to a degree that the licensee is unable to practice podiatric medicine with safety and benefit to the public;&nbsp;</span></p> <p><span class="cls0">5. Making any advertisement, statement, or representation which is untrue or improbable and calculated by the licensee to deceive, defraud or mislead the public or patients;&nbsp;</span></p> <p><span class="cls0">6. Practicing fraud by omission or commission in the examination given by the Board, or in obtaining a license, or in obtaining renewal or reinstatement of a license;&nbsp;</span></p> <p><span class="cls0">7. Failing to pay or cause to be paid promptly when due any fee required by the Podiatric Medicine Practice Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">8. Practicing podiatric medicine in an unsafe or unsanitary manner or place;&nbsp;</span></p> <p><span class="cls0">9. Performing, or attempting to perform, any surgery for which the licensee has not had reasonable training;&nbsp;</span></p> <p><span class="cls0">10. Gross and willful neglect of duty as a member or officer of the Board;&nbsp;</span></p> <p><span class="cls0">11. Dividing with any person, firm, corporation, or other legal entity any fee or other compensation for services as a podiatric physician, except with:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;another podiatric physician,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;an applicant for a license who is observing or assisting the licensee as an intern, preceptee or resident, as authorized by the rules of the Board, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a practitioner of another branch of the healing arts who is duly licensed under the laws of this state or another state, district or territory of the United States,&nbsp;</span></p> <p><span class="cls0">who has actually provided services, directly or indirectly, to the patient from or for whom the fee or other compensation is received, or at the time of the services is an active associate of the licensee in the lawful practice of podiatric medicine in this state; and&nbsp;</span></p> <p><span class="cls0">12. Violating or attempting to violate the provisions of the Podiatric Medicine Practice Act, the Code of Ethics, or the rules of the Board.&nbsp;</span></p> <p><span class="cls0">B. Commitment of a licensee to an institution for the mentally ill shall constitute prima facie evidence that the licensee is mentally incapacitated to a degree that the licensee is unable to practice podiatric medicine with safety and benefit to the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 314, &sect; 13, emerg. eff. May 23, 1955. Amended by Laws 1993, c. 150, &sect; 12, eff. Sept. 1, 1993; Laws 1997, c. 222, &sect; 3, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-149. Complaint.&nbsp;</span></p> <p><span class="cls0">A. Any person may file a written and signed complaint with the Board of Podiatric Medical Examiners, alleging that a podiatric physician has violated the provisions of the Podiatric Medicine Practice Act, the Code of Ethics, or the rules of the Board, and the facts upon which the allegations are based. Each complaint received by the Board shall be investigated in a manner to be prescribed in the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 315, &sect; 14. Amended by Laws 1997, c. 222, &sect; 4, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-150. Repealed by Laws 1997, c. 222, &sect; 8, eff. Nov. 1, 1997.&nbsp;</span></p> <p><span class="cls0">&sect;59152. Reciprocity Fees.&nbsp;</span></p> <p><span class="cls0">A. By way of reciprocity and without examination, the Board of Podiatric Medical Examiners may issue a license to practice podiatric medicine in this state to any person who:&nbsp;</span></p> <p><span class="cls0">1. Satisfies the Board that he has all the qualifications required, by the applicable laws and the rules of the Board, of a person to entitle the person to a license to practice podiatric medicine in this state pursuant to examination, excepting any as to which the Board excuses compliance for good cause shown; and&nbsp;</span></p> <p><span class="cls0">2. Satisfies the Board that for at least three (3) years immediately prior to the date on which he pays the required fee he lawfully practiced podiatric medicine within and under the laws of a district or territory or other state of the United States of America pursuant to a license issued thereby authorizing such practice; and&nbsp;</span></p> <p><span class="cls0">3. Pays in advance to the secretarytreasurer of the Board the fee required by the rules of the Board for a license by reciprocity, which shall not be less than One Hundred Fifty Dollars ($150.00) or more than Three Hundred Dollars ($300.00).&nbsp;</span></p> <p><span class="cls0">B. The provisions and benefits of this section shall extend only to persons who are residents in good faith of districts, territories, or states which in the judgment of the Board extend to citizens of this state substantially equal or greater reciprocity privileges as to a license to practice podiatric medicine.&nbsp;</span></p> <p><span class="cls0">Laws 1955, p. 316, &sect; 17, emerg. eff. May 23, 1955; Laws 1993, c. 150, &sect; 13, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-154. Board of Podiatric Medical Examiners' Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Board of Podiatric Medical Examiners, to be designated as the "Board of Podiatric Medical Examiners' Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board pursuant to the provisions of the Podiatric Medicine Practice Act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Board for the purpose of implementing and enforcing the provisions of the Podiatric Medicine Practice Act. Expenditures from said fund shall be made upon warrants issued by the State Treasurer against claims signed by the secretary-treasurer of the Board or by an authorized employee or employees of the Board and filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 316, &sect; 19, emerg. eff. May 23, 1955. Amended by Laws 1983, c. 138, &sect; 7, operative July 1, 1983; Laws 1993, c. 150, &sect; 14, eff. Sept. 1, 1993; Laws 2012, c. 304, &sect; 260.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-155. Investigations and hearings.&nbsp;</span></p> <p><span class="cls0">The Board of Podiatric Medical Examiners shall:&nbsp;</span></p> <p><span class="cls0">1. Conduct investigations of complaints against podiatric physicians filed with the Board pursuant to Section 149 of this title; and&nbsp;</span></p> <p><span class="cls0">2. Initiate and conduct individual proceedings, pursuant to Article II of the Administrative Procedures Act, against podiatric physicians alleged to have violated the Podiatric Medicine Practice Act, the Code of Ethics, or the rules of the Board. For such purposes the Board, or any member thereof, is empowered to issue subpoenas, compel the attendance of witnesses, and administer oaths and affirmations. Subpoenas authorized by this section may be signed and issued by any member of the Board, and shall be served, and return of service thereof made, in the same manner as a subpoena is served from a court of record in this state and as return of service in such case is made. Any person failing and refusing to attend in obedience to such subpoena, or refusing to be sworn or examined or answer any question propounded by any member of the Board or any attorney or licensee upon permission from the Board, upon conviction thereof, shall be guilty of a misdemeanor and punishable as such.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 316, &sect; 20. Amended by Laws 1997, c. 222, &sect; 5, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59156. Annual report.&nbsp;</span></p> <p><span class="cls0">Said Board shall make an annual report to the Governor, not later than the fifteenth day of November each year, which report shall contain an account of all monies received, licenses issued, suspended, or revoked and all expenditures made by said Board the twelve (12) months prior to said date.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 317, &sect; 21. &nbsp;</span></p> <p><span class="cls0">&sect;59158. Restraining orders and injunctions.&nbsp;</span></p> <p><span class="cls0">Restraining orders and temporary and permanent injunctions may be granted by the district and superior courts upon application of the Board for the purpose of restraining, enjoining, and preventing threatened or likely violations of, and also enforcing, and also requiring compliance with, the applicable laws.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 317, &sect; 23. &nbsp;</span></p> <p><span class="cls0">&sect;59159.1. Rules and regulations concerning casts for individual shoes.&nbsp;</span></p> <p><span class="cls0">The Board may adopt rules and regulations which are necessary or helpful to promote the public health and safety which define and establish minimum standards and requirements for methods and practices to be used in taking or making casts or equivalents thereof of the human foot for the purpose of prescribing, offering, making, furnishing,correcting, changing, or fitting shoes for the foot. It shall be unlawful to take or make said casts or equivalents for any purpose except in accordance with such rules and regulations as the Board may prescribe.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1983, c. 138, &sect; 6, operative July 1, 1983. &nbsp;</span></p> <p><span class="cls0">&sect;59159.2. Unlawful acts.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful to make, furnish, correct, change, or fit any of the following if moulded for the foot or part of the foot of a specific person, as distinguished from persons generally, to wit: shoes for the purpose of diagnosing, correcting, relieving, treating, aiding, controlling, or alleviating ailments, diseases, diseased conditions, deformities, injuries, or abnormalities of the foot or feet of the specific person, except upon the prescription of a medical doctor, podiatric physician, osteopathic physician duly licensed under the laws of this state, or to offer so to do, or for any one other than such medical doctor, podiatric physician or osteopathic physician to prescribe any thereof for any such purpose.&nbsp;</span></p> <p><span class="cls0">Laws 1959, p. 224, &sect; 2; Laws 1993, c. 150, &sect; 15, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59159.4. Inapplicability to manufacture or sale to persons generally.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall apply to the manufacture or sale of shoes, pads, or supports, whether patented or not, which are made for, and offered to, persons generally.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1959, p. 224, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59159.5. Penalties.&nbsp;</span></p> <p><span class="cls0">Any violation of this act shall constitute a misdemeanor, and shall be punishable upon conviction, by a fine of not more than Five Hundred Dollars ($500.00) or imprisonment in the county jail for not more than six (6) months or by both such fine and imprisonment; and each separate day upon which any person unlawfully does a thing made unlawful by this act shall be and constitute a separate and distinct offense.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1959, p. 224, &sect; 5. &nbsp;</span></p> <p><span class="cls0">&sect;59-160.1. Interpretation of "podiatry" and "podiatric medicine".&nbsp;</span></p> <p><span class="cls0">The terms "podiatry" and "podiatric medicine" are synonymous and mean the branch of the healing arts defined in the Podiatric Medicine Practice Act. Wherever in the Oklahoma Statutes reference is made to the term "podiatry", the same shall be interpreted to mean "podiatric medicine", and wherever reference is made to the term "podiatrist", the same shall be interpreted to mean "podiatric physician".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1969, c. 198, &sect; 1, emerg. eff. April 18, 1969. Amended by Laws 1993, c. 150, &sect; 16, eff. Sept. 1, 1993; Laws 1995, c. 207, &sect; 2, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59160.2. DPM Meaning.&nbsp;</span></p> <p><span class="cls0">The term DPM means Doctor of Podiatric Medicine.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Laws 1969, c. 198, &sect; 2, emerg. eff. April 18, 1969. &nbsp;</span></p> <p><span class="cls0">&sect;59-161. Renumbered as Section 161.4 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-161.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 161.1 through 161.20 of Title 59 of the Oklahoma Statutes shall be known and may be cited as the "Oklahoma Chiropractic Practice Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 265, &sect; 1, eff. Oct. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.2. Scope of practice of chiropractic.&nbsp;</span></p> <p><span class="cls0">A. Chiropractic is the science and art that teaches health in anatomic relation and disease or abnormality in anatomic disrelation, and includes hygienic, sanitary and therapeutic measures incident thereto in humans. The scope of practice of chiropractic shall include those diagnostic and treatment services and procedures which have been taught by an accredited chiropractic college and have been approved by the Board of Chiropractic Examiners.&nbsp;</span></p> <p><span class="cls0">B. A chiropractic physician may engage in the practice of animal chiropractic diagnosis and treatment if certified to do so by the Board. A licensed chiropractic physician may provide chiropractic treatment to an animal without being certified in animal chiropractic diagnosis and treatment by the Board if an animal has been referred to the chiropractic physician by a licensed veterinarian.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 265, &sect; 2, eff. Oct. 1, 1991. Amended by Laws 2000, c. 131, &sect; 1, eff. Nov. 1, 2000.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.3. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Chiropractic Practice Act, these words, phrases or terms, unless the context otherwise indicates, shall have the following meanings:&nbsp;</span></p> <p><span class="cls0">1. "Accredited chiropractic college" means a chiropractic educational institution which is accredited by the Commission on Accreditation of the Council on Chiropractic Education, a national, independent accreditation body recognized and approved by the U.S. Department of Education, or its successor;&nbsp;</span></p> <p><span class="cls0">2. "Animal chiropractic diagnosis and treatment" means treatment that includes vertebral subluxation complex (vsc) and spinal manipulation of nonhuman vertebrates. The term &ldquo;animal chiropractic diagnosis and treatment&rdquo; shall not be construed to allow the:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;use of x-rays,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;performing of surgery,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;dispensing or administering of medications, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;performance of traditional veterinary care;&nbsp;</span></p> <p><span class="cls0">3. "Applicant" means any person submitting an application for licensure to the Board;&nbsp;</span></p> <p><span class="cls0">4. "Board" means the Board of Chiropractic Examiners;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Certified chiropractic assistant&rdquo; means an unlicensed member of a chiropractic physician&rsquo;s team of healthcare workers who may assist a chiropractic physician in the performance of examination and therapeutic procedures and techniques necessary to deliver healthcare services to patients within the scope of chiropractic;&nbsp;</span></p> <p><span class="cls0">6. "Chiropractic physician", "chiropractor", "doctor of chiropractic", "practitioner of chiropractic" and "licensee" are synonymous and mean a person holding an original license to practice chiropractic in this state;&nbsp;</span></p> <p><span class="cls0">7. "Examination" means the process used by the Board, prior to the issuance of an original license, to test the qualifications and knowledge of an applicant on any or all of the following: current statutes, rules or any of those subjects listed in Section 161.8 of this title;&nbsp;</span></p> <p><span class="cls0">8. "Intern" means a student at an accredited chiropractic college who is participating in the Chiropractic Undergraduate Preceptorship Program;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Nonclinical&rdquo; means of a business nature including, but not limited to, practice management, insurance information, and computer information. It shall also mean the discussion of philosophy as it relates to the performance of chiropractic;&nbsp;</span></p> <p><span class="cls0">10. "Original license" means a license granting initial authorization to practice chiropractic in this state issued by the Board to an applicant found by the Board to meet the licensing requirements of the Oklahoma Chiropractic Practice Act, by examination pursuant to Section 161.7 of this title, or by reciprocity pursuant to Section 161.9 of this title;&nbsp;</span></p> <p><span class="cls0">11. "Preceptor" means a chiropractic physician who is participating in the Chiropractic Undergraduate Preceptorship Program;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Relocation of practice&rdquo; means the recognition and approval by the Board, prior to the issuance of an original license, of the chiropractic licensing process in another state, country, territory or province; and&nbsp;</span></p> <p><span class="cls0">13. "Renewal license" means a license issued to a chiropractic physician by the Board, on or before the first day of January of each year, which authorizes such licensee to practice chiropractic in this state during the succeeding calendar year.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 265, &sect; 3, eff. Oct. 1, 1991. Amended by Laws 1994, c. 390, &sect; 1, eff. Sept. 1, 1994; Laws 2000, c. 131, &sect; 2, eff. Nov. 1, 2000; Laws 2004, c. 269, &sect; 1, emerg. eff. May 6, 2004; Laws 2007, c. 363, &sect; 1, eff. Nov. 1, 2007; Laws 2011, c. 230, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.4. Board of Chiropractic Examiners.&nbsp;</span></p> <p><span class="cls0">A. A Board of Chiropractic Examiners is hereby re-created to continue until July 1, 2016, in accordance with the provisions of the Oklahoma Sunset Law. The Board shall regulate the practice of chiropractic in this state in accordance with the provisions of the Oklahoma Chiropractic Practice Act. The Board, appointed by the Governor, shall be composed of eight chiropractic physicians and one lay member representing the public.&nbsp;</span></p> <p><span class="cls0">B. Each chiropractic physician member of the Board shall:&nbsp;</span></p> <p><span class="cls0">1. Be a legal resident of this state;&nbsp;</span></p> <p><span class="cls0">2. Have practiced chiropractic continuously in this state during the five (5) years immediately preceding appointment to the Board;&nbsp;</span></p> <p><span class="cls0">3. Be free of pending disciplinary action or active investigation by the Board;&nbsp;</span></p> <p><span class="cls0">4. Be a person of recognized professional ability, integrity and good reputation; and&nbsp;</span></p> <p><span class="cls0">5. Be in active clinical chiropractic practice at least fifty percent (50%) of the time.&nbsp;</span></p> <p><span class="cls0">C. The lay member of the Board shall:&nbsp;</span></p> <p><span class="cls0">1. Be a legal resident of this state; and&nbsp;</span></p> <p><span class="cls0">2. Not be a registered or licensed practitioner of any of the healing arts or be related within the third degree of consanguinity or affinity to any such person.&nbsp;</span></p> <p><span class="cls0">D. The Governor shall appoint members to the Board and for terms of years as follows:&nbsp;</span></p> <p><span class="cls0">1. Position 1: Upon expiration of the term of the board member whose term expires November 2, 2006, the Governor shall appoint a board member from District 1 for a term of four (4) years to expire on November 1, 2010, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">2. Position 2: Upon expiration of the term of the board member whose term expires November 1, 2005, the Governor shall appoint a board member from District 2 for a term of four (4) years to expire on November 1, 2009, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">3. Position 3: Upon expiration of the term of the board member whose term expires June 7, 2007, the Governor shall appoint a board member from District 3 for a term of four (4) years to expire on June 1, 2011, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">4. Position 4: Upon expiration of the term of the board member whose term expires November 1, 2007, the Governor shall appoint a board member from District 4 for a term of four (4) years to expire on November 1, 2011, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">5. Position 5: Upon expiration of the term of the board member whose term expires June 7, 2008, the Governor shall appoint a board member from District 5 for a term of four (4) years to expire on June 1, 2012, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">6. Position 6: On June 1, 2005, the Governor shall appoint a board member from District 6 for a term of one (1) year to expire on June 1, 2006, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">7. Position 7: On November 1, 2005, the Governor shall appoint a board member from District 7 for a term of three (3) years to expire on November 1, 2008, and every four (4) years thereafter;&nbsp;</span></p> <p><span class="cls0">8. Position 8: Upon expiration of the term of the board member whose term expires June 7, 2005, the Governor shall appoint a board member from the state at large for a term of four (4) years to expire on June 1, 2009, and every four (4) years thereafter; and&nbsp;</span></p> <p><span class="cls0">9. Position 9: The lay member of the Board shall serve a term coterminous with that of the Governor.&nbsp;</span></p> <p><span class="cls0">E. For the purpose of the Oklahoma Chiropractic Practice Act, the state shall be divided into the following districts:&nbsp;</span></p> <p><span class="cls0">1. District 1: Alfalfa, Beaver, Beckham, Caddo, Cimarron, Custer, Dewey, Ellis, Grant, Greer, Garfield, Harmon, Harper, Jackson, Kiowa, Major, Noble, Roger Mills, Texas, Washita, Woods and Woodward Counties;&nbsp;</span></p> <p><span class="cls0">2. District 2: Tulsa County;&nbsp;</span></p> <p><span class="cls0">3. District 3: Kay, Logan, Lincoln, Osage, Pawnee, Payne and Pottawatomie Counties;&nbsp;</span></p> <p><span class="cls0">4. District 4: Carter, Comanche, Cotton, Garvin, Grady, Love, Murray, Jefferson, Stephens and Tillman Counties;&nbsp;</span></p> <p><span class="cls0">5. District 5: Blaine, Canadian, Cleveland, Kingfisher, McClain and Oklahoma Counties;&nbsp;</span></p> <p><span class="cls0">6. District 6: Atoka, Bryan, Coal, Choctaw, Creek, Hughes, Johnston, Latimer, LeFlore, Marshall, McCurtain, Okfuskee, Pittsburg, Pontotoc, Pushmataha and Seminole Counties; and&nbsp;</span></p> <p><span class="cls0">7. District 7: Adair, Cherokee, Craig, Delaware, Haskell, Mayes, McIntosh, Muskogee, Nowata, Okmulgee, Ottawa, Rogers, Sequoyah, Wagoner and Washington Counties.&nbsp;</span></p> <p><span class="cls0">Members appointed after June 2002 shall serve no more than two (2) consecutive terms.&nbsp;</span></p> <p><span class="cls0">F. Each member shall hold office until the expiration of the term of office for which appointed or until a qualified successor has been duly appointed. An appointment shall be made by the Governor within ninety (90) days after the expiration of the term of any member, or the occurrence of a vacancy on the Board due to resignation, death, or any other cause resulting in an unexpired term.&nbsp;</span></p> <p><span class="cls0">G. Before assuming duties on the Board, each member shall take and subscribe to the oath or affirmation provided in Article XV of the Oklahoma Constitution, which oath or affirmation shall be administered and filed as provided in the article.&nbsp;</span></p> <p><span class="cls0">H. A member may be removed from the Board by the Governor for cause which shall include, but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Ceasing to be qualified;&nbsp;</span></p> <p><span class="cls0">2. Being found guilty by a court of competent jurisdiction of a felony or any offense involving moral turpitude;&nbsp;</span></p> <p><span class="cls0">3. Being found guilty, through due process, of malfeasance, misfeasance or nonfeasance in relation to Board duties;&nbsp;</span></p> <p><span class="cls0">4. Being found mentally incompetent by a court of competent jurisdiction;&nbsp;</span></p> <p><span class="cls0">5. Being found in violation of any provision of the Oklahoma Chiropractic Practice Act; or&nbsp;</span></p> <p><span class="cls0">6. Failing to attend three meetings of the Board without just cause, as determined by the Board.&nbsp;</span></p> <p><span class="cls0">I. No member of the Board shall be:&nbsp;</span></p> <p><span class="cls0">1. A registered lobbyist;&nbsp;</span></p> <p><span class="cls0">2. An officer, board member or employee of a statewide organization established for the purpose of advocating the interests of chiropractors licensed pursuant to the Oklahoma Chiropractic Practice Act; or&nbsp;</span></p> <p><span class="cls0">3. An insurance claims adjuster, reviewer, or consultant; provided, however, a person shall not be considered to be a consultant solely for testifying in a court as an expert witness.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 7, p. 12, &sect; 1. Amended by Laws 1982, c. 268, &sect; 1, emerg. eff. May 14, 1982; Laws 1983, c. 298, &sect; 1, emerg. eff. June 23, 1983; Laws 1988, c. 225, &sect; 8; Laws 1991, c. 265, &sect; 4, eff. Oct. 1, 1991. Renumbered from &sect; 161 of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1993, c. 193, &sect; 1; Laws 1994, c. 390, &sect; 2, eff. Sept. 1, 1994; Laws 1999, c. 19, &sect; 1; Laws 2000, c. 26, &sect; 1; Laws 2002, c. 255, &sect; 1, eff. Nov. 1, 2002; Laws 2004, c. 269, &sect; 2, emerg. eff. May 6, 2004; Laws 2005, c. 16, &sect; 1, eff. Nov. 1, 2005; Laws 2006, c. 16, &sect; 38, emerg. eff. March 29, 2006; Laws 2006, c. 40, &sect; 1; Laws 2010, c. 326, &sect; 1, eff. Nov. 1, 2010; Laws 2012, c. 70, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2005, c. 149, &sect; 1 repealed by Laws 2006, c. 16, &sect; 39, emerg. eff. March 29, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.5. Meetings of Board &ndash; Duties of officers - Bonding and liability.&nbsp;</span></p> <p><span class="cls0">A. The Board of Chiropractic Examiners shall organize annually at the first meeting of the Board after the beginning of each fiscal year, by electing from among its members a president, a vice-president and a secretary-treasurer. The Board shall hold regularly scheduled meetings at least once each quarter at a time and place determined by the Board, and may hold such special meetings, emergency meetings, or continued or reconvened meetings as found by the Board to be expedient or necessary. A majority of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">B. The president shall preside at meetings of the Board, arrange the Board agenda, sign Board orders and other required documents, coordinate Board activities and perform such other duties as may be prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">C. The vice-president shall perform the duties of the president during the president's absence or disability and shall perform such other duties as may be prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">D. The secretary-treasurer shall be responsible for the administrative functions of the Board and shall submit at the first regular meeting of the Board after the end of each fiscal year, a full itemized report of the receipts and disbursements for the prior fiscal year, showing the amount of funds on hand.&nbsp;</span></p> <p><span class="cls0">E. The Board shall act in accordance with the provisions of the Oklahoma Open Meeting Act, the Oklahoma Open Records Act, and the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">F. All members of the Board and such employees as determined by the Board shall be bonded as required by Sections 85.26 through 85.31 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">G. The liability of any member or employee of the Board acting within the scope of Board duties or employment shall be governed by the Governmental Tort Claims Act.&nbsp;</span></p> <p><span class="cls0">H. Members of the Board shall serve without compensation but shall be reimbursed for all actual and necessary expenses incurred in the performance of their duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">I. All fees, charges, reimbursement minimums and other revenue-generating amounts shall be set by the Board by rule.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 265, &sect; 5, eff. Oct. 1, 1991. Amended by Laws 1994, c. 390, &sect; 3, eff. Sept. 1, 1994; Laws 2004, c. 269, &sect; 3, emerg. eff. May 6, 2004; Laws 2005, c. 149, &sect; 2, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.6. Powers of Board - Advisory Committee.&nbsp;</span></p> <p><span class="cls0">A. Pursuant to and in compliance with Article I of the Administrative Procedures Act, the Board of Chiropractic Examiners shall have the power to formulate, adopt and promulgate rules as may be necessary to regulate the practice of chiropractic in this state and to implement and enforce the provisions of the Oklahoma Chiropractic Practice Act.&nbsp;</span></p> <p><span class="cls0">B. The Board is authorized and empowered to:&nbsp;</span></p> <p><span class="cls0">1. Establish and maintain a procedure or system for the certification or accreditation of chiropractic physicians who are qualified in chiropractic post-doctorate Diplomate and all other chiropractic specialties;&nbsp;</span></p> <p><span class="cls0">2. Establish a registration system and adopt and enforce standards for the education and training of chiropractic physicians who engage in the business of issuing professional opinions on the condition, prognosis or treatment of a patient;&nbsp;</span></p> <p><span class="cls0">3. Adopt and enforce standards governing the professional conduct of chiropractic physicians, consistent with the provisions of the Oklahoma Chiropractic Practice Act, for the purpose of establishing and maintaining a high standard of honesty, dignity, integrity and proficiency in the profession;&nbsp;</span></p> <p><span class="cls0">4. Lease office space for the purpose of operating and maintaining a state office, and pay the rent thereon; provided, however, such state office shall not be located in or directly adjacent to the office of any practicing chiropractic physician;&nbsp;</span></p> <p><span class="cls0">5. Purchase office furniture, equipment and supplies;&nbsp;</span></p> <p><span class="cls0">6. Employ, direct, reimburse, evaluate, and dismiss such office personnel, as may be necessary, in accordance with state procedures;&nbsp;</span></p> <p><span class="cls0">7. Employ legal counsel, as needed, to represent the Board in all legal matters and to assist authorized state officers in prosecuting or restraining violations of the Oklahoma Chiropractic Practice Act, and pay the fees for such services;&nbsp;</span></p> <p><span class="cls0">8. Order or subpoena the attendance of witnesses, the inspection of records and premises and the production of relevant books and papers for the investigation of matters that may come before the Board;&nbsp;</span></p> <p><span class="cls0">9. Employ or contract with one or more investigators, as needed, for the sole purpose of investigating written complaints regarding the conduct of chiropractic physicians, and fix and pay their salaries or wages. Any investigator shall be certified as a peace officer by the Council on Law Enforcement Education and Training and shall have statewide jurisdiction to perform the duties authorized by this section;&nbsp;</span></p> <p><span class="cls0">10. Pay the costs of such research programs in chiropractic as in the determination of the Board would be beneficial to the chiropractic physicians in this state;&nbsp;</span></p> <p><span class="cls0">11. Establish minimum standards for continuing education programs administered by chiropractic associations pursuant to Section 161.11 of this title;&nbsp;</span></p> <p><span class="cls0">12. Make such other expenditures as may be necessary in the performance of its duties;&nbsp;</span></p> <p><span class="cls0">13. Establish appropriate fees and charges to implement the provisions of the Oklahoma Chiropractic Practice Act;&nbsp;</span></p> <p><span class="cls0">14. Establish policies for Board operations;&nbsp;</span></p> <p><span class="cls0">15. Determine and direct Board operating administrative, personnel and budget policies and procedures in accordance with applicable statutes;&nbsp;</span></p> <p><span class="cls0">16. Provide travel expenses for at least the Executive Director and provide travel expenses for members of the Board to attend an annual national conference. The Board shall give each member the opportunity to attend the annual national conference;&nbsp;</span></p> <p><span class="cls0">17. Assess chiropractic applicants the cost for a criminal background check. The criminal background checks required by this section shall follow the requirements of Section 1-1950.1 of Title 63 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">18. Out-of-state licensed chiropractic physicians may travel into Oklahoma to treat patients for special events including, but not limited to, sporting events and state emergencies within the borders of Oklahoma after properly registering with the Board of Chiropractic Examiners; and&nbsp;</span></p> <p><span class="cls0">19. The Board of Chiropractic Examiners, by rule, shall promulgate a code of ethics.&nbsp;</span></p> <p><span class="cls0">C. The Board shall promulgate rules regarding continuing education seminars or courses or license renewal seminars or courses including, but not limited to, the qualifications of an applicant, association or entity seeking to sponsor a seminar or course, where the association or entity is domiciled, whether the association or entity is classified as a nonprofit organization, and the educational experience of instructors applying to conduct a seminar or course. The Board shall also promulgate rules regarding certified chiropractic assistants.&nbsp;</span></p> <p><span class="cls0">D. 1. The Board shall appoint an Advisory Committee of a minimum of four and no more than six chiropractic physicians and one lay member representing the public who may advise and assist the Board in:&nbsp;</span></p> <p class="cls5"><span class="cls0">a.&nbsp;&nbsp;investigating the qualifications of applicants for an original license to practice chiropractic in this state,&nbsp;</span></p> <p class="cls5"><span class="cls0">b.&nbsp;&nbsp;investigating written complaints regarding the conduct of chiropractic physicians, including alleged violations of the Oklahoma Chiropractic Practice Act or of the rules of the Board, and&nbsp;</span></p> <p class="cls5"><span class="cls0">c.&nbsp;&nbsp;such other matters as the Board shall delegate to them.&nbsp;</span></p> <p><span class="cls0">2. The Advisory Committee shall be selected from a list of ten chiropractic physicians and three lay persons submitted by each chiropractic association or society in this state or any unaffiliated chiropractic physician desiring to submit a list. The term of service for members of the Advisory Committee shall be determined by the Board. Members of the Advisory Committee shall be reimbursed for all actual and necessary expenses incurred in the performance of their duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">E. 1. After an initial complaint is received by the Board, the Advisory Committee specified in subsection D of this section shall meet and determine whether the complaint merits further investigation. The focus and scope of an investigation shall pertain only to the subject of the complaint.&nbsp;</span></p> <p><span class="cls0">2. The Advisory Committee may utilize the services of an investigator employed or contracted by the Board pursuant to this section. An investigator shall have the authority to investigate a complaint only upon directive of a simple majority of the Advisory Committee or the chair of the Advisory Committee.&nbsp;</span></p> <p><span class="cls0">3. The findings of the investigator shall be presented to the Advisory Committee. The Advisory Committee shall review and determine whether the findings of the investigator and/or the Advisory Committee shall be presented to the Board for possible further action.&nbsp;</span></p> <p><span class="cls0">F. The Board shall promulgate rules regarding the issuance of field citations and the assessment of administrative penalties no later than July 1, 2012. Administrative penalties for field citations shall not exceed Two Hundred Fifty Dollars ($250.00) for a first offense and One Thousand Dollars ($1,000.00) for a second or subsequent offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 7, p. 12, &sect; 2. Amended by Laws 1972, c. 250, &sect; 1, emerg. eff. April 7, 1972; Laws 1982, c. 268, &sect; 2, emerg. eff. May 14, 1982; Laws 1983, c. 298, &sect; 2, emerg. eff. June 23, 1983; Laws 1986, c. 317, &sect; 1, emerg. eff. June 24, 1986; Laws 1990, c. 182, &sect; 1, emerg. eff. May 7, 1990; Laws 1991, c. 265, &sect; 6, eff. Oct. 1, 1991. Renumbered from Title 59, &sect; 162 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1994, c. 390, &sect; 4, eff. Sept. 1, 1994; Laws 2002, c. 255, &sect; 2, eff. Nov. 1, 2002; Laws 2004, c. 269, &sect; 4, emerg. eff. May 6, 2004; Laws 2005, c. 149, &sect; 3, eff. Nov. 1, 2005; Laws 2008, c. 388, &sect; 1, emerg. eff. June 3, 2008; Laws 2009, c. 362, &sect; 1, eff. Nov. 1, 2009; Laws 2011, c. 252, &sect; 1, eff. Nov. 1, 2011; Laws 2012, c. 11, &sect; 15, emerg. eff. April 4, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 230, &sect; 2 repealed by Laws 2012, c. 11, &sect; 16, emerg. eff. April 4, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.7. Application for original license by examination.&nbsp;</span></p> <p><span class="cls0">A. 1. Applications for an original license by examination to practice chiropractic in this state shall be made to the Board of Chiropractic Examiners in writing on a form and in a manner prescribed by the Board. The application shall be supported by the affidavits of two persons who hold a valid license to practice chiropractic in this state or in another state, country, territory or province, and who are not related to or under financial obligations to the applicant, showing the applicant to be a person of good moral character.&nbsp;</span></p> <p><span class="cls0">2. The application shall be accompanied by a fee of One Hundred Seventy-five Dollars ($175.00), which shall not be refundable under any circumstances.&nbsp;</span></p> <p><span class="cls0">3. If the application is disapproved by the Board, the applicant shall be so notified by the secretary-treasurer of the Board, with the reason for such disapproval fully stated in writing.&nbsp;</span></p> <p><span class="cls0">4. If the application is approved, the applicant, upon payment of an examination fee of One Hundred Seventy-five Dollars ($175.00), may take an examination administered by the Board for the purpose of securing an original license. The Board may accept a passing score on an examination administered by the National Board of Chiropractic Examiners taken by the applicant, or may require the applicant to take an examination administered by the Board or both.&nbsp;</span></p> <p><span class="cls0">B. Applicants for an original license to practice chiropractic in this state shall submit to the Board of Chiropractic Examiners documentary evidence of completion of:&nbsp;</span></p> <p><span class="cls0">1. A course of standard high school education;&nbsp;</span></p> <p><span class="cls0">2. Ninety (90) semester hours of college credits in a college or university whose credits are accepted by the University of Oklahoma. For students enrolled in an accredited Doctor of Chiropractic Degree Program on the effective date of this act, proof of having earned a minimum of sixty (60) semester hours of college credits at an institution for which credits are accepted by the University of Oklahoma shall meet the requirements of this paragraph;&nbsp;</span></p> <p><span class="cls0">3. A course of resident study of not less than four (4) years of nine (9) months each in an accredited chiropractic college. A senior student at an accredited chiropractic college may make application for an original license by examination prior to graduation, but such a license shall not be issued until documentary evidence of the graduation of the student from the college has been submitted to the Board;&nbsp;</span></p> <p><span class="cls0">4. Parts I, II, III, IV and physiotherapy as administered by the National Board of Chiropractic Examiners with a passing score; and&nbsp;</span></p> <p><span class="cls0">5. Passing an examination with seventy-five percent (75%) or better.&nbsp;</span></p> <p><span class="cls0">C. Effective January 1, 2006, out-of-state licensed applicants shall submit to the Board documentary evidence that the applicant has malpractice insurance. New applicants shall submit to the Board documentary evidence that the applicant has malpractice insurance within six (6) months of obtaining their Oklahoma license.&nbsp;</span></p> <p><span class="cls0">D. An applicant for an original license shall provide full disclosure to the Board of any disciplinary action taken against the applicant in any state pursuant to licensure and/or criminal proceedings including, but not limited to, pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substance laws.&nbsp;</span></p> <p><span class="cls0">E. No later than one (1) year after receiving a license to practice in Oklahoma, chiropractic physicians shall complete an orientation course of training approved by the Board. The orientation course hours shall count as continuing education credits for the year in which they were earned. An association may provide the orientation course of training.&nbsp;</span></p> <p><span class="cls0">F. The Board shall issue an original license to those applicants who have passed the required examination with a score acceptable to the Board. No license fee shall be charged by the Board for the balance of the calendar year in which such a license is issued.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 7, p. 13, &sect; 3. Amended by Laws 1972, c. 250, &sect; 2, emerg. eff. April 7, 1972; Laws 1982, c. 268, &sect; 3, emerg. eff. May 14, 1982; Laws 1991, c. 265, &sect; 7, eff. Oct. 1, 1991. Renumbered from &sect; 163 of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1994, c. 390, &sect; 5, eff. Sept. 1, 1994; Laws 2004, c. 269, &sect; 5, emerg. eff. May 6, 2004; Laws 2005, c. 149, &sect; 4, eff. Nov. 1, 2005; Laws 2009, c. 362, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.8. Subjects covered by examination.&nbsp;</span></p> <p><span class="cls0">If an examination is administered by the Board of Chiropractic Examiners, it shall include those technical, professional and practical subjects that relate to the practice of chiropractic including, but not limited to, chiropractic principles, anatomy, histology, physiology, symptomatology, orthopedia, chemistry, spinography, diagnosis, sanitation and hygiene, pathology, public health service and adjustology. The Board shall also examine each applicant in the art of chiropractic adjusting, x-ray, diagnostic laboratory procedures, physiological therapeutics and other subjects taught by accredited chiropractic colleges.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 7, p. 13, &sect; 4. Amended by Laws 1972, c. 250, &sect; 3, emerg. eff. April 7, 1972; Laws 1982, c. 268, &sect; 4, emerg. eff. May 14, 1982; Laws 1985, c. 176, &sect; 1; Laws 1989, c. 325, &sect; 1, emerg. eff. May 26, 1989; Laws 1990, c. 163, &sect; 2, eff. Sept. 1, 1990; Laws 1991, c. 265, &sect; 8, eff. Oct. 1, 1991. Renumbered from &sect; 164 of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 2004, c. 269, &sect; 6, emerg. eff. May 6, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1985, c. 178, &sect; 29 repealed by Laws 1989, c. 325, &sect; 2, emerg. eff. May 26, 1989.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.9. Application for original license by relocation of practice.&nbsp;</span></p> <p><span class="cls0">A. Applications for an original license by relocation of practice to practice chiropractic in this state shall be made to the Board of Chiropractic Examiners in writing on a form and in a manner prescribed by the Board. The application shall be accompanied by a fee of Three Hundred Fifty Dollars ($350.00), which shall not be refundable under any circumstances. If the application is disapproved by the Board, it shall be returned to the applicant with the reason for its disapproval fully stated in writing.&nbsp;</span></p> <p><span class="cls0">B. The Board may, in its discretion, issue an original license by relocation to practice to an applicant who is currently licensed to practice chiropractic in another state, country, territory or province, upon the following conditions:&nbsp;</span></p> <p><span class="cls0">1. That the applicant is of good moral character;&nbsp;</span></p> <p><span class="cls0">2. That the requirements for licensure in the state, country, territory or province in which the applicant is licensed are deemed by the Board to be equivalent to the requirements for obtaining an original license by examination in force in this state at the date of such license;&nbsp;</span></p> <p><span class="cls0">3. That the applicant has no disciplinary matters pending against him or her in any state, country, territory or province;&nbsp;</span></p> <p><span class="cls0">4. That the license of the applicant was obtained by examination in the state, country, territory or province wherein it was issued, or was obtained by examination of the National Board of Chiropractic Examiners;&nbsp;</span></p> <p><span class="cls0">5. That the applicant passes the examination given by the Board with a minimum score of seventy-five percent (75%) or better; and&nbsp;</span></p> <p><span class="cls0">6. That the applicant meets all other requirements of the Oklahoma Chiropractic Practice Act.&nbsp;</span></p> <p><span class="cls0">C. Any applicant requesting a license by relocation of practice into Oklahoma shall:&nbsp;</span></p> <p><span class="cls0">1. Submit to the Board documentary evidence that the applicant has been in active practice as a chiropractic physician five (5) years immediately preceding the date of the application; &nbsp;</span></p> <p><span class="cls0">2. Provide full disclosure to the Board of any disciplinary action taken against the applicant pursuant to licensure as a chiropractic physician in any state pursuant to licensure and/or criminal proceedings;&nbsp;</span></p> <p><span class="cls0">3. Provide full disclosure to the Board of any criminal proceeding taken against the applicant including, but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;pleading guilty, pleading nolo contendere or receiving a conviction of a felony,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;pleading guilty, pleading nolo contendere or receiving a conviction for a misdemeanor involving moral turpitude, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;pleading guilty, pleading nolo contendere or receiving a conviction for violation of federal or state controlled dangerous substance laws;&nbsp;</span></p> <p><span class="cls0">4. Comply with the jurisprudence assessment of this state;&nbsp;</span></p> <p><span class="cls0">5. If requested, appear before the Board for a personal interview; and&nbsp;</span></p> <p><span class="cls0">6. Pay an application fee to be set by rule of the Board.&nbsp;</span></p> <p><span class="cls0">D. No license fee shall be charged by the Board for the balance of the calendar year in which such a license is issued.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1937, p. 64, &sect; 2, emerg. eff. May 25, 1937. Amended by Laws 1972, c. 250, &sect; 4, emerg. eff. April 7, 1972; Laws 1982, c. 268, &sect; 5, emerg. eff. May 14, 1982; Laws 1991, c. 265, &sect; 9, eff. Oct. 1, 1991. Renumbered from &sect; 164b of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 2004, c. 269, &sect; 7, emerg. eff. May 6, 2004; Laws 2009, c. 362, &sect; 3, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.10. Repealed by Laws 2004, c. 269, &sect; 13, emerg. eff. May 6, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-161.10a. Continuing education.&nbsp;</span></p> <p><span class="cls0">A. At least ninety (90) calendar days prior to offering a continuing education course in Oklahoma, an association shall submit to the Board for approval:&nbsp;</span></p> <p><span class="cls0">1. An application to provide continuing education in this state;&nbsp;</span></p> <p><span class="cls0">2. The agenda for the continuing education seminar;&nbsp;</span></p> <p><span class="cls0">3. The professional background of the instructors; and&nbsp;</span></p> <p><span class="cls0">4. A summary of the courses to be taught at the continuing education seminar.&nbsp;</span></p> <p><span class="cls0">B. No later than thirty (30) days after submission of the application, the Board of Chiropractic Examiners shall either approve or reject the continuing education seminar.&nbsp;</span></p> <p><span class="cls0">C. A continuing education program shall offer seminars providing continuing education on those subjects within the scope of practice of chiropractic as well as those technical, professional, and practical subjects that relate to the practice of chiropractic as included in Section 161.8 of Title 59 of the Oklahoma Statutes. Instructors at continuing education seminars may sell products as long as the sale of such products is ancillary to the purpose of the seminar.&nbsp;</span></p> <p><span class="cls0">D. Each year a chiropractic physician must attend sixteen (16) hours of continuing education. Twelve (12) hours must be within the scope of practice of chiropractic as well as those technical, professional, and practical subjects that relate to the practice of chiropractic as included in Section 161.8 of this title. A maximum of four (4) hours may be non-clinical in nature.&nbsp;</span></p> <p><span class="cls0">E. Beginning January 1, 2006, a maximum of eight (8) hours of the annual Oklahoma continuing education requirements may be obtained by a continuing education program outside this state if the out-of-state continuing education program is approved by the Board.&nbsp;</span></p> <p><span class="cls0">F. Chiropractic physicians who have not been in active practice during the previous year shall be exempt from that calendar year&rsquo;s continuing education requirements. However, prior to returning to active practice, the chiropractor must have attended the required continuing education during the previous calendar year.&nbsp;</span></p> <p><span class="cls0">G. All licensed chiropractic physicians must attend a minimum of eight (8) hours of in-state continuing education programs approved by the Board of Chiropractic Examiners.&nbsp;</span></p> <p><span class="cls0">H. Beginning January 1, 2005, the Board shall waive the in-state attendance requirements for continuing education, if the licensee was prevented from attending by illness or extenuating circumstances, as determined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 269, &sect; 8, emerg. eff. May 6, 2004. Amended by Laws 2005, c. 149, &sect; 5, eff. Nov. 1, 2005; Laws 2007, c. 363, &sect; 2, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.11. Annual renewal license - Fee - Suspension and reinstatement - Disciplinary guidelines.&nbsp;</span></p> <p><span class="cls0">A. 1. Beginning January 1, 2005:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a person holding an original license and who is actively engaged in the practice of chiropractic in this state shall pay to the Board of Chiropractic Examiners, on or before July 1 of each year, a renewal license fee of Two Hundred Twenty-five Dollars ($225.00),&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;an inactive nonresident holding an original license to practice chiropractic in Oklahoma and who has filed a statement with the Board that the licensee is not actively engaged in the practice of chiropractic in this state and shall not engage in the practice of chiropractic in this state during the succeeding year, shall pay to the Board, on or before July 1 of each year, a renewal license fee of One Hundred Seventy-five Dollars ($175.00),&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an inactive resident holding an original license to practice chiropractic in Oklahoma, and who has filed, or on whose behalf has been filed, a statement with the Board that because of illness, infirmity, active military service or other circumstances as approved by the Board, the licensee is unable to actively engage in the practice of chiropractic during the succeeding year, shall pay to the Board a renewal license fee of One Hundred Dollars ($100.00), and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a person holding an original license, but who is sixty-five (65) years of age or older and who has filed a statement with the Board that the licensee is not actively engaged in the practice of chiropractic in this state and shall not engage in the practice of chiropractic in this state during the succeeding year, shall pay to the Board a renewal licensee fee of Fifty Dollars ($50.00).&nbsp;</span></p> <p><span class="cls0">2. In addition, each licensee shall present to the Board satisfactory evidence that during the preceding twelve (12) months the licensee attended sixteen (16) hours of continuing education that meets the requirements of Section 161.10a of this title, provided that inactive resident licensees may, at the discretion of the Board, be exempt from this requirement.&nbsp;</span></p> <p><span class="cls0">3. Beginning January 1, 2006, every chiropractic physician who is actively engaged in the practice of chiropractic in this state shall submit to the Board documentary evidence that the chiropractor has malpractice insurance and maintains such insurance twelve (12) months of each year when practicing in this state. Any licensee who is not actively engaged in practice in this state, shall be exempt from providing proof of malpractice insurance.&nbsp;</span></p> <p><span class="cls0">B. Subject to the laws of this state and rules promulgated pursuant to the Oklahoma Chiropractic Practice Act, the Board shall, upon determination that a licensee has complied with the requirements of subsection A of this section, issue a renewal license to said licensee.&nbsp;</span></p> <p><span class="cls0">C. The failure of a licensee to properly renew a license or certificate shall be evidence of noncompliance with the Oklahoma Chiropractic Practice Act.&nbsp;</span></p> <p><span class="cls0">1. The license shall automatically be placed in a lapsed status for failure to renew and shall be considered lapsed and not in good standing for purposes of the practice of chiropractic.&nbsp;</span></p> <p><span class="cls0">2. If within sixty (60) calendar days after July 1 the licensee pays the renewal fee, and the reinstatement fee set by the Board, the license may be reactivated.&nbsp;</span></p> <p><span class="cls0">3. If sixty (60) calendar days elapse and the license is not reinstated, the license shall automatically be suspended for failure to renew.&nbsp;</span></p> <p><span class="cls0">4. The practice of chiropractic is prohibited unless the license is active and in good standing with the Board.&nbsp;</span></p> <p><span class="cls0">D. When an original license or renewal license, or both, have been suspended under the provisions of this section, the license or licenses may be reinstated upon:&nbsp;</span></p> <p><span class="cls0">1. Payment of a reinstatement fee in an amount fixed by the Board not to exceed Four Hundred Dollars ($400.00);&nbsp;</span></p> <p><span class="cls0">2. Payment of the renewal license fee for the calendar year in which the original license is reinstated; and&nbsp;</span></p> <p><span class="cls0">3. Presentation to the Board of satisfactory evidence of compliance with the continuing education requirement of this section for the calendar year in which the original license is reinstated.&nbsp;</span></p> <p><span class="cls0">E. The Board, by rule, may establish guidelines for the disposition of disciplinary cases involving specific types of violations. The guidelines may include, but are not limited to:&nbsp;</span></p> <p><span class="cls0">1. Minimum and maximum administrative fines;&nbsp;</span></p> <p><span class="cls0">2. Periods of suspension, probation or supervision;&nbsp;</span></p> <p><span class="cls0">3. Terms and conditions of probation; and&nbsp;</span></p> <p><span class="cls0">4. Terms and conditions for the reinstatement of an original license or renewal license, or both.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1937, p. 64, &sect; 3, emerg. eff. May 25, 1937. Amended by Laws 1947, p. 355, &sect; 2, emerg. eff. March 17, 1947; Laws 1963, c. 108, &sect; 1, emerg. eff. May 31, 1963; Laws 1967, c. 168, &sect; 1, emerg. eff. May 1, 1967; Laws 1972, c. 250, &sect; 5, emerg. eff. April 7, 1972; Laws 1982, c. 268, &sect; 7, emerg. eff. May 14, 1982; Laws 1990, c. 182, &sect; 2, emerg. eff. May 7, 1990; Laws 1991, c. 265, &sect; 11, eff. Oct. 1, 1991. Renumbered from &sect; 164c of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1994, c. 390, &sect; 6, eff. Sept. 1, 1994; Laws 1998, c. 181, &sect; 1, eff. Nov. 1, 1998; Laws 2002, c. 255, &sect; 4, eff. Nov. 1, 2002; Laws 2004, c. 269, &sect; 9, emerg. eff. May 6, 2004; Laws 2005, c. 149, &sect; 6, eff. Nov. 1, 2005; Laws 2006, c. 36, &sect; 1, eff. Nov. 1, 2006; Laws 2008, c. 388, &sect; 2, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.12. Penalties - Grounds for imposition.&nbsp;</span></p> <p><span class="cls0">A. The Board of Chiropractic Examiners is authorized, after notice and an opportunity for a hearing pursuant to Article II of the Administrative Procedures Act, to issue an order imposing one or more of the following penalties whenever the Board finds, by clear and convincing evidence, that a chiropractic physician has committed any of the acts or occurrences set forth in subsection B of this section:&nbsp;</span></p> <p><span class="cls0">1. Disapproval of an application for a renewal license;&nbsp;</span></p> <p><span class="cls0">2. Revocation or suspension of an original license or renewal license, or both;&nbsp;</span></p> <p><span class="cls0">3. Restriction of the practice of a chiropractic physician under such terms and conditions as deemed appropriate by the Board;&nbsp;</span></p> <p><span class="cls0">4. An administrative fine not to exceed One Thousand Dollars ($1,000.00) for each count or separate violation;&nbsp;</span></p> <p><span class="cls0">5. A censure or reprimand; and&nbsp;</span></p> <p><span class="cls0">6. Placement of a chiropractic physician on probation for a period of time and under such terms and conditions as the Board may specify, including requiring the chiropractic physician to submit to treatment, to attend continuing education courses, to submit to reexamination, or to work under the supervision of another chiropractic physician.&nbsp;</span></p> <p><span class="cls0">B. The following acts or occurrences by a chiropractic physician shall constitute grounds for which the penalties specified in subsection A of this section may be imposed by order of the Board:&nbsp;</span></p> <p><span class="cls0">1. Pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substances laws. A copy of the judgment and sentence of the conviction, duly certified by the clerk of the court in which the conviction was obtained, and a certificate of the clerk that the conviction has become final, shall be sufficient evidence for the imposition of a penalty;&nbsp;</span></p> <p><span class="cls0">2. Being habitually drunk or habitually using habit-forming drugs;&nbsp;</span></p> <p><span class="cls0">3. Using advertising in which statements are made that are fraudulent, deceitful or misleading to the public;&nbsp;</span></p> <p><span class="cls0">4. Aiding or abetting any person not licensed to practice chiropractic in this state to practice chiropractic, except students who are regularly enrolled in an accredited chiropractic college;&nbsp;</span></p> <p><span class="cls0">5. Performing or attempting to perform major or minor surgery in this state, or using electricity in any form for surgical purposes, including cauterization;&nbsp;</span></p> <p><span class="cls0">6. Using or having in a chiropractic physician&rsquo;s possession any instrument for treatment purposes, the use or possession of which has been prohibited or declared unlawful by any agency of the United States or the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">7. Unlawfully possessing, prescribing or administering any drug, medicine, serum or vaccine. This section shall not prevent a chiropractic physician from possessing, prescribing or administering, by a needle or otherwise, vitamins, minerals or nutritional supplements, or from practicing within the scope of the science and art of chiropractic as defined in Section 161.2 of this title;&nbsp;</span></p> <p><span class="cls0">8. Advertising or displaying, directly or indirectly, any certificate, diploma or other document which conveys or implies information that the person is skilled in any healing art other than chiropractic unless the chiropractic physician also possesses a valid current license in said healing art;&nbsp;</span></p> <p><span class="cls0">9. Obtaining an original license or renewal license in a fraudulent manner;&nbsp;</span></p> <p><span class="cls0">10. Violating any provision of the Unfair Claims Settlement Practices Act or any rule promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">11. Willfully aiding or assisting an insurer, as defined in Section 1250.2 of Title 36 of the Oklahoma Statutes, or an administrator, as defined in Section 1442 of Title 36 of the Oklahoma Statutes, to deny claims which under the terms of the insurance contract are covered services and are medically necessary;&nbsp;</span></p> <p><span class="cls0">12. Violating any provision of the Oklahoma Chiropractic Practice Act; or&nbsp;</span></p> <p><span class="cls0">13. Violating any of the rules of the Board.&nbsp;</span></p> <p><span class="cls0">C. Any chiropractic physician against whom a penalty is imposed by an order of the Board under the provisions of this section shall have the right to seek a judicial review of the order pursuant to Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. The Board is authorized to issue a confidential letter of concern to a chiropractic physician when, though evidence does not warrant initiation of an individual proceeding, the Board has noted indications of possible errant conduct by the chiropractic physician that could lead to serious consequences and formal action by the Board.&nbsp;</span></p> <p><span class="cls0">E. If no order imposing a penalty against a chiropractic physician is issued by the Board within three (3) years after a complaint against the chiropractic physician is received by the Board, the complaint and all related documents shall be expunged from the records of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1937, p. 64, &sect; 4, emerg. eff. May 25, 1937. Amended by Laws 1953, p. 260, &sect; 1, emerg. eff. May 25, 1953; Laws 1972, c. 250, &sect; 6, emerg. eff. April 7, 1972; Laws 1982, c. 268, &sect; 8, emerg. eff. May 14, 1982; Laws 1985, c. 176, &sect; 2; Laws 1990, c. 182, &sect; 3, emerg. eff. May 7, 1990; Laws 1991, c. 265, &sect; 12, eff. Oct. 1, 1991. Renumbered from &sect; 164d of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1997, c. 90, &sect; 1, eff. Nov. 1, 1997; Laws 1998, c. 181, &sect; 2, eff. Nov. 1, 1998; Laws 1999, c. 227, &sect; 1, eff. Nov. 1, 1999; Laws 2002, c. 255, &sect; 5, eff. Nov. 1, 2002; Laws 2004, c. 269, &sect; 10, emerg. eff. May 6, 2004; Laws 2008, c. 388, &sect; 3, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.12a. Certificate &ndash; Chiropractic claims consultant.&nbsp;</span></p> <p><span class="cls0">A chiropractic physician who desires to act as a chiropractic claims consultant shall register with the Board of Chiropractic Examiners on a form prescribed by the Board. The Board shall issue a certificate to the chiropractic physician entitling them to act as a chiropractic claims consultant in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2005, c. 149, &sect; 7, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.13. Suspension of license because of mental illness.&nbsp;</span></p> <p><span class="cls0">A. The Board of Chiropractic Examiners is authorized, after notice and opportunity for a hearing, pursuant to Article II of the Administrative Procedures Act, to issue an order suspending the original license or renewal license, or both, of a chiropractic physician whenever the Board finds, by clear and convincing evidence, that the chiropractic physician has become incompetent to practice chiropractic because of mental illness. Commitment of a chiropractic physician to an institution for the mentally ill shall be considered prima facie evidence of his incompetency to practice chiropractic because of mental illness.&nbsp;</span></p> <p><span class="cls0">B. Any chiropractic physician who has his original license or renewal license, or both, suspended under the provisions of this section shall have the right to seek a judicial review of the order pursuant to Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. The Board, on its own motion or on the application of a chiropractic physician whose original license or renewal license, or both, have been suspended under the provisions of this section, is authorized, on proper showing that the chiropractic physician's competency to practice chiropractic has been restored, to reinstate the license or licenses at any time; provided, however, reinstatement shall not be made while the chiropractic physician is confined in an institution for the mentally ill. No reinstatement fee shall be charged by the Board for the reinstatement of any license which has been suspended under the provisions of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 261, &sect; 1, emerg. eff. Feb. 25, 1953. Amended by Laws 1991, c. 265, &sect; 13, eff. Oct. 1, 1991. Renumbered from &sect; 167 of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1997, c. 90, &sect; 2, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.14. Practice without license - Penalties &ndash; Injunction.&nbsp;</span></p> <p><span class="cls0">A. Any person who shall practice or attempt to practice chiropractic in this state, or who shall hold himself or herself out to the public as a practitioner of chiropractic in this state, without having first obtained an original license to practice chiropractic from the Board of Chiropractic Examiners, or after the original license to practice chiropractic has been revoked, or while such original license is under suspension, shall be deemed guilty of a misdemeanor and upon conviction shall be punishable by a fine of not less than Five Hundred Dollars ($500.00) nor more than Two Thousand Dollars ($2,000.00), or by imprisonment in the county jail for not less than five (5) days nor more than thirty (30) days, or by both such fine and imprisonment. Each day of such violation shall constitute a separate and distinct offense.&nbsp;</span></p> <p><span class="cls0">B. The Board of Chiropractic Examiners is hereby authorized to apply to a court of competent jurisdiction for an order enjoining an unlicensed person from practicing chiropractic or holding himself or herself out as a practitioner of chiropractic. Any injunctive relief granted by the court shall be without bond.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1937, p. 65, &sect; 6, emerg. eff. May 25, 1937. Amended by Laws 1991, c. 265, &sect; 14, eff. Oct. 1, 1991. Renumbered from &sect; 164f of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1994, c. 390, &sect; 7, eff. Sept. 1, 1994; Laws 2002, c. 255, &sect; 6, eff. Nov. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.15. Doctors of chiropractic governed by public health laws.&nbsp;</span></p> <p><span class="cls0">Doctors of chiropractic shall be bound by all the provisions of the Oklahoma Public Health Code that apply to them, and shall be qualified to sign:&nbsp;</span></p> <p><span class="cls0">1. Death certificates, pursuant to Section 1-317 of Title 63 of the Oklahoma Statutes; and&nbsp;</span></p> <p><span class="cls0">2. All other certificates, including those relating to public health, the same as doctors of medicine and surgery and doctors of osteopathic medicine, and with like effect.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 7, p. 14, &sect; 5. Amended by Laws 1991, c. 265, &sect; 15, eff. Oct. 1, 1991. Renumbered from &sect; 165 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1998, c. 181, &sect; 3, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.16. Chiropractic Education Scholarship Program.&nbsp;</span></p> <p><span class="cls0">A. A Chiropractic Education Scholarship Program, to be administered by the Board of Chiropractic Examiners, is hereby created. Chiropractic education scholarships may be awarded each fiscal year to persons approved by the Board for the study of chiropractic leading to the attainment of the degree of doctor of chiropractic. To be eligible to receive a scholarship a person must:&nbsp;</span></p> <p><span class="cls0">1. Be a legal resident of this state for not less than five (5) years prior to the date of submitting an application to the Board;&nbsp;</span></p> <p><span class="cls0">2. Meet all requirements and academic standards established by the Board;&nbsp;</span></p> <p><span class="cls0">3. Attend an accredited chiropractic college; and&nbsp;</span></p> <p><span class="cls0">4. Demonstrate satisfactory progress in the study of chiropractic.&nbsp;</span></p> <p><span class="cls0">B. Preference in the granting of such scholarships shall be given to those individuals with the highest weighted scholastic averages, provided they are persons of high integrity and character and are found by the Board to have those qualities and attributes which give a reasonable assurance of their pursuing to completion the course of study required for a degree of doctor of chiropractic. The scholarships shall be awarded in an amount not to exceed Six Thousand Dollars ($6,000.00) each year per student. No student shall be given more than four (4) annual scholarships. The Board is authorized to accept any federal, state, county or private funds, grants or appropriations to be used to award such scholarships to qualified persons.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 250, &sect; 8, emerg. eff. April 7, 1972. Amended by Laws 1981, c. 32, &sect; 1, eff. July 1, 1981; Laws 1982, c. 268, &sect; 9, emerg. eff. May 14, 1982; Laws 1991, c. 265, &sect; 16, eff. Oct. 1, 1991. Renumbered from &sect; 170 of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1999, c. 227, &sect; 2, eff. Nov. 1, 1999; Laws 2004, c. 269, &sect; 11, emerg. eff. May 6, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59161.17. Chiropractic Undergraduate Preceptorship Program.&nbsp;</span></p> <p><span class="cls0">A Chiropractic Undergraduate Preceptorship Program, in conjunction with accredited chiropractic colleges, shall be established by the Board of Chiropractic Examiners, who may appoint five (5) chiropractic physicians to administer the program.&nbsp;</span></p> <p><span class="cls0">Each intern in the program shall pay a nonrefundable fee of Thirtyfive Dollars ($35.00) to the Board each trimester the intern participates in the program.&nbsp;</span></p> <p><span class="cls0">The Board shall by rule establish standards, qualifications and responsibilities for interns, preceptors and accredited chiropractic colleges participating in the program.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1984, c. 260, &sect; 15, operative July 1, 1984; Laws 1991, c. 265, &sect; 17, eff. Oct. 1, 1991. Renumbered from &sect; 164b.2 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-161.18. Listing in publications.&nbsp;</span></p> <p><span class="cls0">Chiropractic physicians may be listed in all publications as:&nbsp;</span></p> <p><span class="cls0">1. Physicians, Chiropractic;&nbsp;</span></p> <p><span class="cls0">2. Chiropractors; or&nbsp;</span></p> <p><span class="cls0">3. Doctors of Chiropractic.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 176, &sect; 3. Amended by Laws 1991, c. 265, &sect; 18, eff. Oct. 1, 1991. Renumbered from &sect; 170.1 of this title by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991. Amended by Laws 1995, c. 207, &sect; 1, eff. Nov. 1, 1995; Laws 2000, c. 131, &sect; 3, eff. Nov. 1, 2000; Laws 2002, c. 255, &sect; 7, eff. Nov. 1, 2002; Laws 2004, c. 269, &sect; 12, emerg. eff. May 6, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-161.20. Board of Chiropractic Examiners' Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Board of Chiropractic Examiners, to be designated as the "Board of Chiropractic Examiners' Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board pursuant to the provisions of the Oklahoma Chiropractic Practice Act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Board for the purpose of implementing and enforcing the provisions of the Oklahoma Chiropractic Practice Act. Expenditures from said fund shall be made upon warrants issued by the State Treasurer against claims signed by the secretary-treasurer of the Board or by an authorized employee or employees of the Board and filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 265, &sect; 19, eff. Oct. 1, 1991. Amended by Laws 2012, c. 304, &sect; 261.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-162. Renumbered as Section 161.6 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-163. Renumbered as Section 161.7 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164. Renumbered as Section 161.8 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164a. Renumbered as Section 161.10 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164b. Renumbered as Section 161.9 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164b.1. Repealed by Laws 1991, c. 265, &sect; 23, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164b.2. Renumbered as Section 161.17 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164c. Renumbered as Section 161.11 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164d. Renumbered as Section 161.12 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164e. Repealed by Laws 1991, c. 265, &sect; 23, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-164f. Renumbered as Section 161.14 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-165. Renumbered as Section 161.15 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-167. Renumbered as Section 161.13 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-168. Repealed by Laws 1991, c. 265, &sect; 23, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-169. Repealed by Laws 1991, c. 265, &sect; 23, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-170. Renumbered as Section 161.16 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-170.1. Renumbered as Section 161.18 of Title 59 by Laws 1991, c. 265, &sect; 22, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-170.2. Repealed by Laws 1991, c. 265, &sect; 23, eff. Oct. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-199. Short title &ndash; Oklahoma Cosmetology and Barbering Act.&nbsp;</span></p> <p><span class="cls0">Chapter 6 of Title 59 of the Oklahoma Statutes shall be known and may be cited as the "Oklahoma Cosmetology and Barbering Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2000, c. 355, &sect; 1, eff. July 1, 2000. Amended by Laws 2013, c. 229, &sect; 84, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.1. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Cosmetology and Barbering Act:&nbsp;</span></p> <p><span class="cls0">1. "Apprentice" means a person who is engaged in learning the practice of cosmetology in a cosmetology salon;&nbsp;</span></p> <p><span class="cls0">2. "Barber" means any person who engages in the practice of barbering;&nbsp;</span></p> <p><span class="cls0">3. "Barbering" means any one or any combination of the following practices, when done upon the upper part of the human body for cosmetic purposes and when done for payment either directly or indirectly for the general public, constitutes the practice of barbering, to wit: Shaving or trimming the beard or cutting the hair; giving facial or scalp massages or treatment with oils, creams, lotions or other preparations, either by hand or mechanical appliances; singeing, shampooing or dyeing the hair or applying hair tonics; applying cosmetic preparations, antiseptics, powders, oils, clays or lotions to scalp, face, neck or upper part of the body; and removing superfluous hair from the face, neck or upper part of the body;&nbsp;</span></p> <p><span class="cls0">4. "Barber establishment" means an establishment or place of business where one or more persons are engaged in the practice of barbering, but shall not include barber schools or colleges;&nbsp;</span></p> <p><span class="cls0">5. "Barber instructor" means a person licensed by the Board as a qualified teacher of barbering;&nbsp;</span></p> <p><span class="cls0">6. "Barber school" or "barber college" means an establishment operated for the purpose of teaching barbering;&nbsp;</span></p> <p><span class="cls0">7. "Board" means the State Board of Cosmetology and Barbering;&nbsp;</span></p> <p><span class="cls0">8. "Cosmetic studio" means any place or premises where demonstrators give demonstrations, without compensation, for the purpose only of advertising and selling cosmetics;&nbsp;</span></p> <p><span class="cls0">9. "Cosmetician" means a person licensed by the Board to perform patron services limited to hair arranging and application of makeup, including, but not limited to, using hairstyling tools and products. Services must be performed in a licensed establishment limited to photo studios and cosmetic studios;&nbsp;</span></p> <p><span class="cls0">10. "Cosmetology" means any one or combination of practices generally and usually performed by and known as the occupation of beauticians, beauty culturists, beauty operators, cosmeticians, cosmetologists, or hairdressers or of any other person holding himself or herself out as practicing cosmetology by whatever designation and within the meaning of the Oklahoma Cosmetology and Barbering Act and in or upon whatever place or premises. Cosmetology shall include, but not be limited to, any one or combination of the following practices: bleaching, cleansing, curling, cutting, coloring, dressing, removing, singeing, styling, waving, or similar work upon the hair of any person by any means, whether with hands or mechanical or electrical apparatus or appliances. Nothing in the Oklahoma Cosmetology and Barbering Act shall be construed to prohibit the use of hands or mechanical or electrical apparatus or appliances for the nonpermanent removal of hair from the human body without puncturing of the skin or the use of cosmetic preparations, antiseptics, tonics, lotions, or creams, or massaging, cleansing, stimulating, exercising, beautifying, or similarly working the scalp, face, neck, arms, or the manicuring of the nails of any person, exclusive of such of the foregoing practices as are within the scope of practice of the healing arts as provided by law;&nbsp;</span></p> <p><span class="cls0">11. "Cosmetology salon" means any place or premises where any of the practices of cosmetology are performed. The term "cosmetology salon" shall not include a cosmetology school or a cosmetic studio;&nbsp;</span></p> <p><span class="cls0">12. "Cosmetology school" means any place or premises where instruction in any or all the practices of cosmetology is given. Any person, firm, institution or corporation, who holds himself, herself or itself out as a school to teach and train, or any person, firm, institution or corporation who shall teach and train any other person or persons in any of the practices of cosmetology is hereby declared to be engaged in operating a cosmetology school, and shall be subject to the provisions of the Oklahoma Cosmetology and Barbering Act. Licensed cosmetology schools may offer education to secondary and postsecondary students in this state;&nbsp;</span></p> <p><span class="cls0">13. "Demonstrator" means a person who is not licensed in this state as an operator or instructor and who demonstrates any cosmetic preparation. The person shall be required to obtain a Demonstrator license from the Board before making any such demonstrations;&nbsp;</span></p> <p><span class="cls0">14. "Facial/Esthetics instructor" means a person licensed by the Board as a qualified teacher of the art and science of facial and esthetics theory and practice;&nbsp;</span></p> <p><span class="cls0">15. "Facial operator" means any person who gives facials for compensation;&nbsp;</span></p> <p><span class="cls0">16. "Hairbraiding technician" means a person licensed by the Board to perform hairbraiding, hairweaving techniques, and hair extensions in a licensed cosmetology establishment;&nbsp;</span></p> <p><span class="cls0">17. "Manicurist" means a person who gives manicures, gives pedicures, or applies artificial nails;&nbsp;</span></p> <p><span class="cls0">18. "Manicurist/Nail technician instructor" means a person licensed by the Board as a qualified teacher of the art and science of nail technology theory and practice;&nbsp;</span></p> <p><span class="cls0">19. "Master instructor" means a person who gives instruction in cosmetology or any practices thereof;&nbsp;</span></p> <p><span class="cls0">20. "Operator" means any person who engages in, follows or performs any of the practices of cosmetology;&nbsp;</span></p> <p><span class="cls0">21. "Public school" means any state-supported institution conducting a cosmetology program; and&nbsp;</span></p> <p><span class="cls0">22. "Student" means a person who is enrolled in and attending a cosmetology or barbering school for the purpose of learning the practice of cosmetology or barbering.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 389, &sect; 1, emerg. eff. June 6, 1949. Amended by Laws 1951, p. 163, &sect; 1, emerg. eff. May 26, 1951; Laws 1968, c. 313, &sect; 1, emerg. eff. May 7, 1968; Laws 1978, c. 259, &sect; 1, eff. Jan. 1, 1979; Laws 1979, c. 216, &sect; 1, eff. July 1, 1979; Laws 1994, c. 135, &sect; 1, eff. Sept. 1, 1994; Laws 2000, c. 355, &sect; 2, eff. July 1, 2000; Laws 2013, c. 229, &sect; 85, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.2. See the following versions:&nbsp;</span></p> <p><span class="cls0">OS 59-199.2v1 (HB 1467, Laws 2013, c. 229, &sect; 86).&nbsp;</span></p> <p><span class="cls0">OS 59-199.2v2 (HB 1702, Laws 2013, c. 298, &sect; 1).&nbsp;</span></p> <p><span class="cls0">&sect;59-199.2v1. State Board of Cosmetology and Barbering.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby re-created, to continue until July 1, 2013, in accordance with the provisions of the Oklahoma Sunset Law, a State Board of Cosmetology and Barbering which shall be composed of eleven (11) members to be appointed by the Governor and to serve at the pleasure of the Governor.&nbsp;</span></p> <p><span class="cls0">2. One member shall be appointed from each congressional district and the additional members shall be appointed at large. However, when congressional districts are redrawn each member appointed prior to July 1 of the year in which such modification becomes effective shall complete the current term of office and appointments made after July 1 of the year in which such modification becomes effective shall be based on the redrawn districts. Appointments made after July 1 of the year in which such modification becomes effective shall be from any redrawn districts which are not represented by a board member until such time as each of the modified congressional districts are represented by a board member. One member shall be a barber appointed at-large.&nbsp;</span></p> <p><span class="cls0">3. At the time of appointment, the members shall be citizens of this state, at least twenty-five (25) years of age, and shall be high school graduates. Eight members shall, at the time of appointment, have had at least five (5) years' continuous practical experience in the practice of cosmetology or barbering in this state, one member shall be a lay person, one member shall be an administrator of a licensed private cosmetology school, one member shall be an administrator of a licensed barber school, and one member shall be an administrator of a public school licensed to teach cosmetology.&nbsp;</span></p> <p><span class="cls0">4. No two members shall be graduates of the same cosmetology school, nor shall they be organizers of or promote the organization of any cosmetic, beauty, or hairdressers' association. Each of the eight cosmetology appointees shall continue to be actively engaged in the profession of cosmetology while serving. No two members engaged in the profession of barbering shall be organizers of or promote the organization of any barbering association. Each of the four barbering appointees shall continue to be actively engaged in the profession of barbering while serving.&nbsp;</span></p> <p><span class="cls0">5. If any member retires or ceases to practice his or her profession during the term of membership on the Board, such terms shall automatically cease and the Governor shall appoint a like-qualified person to fulfill the remainder of the term.&nbsp;</span></p> <p><span class="cls0">B. The terms of office for Board members shall be four (4) years ending June 30.&nbsp;</span></p> <p><span class="cls0">C. Each member shall serve until a successor is appointed and qualified.&nbsp;</span></p> <p><span class="cls0">D. Six members of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">E. The Governor may remove any member of the Board at any time at the Governor's discretion. Vacancies shall be filled by appointment by the Governor for the unexpired portion of the term.&nbsp;</span></p> <p><span class="cls0">F. The Board shall organize by electing from its membership a chair and vice-chair, each to serve for a period of one (1) year. The presiding officer shall not be entitled to vote upon any question except in the case of a tie vote.&nbsp;</span></p> <p><span class="cls0">Members shall be reimbursed for their actual and necessary traveling expenses as provided by the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">G. Within thirty (30) days after the end of each fiscal year, the Board shall make a full report to the Governor of all its receipts and expenditures, and also a full statement of its work during the year, together with such recommendations as the Board deems expedient.&nbsp;</span></p> <p><span class="cls0">H. The Board may expend funds for suitable office space for the transaction of its business. The Board shall adopt a common seal for the use of the executive director in authenticating Board documents.&nbsp;</span></p> <p><span class="cls0">I. The Board shall meet at its office for the transaction of such business as may come before it on the second Monday in January, March, May, July, September, and November and at such other times as it may deem advisable.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 390, &sect; 2, emerg. eff. June 6, 1949. Amended by Laws 1957, p. 464, &sect; 1, emerg. eff. May 29, 1957; Laws 1961, p. 443, &sect; 1, emerg. eff. June 15, 1961; Laws 1968, c. 313, &sect; 2, emerg. eff. May 7, 1968; Laws 1970, c. 177, &sect; 1; Laws 1979, c. 121, &sect; 2, emerg. eff. May 1, 1979; Laws 1985, c. 77, &sect; 1, eff. July 1, 1985; Laws 1991, c. 194, &sect; 2; Laws 1997, c. 32, &sect; 1; Laws 2000, c. 355, &sect; 3, eff. July 1, 2000; Laws 2002, c. 375, &sect; 7, eff. Nov. 5, 2002; Laws 2003, c. 12, &sect; 1; Laws 2009, c. 16, &sect; 1; Laws 2013, c. 229, &sect; 86, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.2v2. State Board of Cosmetology.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby re-created, to continue until July 1, 2017, in accordance with the provisions of the Oklahoma Sunset Law, a State Board of Cosmetology which shall be composed of nine (9) members to be appointed by the Governor and to serve at the pleasure of the Governor.&nbsp;</span></p> <p><span class="cls0">2. One member shall be appointed from each congressional district and the additional members shall be appointed at large. However, when congressional districts are redrawn each member appointed prior to July 1 of the year in which such modification becomes effective shall complete the current term of office and appointments made after July 1 of the year in which such modification becomes effective shall be based on the redrawn districts. Appointments made after July 1 of the year in which such modification becomes effective shall be from any redrawn districts which are not represented by a board member until such time as each of the modified congressional districts are represented by a board member.&nbsp;</span></p> <p><span class="cls0">3. At the time of appointment, the members shall be citizens of this state, at least twenty-five (25) years of age, and shall be high school graduates. Six members shall, at the time of appointment, have had at least five (5) years' continuous practical experience in the practice of cosmetology in this state, one member shall be a lay person, one member shall be an administrator of a licensed private cosmetology school, and one member shall be an administrator of a public school licensed to teach cosmetology.&nbsp;</span></p> <p><span class="cls0">4. No two members shall be graduates of the same cosmetology school, nor shall they be organizers of or promote the organization of any cosmetic, beauty, or hairdressers' association. Each of the six cosmetology appointees shall continue to be actively engaged in the profession of cosmetology while serving.&nbsp;</span></p> <p><span class="cls0">5. If any member retires or ceases to practice his or her profession during the term of membership on the Board, such terms shall automatically cease and the Governor shall appoint a like-qualified person to fulfill the remainder of the term.&nbsp;</span></p> <p><span class="cls0">B. The terms of office for Board members shall be four (4) years ending June 30.&nbsp;</span></p> <p><span class="cls0">C. Each member shall serve until a successor is appointed and qualified.&nbsp;</span></p> <p><span class="cls0">D. Five members of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">E. The Governor may remove any member of the Board at any time at the Governor's discretion. Vacancies shall be filled by appointment by the Governor for the unexpired portion of the term.&nbsp;</span></p> <p><span class="cls0">F. The Board shall organize by electing from its membership a chair and vice-chair, each to serve for a period of one (1) year. The presiding officer shall not be entitled to vote upon any question except in the case of a tie vote.&nbsp;</span></p> <p><span class="cls0">Members shall be reimbursed for their actual and necessary traveling expenses as provided by the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">G. Within thirty (30) days after the end of each fiscal year, the Board shall make a full report to the Governor of all its receipts and expenditures, and also a full statement of its work during the year, together with such recommendations as the Board deems expedient.&nbsp;</span></p> <p><span class="cls0">H. The Board may expend funds for suitable office space for the transaction of its business. The Board shall adopt a common seal for the use of the executive director in authenticating Board documents.&nbsp;</span></p> <p><span class="cls0">I. The Board shall meet at its office for the transaction of such business as may come before it on the second Monday in January, March, May, July, September, and November and at such other times as it may deem advisable.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 390, &sect; 2, emerg. eff. June 6, 1949. Amended by Laws 1957, p. 464, &sect; 1, emerg. eff. May 29, 1957; Laws 1961, p. 443, &sect; 1, emerg. eff. June 15, 1961; Laws 1968, c. 313, &sect; 2, emerg. eff. May 7, 1968; Laws 1970, c. 177, &sect; 1; Laws 1979, c. 121, &sect; 2, emerg. eff. May 1, 1979; Laws 1985, c. 77, &sect; 1, eff. July 1, 1985; Laws 1991, c. 194, &sect; 2; Laws 1997, c. 32, &sect; 1; Laws 2000, c. 355, &sect; 3, eff. July 1, 2000; Laws 2002, c. 375, &sect; 7, eff. Nov. 5, 2002; Laws 2003, c. 12, &sect; 1; Laws 2009, c. 16, &sect; 1; Laws 2013, c. 298, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.3. Powers of Board.&nbsp;</span></p> <p><span class="cls0">A. In order to safeguard and protect the health and general welfare of the people of the State of Oklahoma, the State Board of Cosmetology and Barbering is hereby vested with the powers and duties necessary and proper to enable it to fully and effectively carry out the provisions of the Oklahoma Cosmetology and Barbering Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the powers and duties to:&nbsp;</span></p> <p><span class="cls0">1. Promulgate rules pursuant to the Administrative Procedures Act relating to standards of sanitation which must be observed and practiced by all cosmetology schools, cosmetology salons, barbers, barber instructors, barber apprentices, or barber colleges. The Board shall furnish copies of the rules to the owner or manager of each cosmetology school or cosmetology salon operating in this state. It shall be the duty of each owner or manager to post a copy of the rules in a conspicuous place in each of the establishments or schools;&nbsp;</span></p> <p><span class="cls0">2. Conduct examinations of applicants for certificates of registration as manicurists, cosmetologists, facial operators, hairbraiding technician, manicurist/nail technician instructor, facial/esthetics instructor, master instructor, cosmetician, barber, barber instructor, or barber apprentice at such times and places determined by the Board. Applications for all examinations shall be made on forms approved by the Board;&nbsp;</span></p> <p><span class="cls0">3. Keep a record of all its proceedings. The Board shall keep a record of all applicants for certificates, licenses and permits, showing the name of the applicant, the name and location of the place of occupation or business, if any, and the residence address of the applicant, and whether the applicant was granted or refused a certificate, license or permit. The records of the Board shall be valid and sufficient evidence of matters contained therein, shall constitute public records. Records shall be open to public inspection at all reasonable times and subject to the Oklahoma Open Records Act;&nbsp;</span></p> <p><span class="cls0">4. Issue all certificates of registration, licenses, permits, notices and orders;&nbsp;</span></p> <p><span class="cls0">5. Establish limited specialty licenses for cosmetician, facial/esthetics instructor, hairbraiding technician, manicurist/nail technician instructor, barber, barber instructor, or barber apprentice within the practice of cosmetology or barbering. The Board shall also promulgate rules for special licenses, including but not limited to reduced curriculum requirements, as the Board may deem appropriate and necessary to further the purposes of the Oklahoma Cosmetology and Barbering Act;&nbsp;</span></p> <p><span class="cls0">6. Make regular inspections of all cosmetology and barber schools and cosmetology and barber establishments licensed to operate in this state, and reports thereof shall be kept and maintained in the office of the Board;&nbsp;</span></p> <p><span class="cls0">7. Make investigations and reports on all violations of the Oklahoma Cosmetology and Barbering Act;&nbsp;</span></p> <p><span class="cls0">8. Take samples of beauty supplies for the purpose of chemical analysis; provided, that if the owner demands payment for the sample taken, payment at the regular retail price shall be made;&nbsp;</span></p> <p><span class="cls0">9. Refuse, revoke, or suspend licenses, certificates of registration or permits after notice and an opportunity for a full hearing, pursuant to Article II of the Administrative Procedures Act, on proof of violation of any of these provisions or the rules established by the Board;&nbsp;</span></p> <p><span class="cls0">10. Enter into any contracts necessary to implement or enforce the provisions of the Oklahoma Cosmetology and Barbering Act or rules promulgated thereto; and&nbsp;</span></p> <p><span class="cls0">11. Apply to a court of competent jurisdiction for an order enjoining an unlicensed person from practicing cosmetology or barbering or holding himself or herself out as a practitioner of cosmetology or barbering. Injunctive relief granted by the court shall be without bond.&nbsp;</span></p> <p><span class="cls0">C. 1. Any person whose license, certificate of registration, or permit has been suspended or revoked may, after the expiration of thirty (30) days, make application to the Board for reinstatement thereof.&nbsp;</span></p> <p><span class="cls0">2. Reinstatement of any such license, certificate of registration, or permit shall rest in the sound discretion of the Board.&nbsp;</span></p> <p><span class="cls0">3. Any action of the Board in refusing, revoking, or suspending a license, certificate of registration, or permit may be appealed to the district court of the county of the appellant's residence pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. 1. In any case where a licensee becomes a member of the Armed Forces of the United States, such license shall not lapse by reason thereof but shall be considered and held in full force and effect without further payment of license fees during the period of service in the Armed Forces of the United States and for six (6) months after honorable release therefrom. At any time within six (6) months after honorable release from the Armed Forces of the United States the licensee may resume practice pursuant to a license without other or further examination by notifying the Board in writing.&nbsp;</span></p> <p><span class="cls0">2. The period of time in which the licensee shall have been a member of the Armed Forces of the United States shall not be computed in arriving at the amount of fee or fees due or to become due by such licensee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 391, &sect; 3, emerg. eff. June 6, 1949. Amended by Laws 1951, p. 163, &sect; 2, emerg. eff. May 26, 1951; Laws 1968, c. 313, &sect; 3, emerg. eff. May 7, 1968; Laws 1978, c. 215, &sect; 1; Laws 1985, c. 77, &sect; 2, eff. July 1, 1985; Laws 1994, c. 135, &sect; 2, eff. Sept. 1, 1994; Laws 2000, c. 355, &sect; 4, eff. July 1, 2000; Laws 2003, c. 56, &sect; 1; Laws 2013, c. 229, &sect; 87, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.4. Executive director.&nbsp;</span></p> <p><span class="cls0">The State Board of Cosmetology and Barbering shall employ an executive director who shall be in charge of the office of the Board. The executive director shall have such qualifications as shall be established by rules of the Board; provided, the executive director shall not be actively engaged in the practice of cosmetology or barbering while serving as executive director. The executive director shall:&nbsp;</span></p> <p><span class="cls0">1. Devote his or her entire time to the duties of the office;&nbsp;</span></p> <p><span class="cls0">2. Receive salary and benefits as provided by law;&nbsp;</span></p> <p><span class="cls0">3. Keep and preserve all books and records pertaining to the Board;&nbsp;</span></p> <p><span class="cls0">4. Have authority, in the name of and in behalf of the Board, to issue all licenses, certificates of registration, permits, orders, and notices;&nbsp;</span></p> <p><span class="cls0">5. Have authority to collect all fees and penalties provided for by the Oklahoma Cosmetology and Barbering Act;&nbsp;</span></p> <p><span class="cls0">6. Make quarterly reports to the Board of all monies collected and the sources from which derived;&nbsp;</span></p> <p><span class="cls0">7. Have authority to approve payrolls and all claims for the Board;&nbsp;</span></p> <p><span class="cls0">8. Have authority to employ staff;&nbsp;</span></p> <p><span class="cls0">9. Keep a continuous inventory of all properties, excluding supplies, belonging to the Board; and&nbsp;</span></p> <p><span class="cls0">10. Perform such other duties as may be directed by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 392, &sect; 4, emerg. eff. June 6, 1949. Amended by Laws 1957, p. 465, &sect; 2, emerg. eff. May 29, 1957; Laws 1961, p. 444, &sect; 2, emerg. eff. June 15, 1961; Laws 1968, c. 313, &sect; 4, emerg. eff. May 7, 1968; Laws 1978, c. 215, &sect; 2; Laws 1980, c. 159, &sect; 10, emerg. eff. April 2, 1980; Laws 1994, c. 135, &sect; 3, eff. Sept. 1, 1994; Laws 2000, c. 355, &sect; 5, eff. July 1, 2000; Laws 2003, c. 56, &sect; 2; Laws 2013, c. 229, &sect; 88, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.5. Positions and salaries.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Cosmetology and Barbering shall create positions and fix the salaries of officials and employees necessary to carry out the purposes of the Oklahoma Cosmetology and Barbering Act and the administration thereof.&nbsp;</span></p> <p><span class="cls0">B. The employees shall include not less than five nor more than nine cosmetology and barbering inspectors. Only licensed instructors shall be employed as cosmetology or barbering inspectors by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 392, &sect; 5, emerg. eff. June 6, 1949. Amended by Laws 2000, c. 355, &sect; 6, eff. July 1, 2000; Laws 2003, c. 56, &sect; 3; Laws 2013, c. 229, &sect; 89, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.6. Rules &ndash; Implementation - Unlawful acts.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Cosmetology and Barbering is hereby authorized to promulgate rules for governing the examination and licensure of cosmetologists, manicurists, nail technicians, estheticians, cosmeticians, hair braiding technicians, master instructors, manicurist instructors, esthetics instructors, barbers, and barber instructors. The Board is hereby authorized to govern the sanitary operation of cosmetology and barbering establishments and to administer fines not to exceed Fifty Dollars ($50.00) for those licensed and not to exceed Five Hundred Dollars ($500.00) for those not licensed. Each day a violation continues shall be construed as a separate offense.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Cosmetology and Barbering shall have the power and duty to implement rules of the Board, to issue and renew licenses, to inspect cosmetology and barbering establishments and schools, and to inspect the sanitary operating practices of cosmetology and barbering licensees, including sanitary conditions of cosmetology and barbering establishments and schools.&nbsp;</span></p> <p><span class="cls0">C. It shall be unlawful and constitute a misdemeanor, punishable upon conviction by a fine of not less than Fifty Dollars ($50.00), nor more than One Hundred Fifty Dollars ($150.00), or by imprisonment in the county jail for not more than thirty (30) days, or both such fine and imprisonment, for any person, firm, or corporation in this state to:&nbsp;</span></p> <p><span class="cls0">1. Operate or attempt to operate a cosmetology school, cosmetology salon, or barber college without having obtained a license therefor from the State Board of Cosmetology and Barbering;&nbsp;</span></p> <p><span class="cls0">2. Give or attempt to give instruction in cosmetology or barbering, without having obtained an instructor's license from the Board;&nbsp;</span></p> <p><span class="cls0">3. Practice or offer to practice barbering, cosmetology or manicuring without having obtained a license therefor from the Board;&nbsp;</span></p> <p><span class="cls0">4. Operate a cosmetic studio without having obtained a license therefor from the Board;&nbsp;</span></p> <p><span class="cls0">5. Demonstrate a cosmetic preparation without having obtained a demonstrator's license from the Board;&nbsp;</span></p> <p><span class="cls0">6. Permit any person in one's employ, supervision, or control to practice cosmetology unless that person has obtained an appropriate license from the Board;&nbsp;</span></p> <p><span class="cls0">7. Willfully violate any rule promulgated by the Board for the sanitary management and operation of a barber shop, cosmetology school or cosmetology salon; or&nbsp;</span></p> <p><span class="cls0">8. Violate any of the provisions of the Oklahoma Cosmetology and Barbering Act.&nbsp;</span></p> <p><span class="cls0">D. The provisions of the Oklahoma Cosmetology and Barbering Act shall not apply to the following persons while such persons are engaged in the proper discharge of their professional duties:&nbsp;</span></p> <p><span class="cls0">1. Funeral directors;&nbsp;</span></p> <p><span class="cls0">2. Persons in the Armed Services;&nbsp;</span></p> <p><span class="cls0">3. Persons authorized to practice the healing arts or nursing; or&nbsp;</span></p> <p><span class="cls0">4. Regularly employed sales people working in retail establishments engaged in the business of selling cosmetics in sealed packages.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 392, &sect; 6, emerg. eff. June 6, 1949. Amended by Laws 1951, p. 164, &sect; 3, emerg. eff. May 26, 1951; Laws 1991, c. 194, &sect; 3; Laws 2000, c. 355, &sect; 7, eff. July 1, 2000; Laws 2013, c. 229, &sect; 90, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.7. Cosmetology and barber schools.&nbsp;</span></p> <p><span class="cls0">A. Each cosmetology and barber school shall be licensed annually by the State Board of Cosmetology and Barbering. Application for the first year's license for a cosmetology school shall be accompanied by a fee of Four Hundred Dollars ($400.00), which shall be retained by the Board if the application is approved and a license is issued. The annual renewal license fee for cosmetology or barber schools shall be One Hundred Twenty-five Dollars ($125.00).&nbsp;</span></p> <p><span class="cls0">B. 1. No license or renewal thereof for a cosmetology school shall be issued unless the owner thereof furnishes to the Board a good and sufficient surety bond in the principal sum of Two Thousand Dollars ($2,000.00) for the first instructor and an additional One Thousand Dollars ($1,000.00) for each additional instructor, executed by a surety company authorized to do business in this state, and conditioned on the faithful performance of the terms and conditions of all contracts entered into between the owner of the cosmetology or barber school and all persons enrolling therein.&nbsp;</span></p> <p><span class="cls0">2. The surety bond shall be in a form approved by the Attorney General and filed in the Office of the Secretary of State. Suit may be brought on the bond by any person injured by reason of the breach of the conditions thereof.&nbsp;</span></p> <p><span class="cls0">C. It shall be the duty of the owner or manager of a cosmetology or barber school to enter into a written contract with all students before permitting students to attend any classes. Contracts shall be made out in triplicate, the original copy to be retained by the school, the duplicate to be given to the student, and the triplicate to be filed with the executive director of the Board.&nbsp;</span></p> <p><span class="cls0">D. No license for a cosmetology or barber school shall be issued unless the owner thereof presents evidence satisfactory to the Board that the school has satisfactory facilities and equipment and has instructors qualified to give a course of study as provided in the Oklahoma Cosmetology and Barbering Act.&nbsp;</span></p> <p><span class="cls0">E. There shall be included in the curriculum for cosmetology and barber schools, courses of study in the theory of cosmetology and related theory, studies in manipulative practices, sterilization and sanitation, shop management, and such other related subjects as may be approved by the Board.&nbsp;</span></p> <p><span class="cls0">F. 1. The Board shall adopt a curriculum of required courses of instruction in theory and training of either one thousand five hundred (1,500) clock hours or an equivalent number of credit hours as recognized by the United States Department of Education or a regional or national accreditation entity recognized by the United States Department of Education in a basic course of cosmetology to be taught in all cosmetology or barbering schools in the state. The basic cosmetology or barbering course shall be designed to qualify students completing the course to take the examination for an operator's license.&nbsp;</span></p> <p><span class="cls0">2. Cosmetology students in vocational, trade, and industrial cosmetology classes in public schools shall qualify by completing one thousand (1,000) hours in a basic course of cosmetology and five hundred (500) hours of approved related subjects to be selected from, but not limited to, the following high school courses in a public school: psychology, biology, general science, American history, art, typing I, typing II, business arithmetic, salesmanship, bookkeeping I, bookkeeping II, related mathematics, English II, English III and English IV.&nbsp;</span></p> <p><span class="cls0">G. 1. No person shall be eligible to give instruction in cosmetology or barbering unless the person is the holder of a current unrevoked instructor's license issued by the Board.&nbsp;</span></p> <p><span class="cls0">2. Each cosmetology or barber school shall employ at least one instructor for the first fifteen students registered therein, and at least one additional instructor shall be employed for each additional group of fifteen students, or major fraction thereof.&nbsp;</span></p> <p><span class="cls0">H. A cosmetology or barbering school may be operated in and as part of an accredited high school.&nbsp;</span></p> <p><span class="cls0">I. No cosmetology or barber school owner or cosmetology salon or barber establishment owner shall charge students for cosmetic materials, supplies, apparatus, or machines used by them in practice work, but students shall be required to furnish their own books and hand instruments of trade. A reasonable charge may be made by a cosmetology or barber school for clinical work performed by students upon persons who are not students therein. No instructor shall be permitted to do professional or clinical work in a cosmetology or barber school at any time.&nbsp;</span></p> <p><span class="cls0">J. No cosmetology salon or barber establishment shall ever be operated in or as a part of a cosmetology school.&nbsp;</span></p> <p><span class="cls0">K. 1. Students shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;have an eighth-grade education or the equivalent thereof,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;be at least sixteen (16) years of age unless they are public or private school students who will be sixteen (16) years of age by November 1 of the year in which cosmetology or barbering instruction begins, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;be of good moral and ethical character.&nbsp;</span></p> <p><span class="cls0">2. Credit shall not be given to any person by the Board or by a cosmetology or barber school for hours spent in attending a cosmetology or barber school unless the person has registered with the Board as a student prior to the attendance, except that a student who has attended a cosmetology or barber school out of state may receive credit for such attendance for transfer upon proper certification as provided by rule of the Board.&nbsp;</span></p> <p><span class="cls0">3. No student shall be credited with more than eight (8) hours' attendance in a cosmetology or barber school in any one (1) day.&nbsp;</span></p> <p><span class="cls0">4. No person shall be eligible to take the Board-issued examination for an operator's license unless such person is at least seventeen (17) years of age or a high school graduate.&nbsp;</span></p> <p><span class="cls0">L. 1. No student shall be eligible to take the examination for a Board-issued license without furnishing to the Board the affidavit of the owner of the cosmetology or barber school that the student has satisfactorily completed the requirements specified in paragraph 1 of subsection F of this section, except public and private school students who will complete the requirements specified in paragraph 2 of subsection F of this section by the close of the current school year may take the examination next preceding the end of the school year.&nbsp;</span></p> <p><span class="cls0">2. Students who are eligible to take the examination shall be given an oral examination if requested by their instructor.&nbsp;</span></p> <p><span class="cls0">M. No person shall be eligible to register for the examination for an instructor's license unless such person is a high school graduate, or has obtained a General Equivalency Diploma (GED) as to which the applicant shall qualify by tests to be prescribed by the Board and conducted by qualified examiners selected by the Board, and has:&nbsp;</span></p> <p><span class="cls0">1. Satisfactorily completed all hours required for the appropriate specialty course and an additional one thousand (1,000) instructor training hours or thirty-three (33) credit hours prescribed by the Board in a cosmetology school in this state; or&nbsp;</span></p> <p><span class="cls0">2. Completed all hours required for the appropriate specialty course, five hundred (500) instructor training hours, prescribed by the Board in a cosmetology school in this state and has been engaged in the practice of cosmetology for at least the preceding two (2) years.&nbsp;</span></p> <p><span class="cls0">N. The Board shall have the power to conduct examinations around the state at public locations including, but not limited to, technology center schools.&nbsp;</span></p> <p><span class="cls0">O. Each cosmetology or barber school shall prominently display in a conspicuous place above or to the side of the entrance thereto a sign bearing the words "BEAUTY SCHOOL" or "BARBER SCHOOL", which words shall be in plain letters at least three (3) inches high and at least one (1) inch wide.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 393, &sect; 7, emerg. eff. June 6, 1949. Amended by Laws 1951, p. 164, &sect; 4, emerg. eff. May 26, 1951; Laws 1961, p. 445, &sect; 3, emerg. eff. June 15, 1961; Laws 1968, c. 313, &sect;&sect; 5, 6, emerg. eff. May 7, 1968; Laws 1968, c. 384, &sect; 1, emerg. eff. May 10, 1968; Laws 1971, c. 160, &sect; 1, emerg. eff. May 24, 1971; Laws 1978, c. 259, &sect; 2, eff. Jan. 1, 1979; Laws 1979, c. 216, &sect; 2, eff. July 1, 1979; Laws 1985, c. 77, &sect; 3, eff. July 1, 1985; Laws 1992, c. 184, &sect; 1, eff. July 1, 1992; Laws 1994, c. 135, &sect; 4, eff. Sept. 1, 1994; Laws 2000, c. 355, &sect; 8, eff. July 1, 2000; Laws 2001, c. 33, &sect; 45, eff. July 1, 2001; Laws 2003, c. 56, &sect; 4; Laws 2013, c. 229, &sect; 91, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1978, c. 215, &sect; 3 repealed by Laws 1979, c. 216, &sect; 3, eff. July 1, 1979. Laws 2002, c. 225, &sect; 1 repealed by Laws 2003, c. 56, &sect; 9.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.8. Apprentices.&nbsp;</span></p> <p><span class="cls0">A. Each person training as an apprentice shall be required to have the same qualifications as a student for admission into a cosmetology or barber school, and shall be registered with the State Board of Cosmetology and Barbering before commencing the training.&nbsp;</span></p> <p><span class="cls0">B. No apprentice shall engage in any of the practices of cosmetology or barbering except under the immediate supervision of a licensed instructor in a cosmetology or barber establishment approved by the Board for apprentice training.&nbsp;</span></p> <p><span class="cls0">C. All apprentices must wear a badge which designates them as an apprentice and is furnished by the Board with the apprentice registration receipt.&nbsp;</span></p> <p><span class="cls0">D. Only one apprentice may be registered to receive training in any cosmetology or barber establishment at any one time.&nbsp;</span></p> <p><span class="cls0">E. Completion of three thousand (3,000) hours of apprentice training in a cosmetology or barber establishment is the equivalent of one thousand five hundred (1,500) hours' training in a cosmetology or barber school and shall entitle the apprentice to take an operator's examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 395, &sect; 8, emerg. eff. June 6, 1949. Amended by Laws 1994, c. 135, &sect; 5, eff. Sept. 1, 1994; Laws 2000, c. 355, &sect; 9, eff. July 1, 2000; Laws 2013, c. 229, &sect; 92, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.9. Inspection of facilities &ndash; Licensure required.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Cosmetology and Barbering shall not issue a license for a cosmetology or barber establishment until an inspection has been made of the salon and equipment, including the sanitary facilities thereof. Temporary approval pending inspection may be made upon sworn affidavit by the license applicant that all requirements have been met. No license shall be issued for a cosmetology or barber establishment to be operated in a private home or residence unless the salon is located in a room or rooms not used or occupied for residential purposes.&nbsp;</span></p> <p><span class="cls0">B. 1. Except as otherwise provided in the Oklahoma Cosmetology and Barbering Act, it shall be unlawful for any person to practice cosmetology in any place other than a licensed barber establishment or a cosmetology establishment, or a cosmetology or barber school licensed by the Board.&nbsp;</span></p> <p><span class="cls0">2. In an emergency such as illness, invalidism, or death, a licensed operator may perform cosmetology or barbering services for a person by appointment in a place other than a licensed cosmetology or barber establishment or cosmetology or barber school.&nbsp;</span></p> <p><span class="cls0">C. A person licensed as an operator may perform cosmetology services in a barbershop. A person licensed as a barber may perform barbering services in a cosmetology salon. Any salon which provides both cosmetology and barbering services must obtain a license from the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 395, &sect; 9, emerg. eff. June 6, 1949. Amended by Laws 1951, p. 164, &sect; 5, emerg. eff. May 26, 1951; Laws 1983, c. 259, &sect; 1, emerg. eff. June 23, 1983; Laws 1994, c. 135, &sect; 6, eff. Sept. 1, 1994; Laws 2000, c. 355, &sect; 10, eff. July 1, 2000; Laws 2013, c. 229, &sect; 93, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.10. Expiration and renewal of licenses.&nbsp;</span></p> <p><span class="cls0">A. All licenses issued under the provisions of the Oklahoma Cosmetology and Barbering Act shall be issued for a period of one (1) year. The expiration date of the license shall be the last day of the month in which the applicant's birthday falls.&nbsp;</span></p> <p><span class="cls0">B. Applications for renewal must be made on or before the last day of the month in which the applicant's birthday falls, and shall be accompanied by the appropriate fees.&nbsp;</span></p> <p><span class="cls0">C. Any person who fails to renew the license within the required time may make application for renewal at any time within five (5) years from the expiration date of the license by paying the regular renewal license fee and a late fee of Ten Dollars ($10.00), which becomes due two (2) months after the expiration date.&nbsp;</span></p> <p><span class="cls0">D. Any person who fails to renew within the required time may make application with subsequent renewal and penalty fees.&nbsp;</span></p> <p><span class="cls0">E. Before a person may take an examination to renew an expired license after a period of five (5) years, such person shall, after registering for examination, register in a cosmetology school for the given number of review hours in accordance with the following timetable and schedule based upon the number of years the license has expired, and upon the type of license held.&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;Number of Years&nbsp;&nbsp;Review&nbsp;</span></p> <p class="cls6"><span class="cls0">License Type&nbsp;&nbsp;License Expired&nbsp;&nbsp;Hours Required&nbsp;</span></p> <p class="cls6"><span class="cls0">Basic Cosmetologist&nbsp;&nbsp;5 years&nbsp;&nbsp;250 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;500 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;1,000 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Cosmetician&nbsp;&nbsp;5 years&nbsp;&nbsp;120 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;250 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Manicurist&nbsp;&nbsp;5 years&nbsp;&nbsp;120 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;250 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Facial Operator&nbsp;&nbsp;5 years&nbsp;&nbsp;120 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;250 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Hairbraiding Technician&nbsp;&nbsp;5 years&nbsp;&nbsp;120 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;250 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Master Instructor&nbsp;&nbsp;5 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;300 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;400 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Facial/Esthetics Instructor&nbsp;&nbsp;5 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;300 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;400 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">Manicurist/Nail Technician Instructor&nbsp;&nbsp;5 years&nbsp;&nbsp;200 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;10 years&nbsp;&nbsp;300 hours&nbsp;</span></p> <p class="cls6"><span class="cls0">&nbsp;&nbsp;15 years or more&nbsp;&nbsp;400 hours&nbsp;</span></p> <p><span class="cls0">F. Each person holding a license shall notify the Board of any change in the mailing address of such person within thirty (30) days after any change.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 396, &sect; 10, emerg. eff. June 6, 1949. Amended by Laws 1968, c. 313, &sect; 7, emerg. eff. May 7, 1968; Laws 1978, c. 215, &sect; 4; Laws 1992, c. 184, &sect; 2, eff. July 1, 1992; Laws 2000, c. 355, &sect; 11, eff. July 1, 2000; Laws 2003, c. 56, &sect; 5; Laws 2013, c. 229, &sect; 94, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.11. Grounds for denial of license, certificate or registration.&nbsp;</span></p> <p><span class="cls0">The State Board of Cosmetology and Barbering is hereby authorized to deny, revoke, suspend, or refuse to renew any license, certificate, or registration that it is authorized to issue under the Oklahoma Cosmetology and Barbering Act for any of the following causes:&nbsp;</span></p> <p><span class="cls0">1. Conviction of a felony as shown by a certified copy of the record of the court;&nbsp;</span></p> <p><span class="cls0">2. Gross malpractice or gross incompetence;&nbsp;</span></p> <p><span class="cls0">3. Fraud practiced in obtaining a license or registration;&nbsp;</span></p> <p><span class="cls0">4. A license or certificate holder's continuing to practice while afflicted with an infectious, contagious, or communicable disease;&nbsp;</span></p> <p><span class="cls0">5. Habitual drunkenness or addiction to use of habit forming drugs;&nbsp;</span></p> <p><span class="cls0">6. Advertising by means of statements known to be false or deceptive;&nbsp;</span></p> <p><span class="cls0">7. Continued or flagrant violation of any rules of the Board, or continued practice by a Board licensee in a cosmetology salon or barber shop wherein violations of the rules of the Board are being committed within the knowledge of the operator;&nbsp;</span></p> <p><span class="cls0">8. Failure to display license or certificate as required by the Oklahoma Cosmetology and Barbering Act;&nbsp;</span></p> <p><span class="cls0">9. Continued practice of cosmetology or barbering after expiration of a license therefor;&nbsp;</span></p> <p><span class="cls0">10. Employment by a salon or barber shop owner or manager of any person to perform any of the practices of cosmetology or barbering who is not duly licensed to perform the services; or&nbsp;</span></p> <p><span class="cls0">11. Practicing cosmetology or barbering in an immoral or unprofessional manner.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 396, &sect; 11, emerg. eff. June 6, 1949. Amended by Laws 2000, c. 355, &sect; 12, eff. July 1, 2000; Laws 2003, c. 56, &sect; 6; Laws 2013, c. 229, &sect; 95, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.13. Dispensing with examination in certain cases.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Cosmetology and Barbering may issue a reciprocity license without examination to an otherwise qualified applicant if:&nbsp;</span></p> <p><span class="cls0">1. The applicant has complied with the requirements of another state, territory or foreign country or province;&nbsp;</span></p> <p><span class="cls0">2. The applicant holds a current license from a state, territory, or foreign country or province whose requirements for registration are substantially equal to those in force in this state at the time of filing application for a reciprocity license; and&nbsp;</span></p> <p><span class="cls0">3. The applicant has continuously engaged in the practices or occupation for which a reciprocity license is applied for at least three (3) years immediately prior to such application.&nbsp;</span></p> <p><span class="cls0">B. The Board may issue a license without examination to an otherwise qualified applicant from a state, territory or foreign country or province that does not license practitioners if the applicant can show adequate proof of having engaged in the practice or occupation for which a license is applied for at least three (3) years immediately prior to such application.&nbsp;</span></p> <p><span class="cls0">C. An applicant for an instructor's license without examination shall possess the equivalent of a high school education.&nbsp;</span></p> <p><span class="cls0">D. Payment of the reciprocity fee shall also constitute payment of the first annual license fee.&nbsp;</span></p> <p><span class="cls0">E. The Board may establish by rule any administrative or other fees associated with processing applications for licensure without examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 396, &sect; 13, emerg. eff. June 6, 1949. Amended by Laws 2000, c. 355, &sect; 13, eff. July 1, 2000; Laws 2003, c. 56, &sect; 7; Laws 2013, c. 229, &sect; 96, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.14. Fees.&nbsp;</span></p> <p><span class="cls0">A. The following fees shall be charged by the State Board of Cosmetology and Barbering:&nbsp;</span></p> <p><span class="cls0">Registration as an apprentice or student&nbsp;&nbsp; $ 5.00&nbsp;</span></p> <p><span class="cls0">Examination for Manicurist, Operator,&nbsp;</span></p> <p><span class="cls0">Instructor, or Facial Operator license&nbsp;&nbsp;15.00&nbsp;</span></p> <p><span class="cls0">Cosmetology school license (initial)&nbsp;&nbsp;400.00&nbsp;</span></p> <p><span class="cls0">Cosmetology school license (renewal)&nbsp;&nbsp;125.00&nbsp;</span></p> <p><span class="cls0">Renewal Advanced Operator license (annual)&nbsp;&nbsp;25.00&nbsp;</span></p> <p><span class="cls0">Facial Operator license (annual)&nbsp;&nbsp;25.00&nbsp;</span></p> <p><span class="cls0">Operator license (annual)&nbsp;&nbsp;25.00&nbsp;</span></p> <p><span class="cls0">Manicurist license (annual)&nbsp;&nbsp;25.00&nbsp;</span></p> <p><span class="cls0">Facial/Esthetics Instructor license (annual)&nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Cosmetician license (annual)&nbsp;&nbsp;25.00&nbsp;</span></p> <p><span class="cls0">Hairbraiding Technician (annual)&nbsp;&nbsp;25.00&nbsp;</span></p> <p><span class="cls0">Manicurist/Nail Technician Instructor (annual)&nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Demonstrator license (annual)&nbsp;&nbsp;20.00&nbsp;</span></p> <p><span class="cls0">Master Instructor license (annual) &nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Cosmetology Salon license (initial)&nbsp;&nbsp;45.00&nbsp;</span></p> <p><span class="cls0">Cosmetology Salon license (renewal)&nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Cosmetic Studio license (initial)&nbsp;&nbsp;50.00&nbsp;</span></p> <p><span class="cls0">Cosmetic Studio license (renewal) &nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Nail Salon (initial) &nbsp;&nbsp;45.00&nbsp;</span></p> <p><span class="cls0">Nail Salon (renewal) &nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Reciprocity license (initial)&nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Reciprocity processing fee&nbsp;&nbsp;30.00&nbsp;</span></p> <p><span class="cls0">Duplicate license (in case of loss or&nbsp;</span></p> <p><span class="cls0">destruction of original)&nbsp;&nbsp;5.00&nbsp;</span></p> <p><span class="cls0">Notary fee&nbsp;&nbsp;1.00&nbsp;</span></p> <p><span class="cls0">Certification of Records&nbsp;&nbsp;10.00&nbsp;</span></p> <p><span class="cls0">B. In addition to the fees specified in subsection A of this section, the Board shall charge a total penalty of Ten Dollars ($10.00), as provided for in Section 199.10 of this title.&nbsp;</span></p> <p><span class="cls0">C. Any person licensed as an advanced operator prior to July 1, 1985, may renew the advanced cosmetologist license annually by payment of the fee required by this section and by being in compliance with the rules promulgated by the State Board of Cosmetology and Barbering.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 397, &sect; 14, emerg. eff. June 6, 1949. Amended by Laws 1968, c. 313, &sect; 8, emerg. eff. May 7, 1968; Laws 1978, c. 215, &sect; 5; Laws 1985, c. 77, &sect; 4, eff. July 1, 1985; Laws 1992, c. 184, &sect; 3, eff. July 1, 1992; Laws 2000, c. 355, &sect; 14, eff. July 1, 2000; Laws 2003, c. 56, &sect; 8; Laws 2006, c. 86, &sect; 1, eff. July 1, 2006; Laws 2013, c. 229, &sect; 97, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.15. State Cosmetology and Barbering Fund.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created in the State Treasury for the State Board of Cosmetology and Barbering a revolving fund to be designated the State Cosmetology and Barbering Fund. The fund shall be a continuing fund not subject to fiscal year limitations and shall consist of all fees and penalties collected pursuant to the Oklahoma Cosmetology and Barbering Act or rules promulgated thereto and any other funds obtained or received by the State Board of Cosmetology and Barbering pursuant to the Oklahoma Cosmetology and Barbering Act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and shall be expended by the Board for the purposes of implementing, administering and enforcing the Oklahoma Cosmetology and Barbering Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">B. At the close of each fiscal year the Board shall pay into the General Revenue Fund of the state ten percent (10%) of the gross fees and penalties so charged, collected and received by the Board. Other than the ten percent (10%) all fees and penalties charged and monies collected and received, are hereby dedicated, appropriated and pledged to the accomplishment and fulfillment of the purposes of the Oklahoma Cosmetology and Barbering Act.&nbsp;</span></p> <p><span class="cls0">C. All expenses, per diem, salaries, wages, travel, rents, printing, supplies, maintenance, and other costs incurred by the Board in the performance of its duty and in accomplishment and fulfillment of the purposes of the Oklahoma Cosmetology and Barbering Act shall be a proper charge against and paid from the State Cosmetology and Barbering Fund. In no event shall any claim or obligation accrue against the State of Oklahoma nor against the Cosmetology and Barbering Fund in excess of the ninety percent (90%) or the amount of fees and penalties collected and paid into the State Treasury pursuant to the provisions of the Oklahoma Cosmetology and Barbering Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1949, p. 397, &sect; 15, emerg. eff. June 6, 1949. Amended by Laws 1979, c. 30, &sect; 18, emerg. eff. April 6, 1979; Laws 1998, c. 364, &sect; 13, emerg. eff. June 8, 1998; Laws 2000, c. 355, &sect; 15, eff. July 1, 2000; Laws 2012, c. 304, &sect; 262; Laws 2013, c. 229, &sect; 98, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-199.17. Repealed by Laws 2000, c. 355, &sect; 16, eff. July 1, 2000.&nbsp;</span></p> <p><span class="cls0">&sect;59-328. Designation of parts.&nbsp;</span></p> <p><span class="cls0">Chapter 7 of Title 59 of the Oklahoma Statutes shall be composed of two parts as follows: Part 1 shall be titled the State Dental Act, and Part 2 shall be titled the Oklahoma Dental Mediation Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 2, &sect; 21, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.1. Citation - Subsequent enactments.&nbsp;</span></p> <p><span class="cls0">A. Part 1 of Chapter 7 of this title shall be known and may be cited as the "State Dental Act".&nbsp;</span></p> <p><span class="cls0">B. All statutes hereinafter enacted and codified in Part 1 of Chapter 7 of this title shall be considered and deemed part of the State Dental Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 1, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 1, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.2. Declarations.&nbsp;</span></p> <p><span class="cls0">The practice of dentistry in the State of Oklahoma is hereby declared to affect the public health, safety and general welfare and to be subject to regulation and control in the public's best interest. It is further declared to be a matter of public interest and concern that the dental profession, through advancement and achievement, merits and receives the confidence of the public and that only properly qualified dentists be permitted to practice dentistry and supervise hygienists, dental assistants and oral maxillofacial surgery assistants in the State of Oklahoma. All provisions of this act relating to the practice of dentistry, the practice of dental hygiene, the procedures performed by dental assistants and oral maxillofacial surgery assistants, and the fabrication of dental appliances in dental laboratories by dental laboratory technicians shall be liberally construed to carry out these objects and purposes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 2, eff. July 1, 1970. Amended by Laws 2013, c. 405, &sect; 1, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.3. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the State Dental Act, the following words, phrases, or terms, unless the context otherwise indicates, shall have the following meanings:&nbsp;</span></p> <p><span class="cls0">1. "Accredited dental college" means an institution whose dental educational program is accredited by the Commission on Dental Accreditation of the American Dental Association;&nbsp;</span></p> <p><span class="cls0">2. "Accredited dental hygiene program" means a dental hygiene educational program which is accredited by the Commission on Dental Accreditation of the American Dental Association;&nbsp;</span></p> <p><span class="cls0">3. "Board" means the Board of Dentistry;&nbsp;</span></p> <p><span class="cls0">4. "Dentistry" means the practice of dentistry in all of its branches;&nbsp;</span></p> <p><span class="cls0">5. "Dentist" means a graduate of an accredited dental college who has been issued a license by the Board to practice dentistry as defined in Section 328.19 of this title;&nbsp;</span></p> <p><span class="cls0">6. "Dental office" means an establishment owned and operated by a dentist for the practice of dentistry, which may be composed of reception rooms, business offices, private offices, laboratories, and dental operating rooms where dental operations are performed;&nbsp;</span></p> <p><span class="cls0">7. "Dental hygienist" means an individual who has fulfilled the educational requirements and is a graduate of an accredited dental hygiene program and who has passed an examination and has been issued a license by the Board and who is authorized to practice dental hygiene as hereinafter defined;&nbsp;</span></p> <p><span class="cls0">8. "Dental assistant or oral maxillofacial surgery assistant" means an individual working for a dentist, under the dentist's direct supervision, and performing duties in the dental office or a treatment facility, including the limited treatment of patients in accordance with the provisions of the State Dental Act. A dental assistant or oral maxillofacial surgery assistant may assist a dentist with the patient; provided, this shall be done only under the direct supervision and control of the dentist and only in accordance with the educational requirements and rules promulgated by the Board;&nbsp;</span></p> <p><span class="cls0">9. "Dental laboratory" means a location, whether in a dental office or not, where a dentist or a dental laboratory technician performs dental laboratory technology;&nbsp;</span></p> <p><span class="cls0">10. "Dental laboratory technician" means an individual whose name is duly filed in the official records of the Board, which authorizes the technician, upon the laboratory prescription of a dentist, to perform dental laboratory technology, which services must be rendered only to the prescribing dentist and not to the public;&nbsp;</span></p> <p><span class="cls0">11. "Dental laboratory technology" means using materials and mechanical devices for the construction, reproduction or repair of dental restorations, appliances or other devices to be worn in a human mouth;&nbsp;</span></p> <p><span class="cls0">12. "Dental specialty" means a specialized practice of a branch of dentistry, recognized and defined by the American Dental Association and the rules of the Board;&nbsp;</span></p> <p><span class="cls0">13. "Direct supervision" means the supervisory dentist is in the dental office or treatment facility and, during the appointment, personally examines the patient, diagnoses any conditions to be treated, authorizes the procedures to be performed by a dental hygienist, dental assistant, or oral maxillofacial surgery assistant, remains in the dental office or treatment facility while the procedures are being performed and, before dismissal of the patient, evaluates the results of the dental treatment;&nbsp;</span></p> <p><span class="cls0">14. "General supervision" means the supervisory dentist has previously diagnosed any conditions to be treated, has personally authorized the procedures to be performed by a dental hygienist, and will evaluate the results of the dental treatment within a reasonable time as determined by the nature of the procedures performed, the needs of the patient, and the professional judgment of the supervisory dentist;&nbsp;</span></p> <p><span class="cls0">15. "Indirect supervision" means the supervisory dentist is in the dental office or treatment facility and has personally diagnosed any conditions to be treated, authorizes the procedures to be performed by a dental hygienist, remains in the dental office or treatment facility while the procedures are being performed, and will evaluate the results of the dental treatment within a reasonable time as determined by the nature of the procedures performed, the needs of the patient, and the professional judgment of the supervisory dentist;&nbsp;</span></p> <p><span class="cls0">16. "Investigations" means an investigation proceeding, authorized under Sections 328.15 and 328.43a of this title, to investigate alleged violations of the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">17. "Laboratory prescription" means a written description, dated and signed by a dentist, of dental laboratory technology to be performed by a dental laboratory technician;&nbsp;</span></p> <p><span class="cls0">18. "Out-of-state dental hygienist" means a graduate of an accredited dental hygienist program who holds a license to practice dental hygiene in another state but who is not licensed to practice dental hygiene in this state;&nbsp;</span></p> <p><span class="cls0">19. "Out-of-state dentist" means a graduate of an accredited dental college who holds a license to practice dentistry in another state but who is not licensed to practice dentistry in this state;&nbsp;</span></p> <p><span class="cls0">20. "Patient" or "patient of record" means an individual who has given a medical history and has been examined and accepted for dental care by a dentist;&nbsp;</span></p> <p><span class="cls0">21. "Retired dentist" means a person that has a current active dental or specialty license but is limited to practicing in a volunteer nonpaid capacity;&nbsp;</span></p> <p><span class="cls0">22. "Supervision" means direct supervision, indirect supervision, or general supervision; and&nbsp;</span></p> <p><span class="cls0">23. "Treatment facility" means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a federal, state or local public health facility,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a private health facility,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a group home or residential care facility serving the elderly, handicapped or juveniles,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a hospital,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;a nursing home,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;a penal institution operated by or under contract with the federal or state government,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;a public or private school,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;a patient of record's private residence,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;a mobile dental unit,&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;an accredited dental college,&nbsp;</span></p> <p class="cls2"><span class="cls0">k.&nbsp;&nbsp;an accredited dental hygiene program, or&nbsp;</span></p> <p class="cls2"><span class="cls0">l.&nbsp;&nbsp;such other places as are authorized by the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 3, eff. July 1, 1970. Amended by Laws 1998, c. 377, &sect; 1, eff. Nov. 1, 1998; Laws 1999, c. 280, &sect; 1, eff. Nov. 1, 1999; Laws 2003, c. 172, &sect; 1, emerg. eff. May 5, 2003; Laws 2005, c. 377, &sect; 1, eff. Nov. 1, 2005; Laws 2006, c. 106, &sect; 1, eff. Nov. 1, 2006; Laws 2013, c. 405, &sect; 2, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2006, c. 21, &sect; 1 repealed by Laws 2007, c. 1, &sect; 44, emerg. eff. Feb. 22, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.4. Repealed by Laws 1998, c. 377, &sect; 7, eff. Nov. 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.5. Repealed by Laws 1998, c. 377, &sect; 7, eff. Nov. 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.7. Board of Dentistry - Membership - Tenure - Nomination and election districts - Vacancies.&nbsp;</span></p> <p><span class="cls0">A. Pursuant to Section 39 of Article V of the Oklahoma Constitution, there is hereby created the Board of Dentistry which shall be an agency of state government. The Board shall adopt a seal, sue and be sued in its own name, and implement and enforce the provisions of the State Dental Act.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board shall consist of eight dentist members, one dental hygienist member and two members who shall represent the public. One dentist member shall be elected by the dentists residing in each of the eight geographical districts established by subsection D of this section. The residence of the dentist members shall be determined by the primary location listed on the dentists' licenses. The dental hygienist member shall be elected at-large by the dental hygienists residing in this state who are legally licensed to practice dental hygiene therein. The two public representative members shall be appointed by the Governor, subject to confirmation by the Senate. No public representative member may be a dentist, dental hygienist, dental assistant, dental laboratory technician, or holder of a permit to operate a dental laboratory, or be related within the third degree of consanguinity or affinity to any such person.&nbsp;</span></p> <p><span class="cls0">2. Before assuming duties on the Board, each member shall take and subscribe to the oath of office or affirmation provided in Article XV of the Oklahoma Constitution, which oath or affirmation shall be administered and filed as provided in the Article.&nbsp;</span></p> <p><span class="cls0">3. Each member of the Board shall hold office for a term of three (3) years and until a successor in office is elected and qualified. Board members shall not serve for more than three (3) consecutive terms. To be eligible to be elected to and serve on the Board, a dentist or dental hygienist must have been licensed to practice in this state for at least five (5) years, and for the five (5) years prior to the date of counting the ballots, not have been subject to a penalty imposed by the Board or its predecessor board.&nbsp;</span></p> <p class="cls2"><span class="cls0">C. 1. a.&nbsp;&nbsp;Nominations for dentist members of the Board shall be by petition signed by at least ten dentists residing in the district to be represented by the nominee.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Nominations for the dental hygienist member of the Board shall be by petition signed by at least ten dental hygienists residing in this state.&nbsp;</span></p> <p><span class="cls0">2. The elections shall be by secret ballot. The ballots shall be mailed by the Board to those entitled to vote at least thirty (30) days prior to the date of counting of the ballots and shall be returned by mail to the office of the Board, then opened and counted at a meeting of the Board. In other respects, elections shall be conducted as provided by the rules of the Board.&nbsp;</span></p> <p class="cls2"><span class="cls0">3.&nbsp;&nbsp;a.&nbsp;&nbsp;Only dentists residing in a district shall be entitled to vote to elect the Board member from that district.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Only dental hygienists residing and licensed in this state shall be entitled to vote to elect the dental hygienist Board member.&nbsp;</span></p> <p><span class="cls0">D. For the purpose of nominating and electing dentist members of the Board, this state shall be divided into eight geographical districts, which shall consist of the following counties within the following districts:&nbsp;</span></p> <p><span class="cls0">District No. 1: Cimarron, Texas, Beaver, Harper, Woods, Alfalfa, Grant, Kay, Ellis, Woodward, Major, Garfield, Noble, Dewey, Blaine, Kingfisher and Logan.&nbsp;</span></p> <p><span class="cls0">District No. 2: Tulsa and Creek.&nbsp;</span></p> <p><span class="cls0">District No. 3: Roger Mills, Custer, Beckham, Washita, Harmon, Greer, Kiowa, Caddo, Jackson and Tillman.&nbsp;</span></p> <p><span class="cls0">District No. 4: Canadian, Grady, McClain, Comanche, Cotton, Stephens, Jefferson, Garvin, Murray, Carter and Love.&nbsp;</span></p> <p><span class="cls0">District No. 5: Oklahoma.&nbsp;</span></p> <p><span class="cls0">District No. 6: Lincoln, Cleveland, Pottawatomie, Seminole, Okfuskee, Hughes, Pontotoc, Coal, Johnston, Marshall and Bryan.&nbsp;</span></p> <p><span class="cls0">District No. 7: Mayes, Wagoner, Cherokee, Adair, Okmulgee, Muskogee, Sequoyah, McIntosh, Haskell, Pittsburg, Latimer, LeFlore, Atoka, Pushmataha, Choctaw and McCurtain.&nbsp;</span></p> <p><span class="cls0">District No. 8: Osage, Payne, Washington, Nowata, Craig, Ottawa, Rogers, Delaware and Pawnee.&nbsp;</span></p> <p><span class="cls0">E. 1. Dentist members of the Board may be recalled and removed from the Board in a special recall election to be conducted by the Board upon receipt of a written recall petition signed by at least twenty percent (20%) of the dentists residing in the district represented by the member who is the subject of the recall petition. Only dentists residing in the affected district may vote in the special recall election.&nbsp;</span></p> <p><span class="cls0">2. The dental hygienist member of the Board may be recalled and removed from the Board in a special recall election to be conducted by the Board upon receipt of a written recall petition signed by at least twenty percent (20%) of the licensed dental hygienists residing in this state. Only dental hygienists residing and licensed in this state shall be entitled to vote in the special recall election.&nbsp;</span></p> <p><span class="cls0">3. Special recall elections shall be by secret ballot. The ballots shall be mailed by the Board to those entitled to vote at least thirty (30) days prior to the date of counting the ballots and shall be returned by mail to the office of the Board, then opened and counted at a meeting of the Board. In other respects, special recall elections shall be conducted as provided by the rules of the Board. If a majority of the votes cast in the special recall election are in favor of recalling the Board member, the member shall be removed from the Board effective on the date the results of the special recall election are certified by the Board.&nbsp;</span></p> <p><span class="cls0">F. 1. A vacancy among the dentist members of the Board shall be filled by a special election in the district of the vacancy for the unexpired term within sixty (60) days after the vacancy occurs.&nbsp;</span></p> <p><span class="cls0">2. A vacancy of the dental hygienist member on the Board shall be filled by a special election in this state for the unexpired term within sixty (60) days after the vacancy occurs.&nbsp;</span></p> <p><span class="cls0">3. Nominations shall be made and special elections shall be conducted in the same manner as provided in subsection C of this section. If no one is nominated within forty-five (45) days from date of vacancy, the vacancy shall be filled by appointment by the Board. A vacancy among the public representative members of the Board shall be filled by appointment by the Governor, subject to confirmation by the Senate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 7, eff. July 1, 1970. Amended by Laws 1979, c. 58, &sect; 1, emerg. eff. April 10, 1979; Laws 1985, c. 178, &sect; 30, operative July 1, 1985; Laws 1996, c. 2, &sect; 2, eff. Nov. 1, 1996; Laws 1997, c. 108, &sect; 2, eff. Nov. 1, 1997; Laws 1999, c. 280, &sect; 2, eff. Nov. 1, 1999; Laws 2000, c. 283, &sect; 3, eff. Nov. 1, 2000; Laws 2012, c. 270, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.8. Repealed by Laws 1997, c. 108, &sect; 8, eff. Nov. 1, 1997.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.9. Repealed by Laws 2000, c. 283, &sect; 7, eff. Nov. 1, 2000.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.10. Officers - Election - Tenure - Meetings - Bond - Liability - Expenses.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry shall organize annually at the last regularly scheduled meeting of the Board before the beginning of each fiscal year, by electing from among its members a president, a first vice-president, a second vice-president, and a secretary-treasurer. The duties of each officer shall be prescribed in the rules of the Board. The term of office of the persons elected president, vice-presidents and secretary-treasurer shall be for the following fiscal year and until their successors are elected and qualified.&nbsp;</span></p> <p><span class="cls0">B. The Board shall hold regularly scheduled meetings during each quarter of the year at a time and place determined by the Board and may hold such special meetings, emergency meetings, or continued or reconvened meetings as found by the Board to be expedient or necessary. A majority of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">C. The Board may appoint an individual to be the principal administrative officer of the Board and may confer upon that person the title selected by the Board, based upon the person's education, background, experience and ability. The principal administrative officer shall be responsible for the performance of administrative functions delegated by the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board shall act in accordance with the provisions of the Oklahoma Open Meeting Act, the Oklahoma Open Records Act and the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">E. All members of the Board and such employees, as determined by the Board, shall be bonded as required by Sections 85.26 through 85.31 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">F. The responsibilities and rights of any member or employee of the Board who acts within the scope of Board duties or employment shall be governed by the Governmental Tort Claims Act.&nbsp;</span></p> <p><span class="cls0">G. Members of the Board shall serve without compensation but shall be reimbursed for all actual and necessary expenses incurred in the performance of their duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 10, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 3, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.11. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.12. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.13. Repealed by Laws 1999, c. 280, &sect; 12, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.14. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.15. Powers of Board.&nbsp;</span></p> <p><span class="cls0">A. Pursuant to and in compliance with Article I of the Administrative Procedures Act, the Board of Dentistry shall have the power to formulate, adopt, and promulgate rules as may be necessary to regulate the practice of dentistry in this state and to implement and enforce the provisions of the State Dental Act.&nbsp;</span></p> <p><span class="cls0">B. The Board is authorized and empowered to:&nbsp;</span></p> <p><span class="cls0">1. Examine and test the qualifications of applicants for a license or permit to be issued by the Board;&nbsp;</span></p> <p><span class="cls0">2. Affiliate by contract or cooperative agreement with another state or combination of states for the purpose of conducting simultaneous regional examinations of applicants for a license to practice dentistry, dental hygiene, or a dental specialty;&nbsp;</span></p> <p><span class="cls0">3. Maintain a list of the name, current mailing address and principal office address of all persons who hold a license or permit issued by the Board;&nbsp;</span></p> <p><span class="cls0">4. Account for all receipts and expenditures of the monies of the Board, including annually preparing and publishing a statement of receipts and expenditures of the Board for each fiscal year;&nbsp;</span></p> <p><span class="cls0">5. Within limits prescribed in the State Dental Act, set all fees and administrative penalties to be imposed and collected by the Board;&nbsp;</span></p> <p><span class="cls0">6. Employ an Executive Director, legal counsel and other advisors to the Board, including advisory committees;&nbsp;</span></p> <p><span class="cls0">7. Investigate and issue investigative and other subpoenas, pursuant to Article II of the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">8. Initiate individual proceedings and issue orders imposing administrative penalties, pursuant to Article II of the Administrative Procedures Act, against any dentist, dental hygienist, dental assistant, oral maxillofacial surgery assistant, dental laboratory technician, or holder of a permit to operate a dental laboratory who has violated the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">9. Conduct, in a uniform and reasonable manner, inspections of dental offices and dental laboratories and their business records;&nbsp;</span></p> <p><span class="cls0">10. Establish guidelines for courses of study necessary for dental assistants, oral maxillofacial surgery assistants and, when appropriate, issue permits authorizing dental assistants to perform expanded duties;&nbsp;</span></p> <p><span class="cls0">11. Establish continuing education requirements for dentists, dental hygienists, dental assistants and oral maxillofacial surgery assistants who hold permits issued by the Board;&nbsp;</span></p> <p><span class="cls0">12. Recognize the parameters and standards of care established and approved by the American Dental Association;&nbsp;</span></p> <p><span class="cls0">13. Formulate, adopt, and promulgate rules, pursuant to Article I of the Administrative Procedures Act, as may be necessary to implement and enforce the provisions of the Oklahoma Dental Mediation Act;&nbsp;</span></p> <p><span class="cls0">14. Seek and receive advice and assistance of the Office of the Attorney General of this state;&nbsp;</span></p> <p><span class="cls0">15. Promote the dental health of the people of this state;&nbsp;</span></p> <p><span class="cls0">16. Inform, educate, and advise all persons who hold a license or permit issued by the Board, or who are otherwise regulated by the Board, regarding the State Dental Act and the rules of the Board;&nbsp;</span></p> <p><span class="cls0">17. Affiliate with the American Association of Dental Boards as an active member, pay regular dues, and send members of the Board as delegates to its meetings;&nbsp;</span></p> <p><span class="cls0">18. Enter into contracts;&nbsp;</span></p> <p><span class="cls0">19. Acquire by purchase, lease, gift, solicitation of gift or by any other manner, hold, encumber, and dispose of personal property as is needed, maintain, use and operate or contract for the maintenance, use and operation of or lease of any and all property of any kind, real, personal or mixed or any interest therein unless otherwise provided by the State Dental Act; provided, all contracts for real property shall be subject to the provisions of Section 63 of Title 74 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">20. Receive or accept the surrender of a license, permit, or certificate granted to any person by the Board as provided in Section 328.44a of this title; and&nbsp;</span></p> <p><span class="cls0">21. Take all other actions necessary to implement and enforce the State Dental Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 15, eff. July 1, 1970. Amended by Laws 1981, c. 216, &sect; 1; Laws 1983, c. 304, &sect; 34, eff. July 1, 1983; Laws 1996, c. 2, &sect; 4, eff. Nov. 1, 1996; Laws 1998, c. 377, &sect; 2, eff. Nov. 1, 1998; Laws 2003, c. 172, &sect; 2, emerg. eff. May 5, 2003; Laws 2005, c. 377, &sect; 2, eff. Nov. 1, 2005; Laws 2006, c. 106, &sect; 2, eff. Nov. 1, 2006; Laws 2010, c. 413, &sect; 16, eff. July 1, 2010; Laws 2011, c. 262, &sect; 1, eff. July 1, 2011; Laws 2012, c. 270, &sect; 2, eff. Nov. 1, 2012; Laws 2013, c. 405, &sect; 3, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.15A. Board investigators - Powers.&nbsp;</span></p> <p><span class="cls0">A. Investigators for the Board shall be authorized to:&nbsp;</span></p> <p><span class="cls0">1. Perform such services as are necessary in the investigation of criminal activity or preparation of administrative actions; and&nbsp;</span></p> <p><span class="cls0">2. Investigate and inspect records of all licenses in order to determine whether licensees are in compliance with applicable narcotics and dangerous drug laws and regulations. &nbsp;</span></p> <p><span class="cls0">B. Board investigators certified as peace officers by the Council on Law Enforcement Education and Training shall have statewide jurisdiction to perform the duties authorized by subsection A of this subsection. Such investigators shall have the powers now or hereafter vested in law to peace officers.&nbsp;</span></p> <p><span class="cls0">C. Upon retirement, a Board investigator shall be entitled to receive the continued custody and possession of the sidearm and badge he or she carried immediately prior to retirement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 262, &sect; 7, eff. July 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.15B. Executive Director - Authority.&nbsp;</span></p> <p><span class="cls0">The Board of Dentistry shall employ an Executive Director. The Executive Director shall be authorized to:&nbsp;</span></p> <p class="cls7"><span class="cls0">1. Employ and maintain an office staff;&nbsp;</span></p> <p><span class="cls0">2. Employ one or more investigators who may be certified peace officers who shall be commissioned with all the powers and authority of peace officers of this state;&nbsp;</span></p> <p><span class="cls0">3. Enter into contracts on behalf of the Board; and&nbsp;</span></p> <p><span class="cls0">4. Perform other duties on behalf of the Board as needed or directed.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 270, &sect; 3, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.16. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.17. Appointment of dental hygienist to sit with Board.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry shall have power to appoint one dental hygienist in an advisory capacity to sit with the Board to:&nbsp;</span></p> <p><span class="cls0">1. Assist the Board in the administration and enforcement of the dental hygienist provisions of the State Dental Act; and&nbsp;</span></p> <p><span class="cls0">2. Be present only at a Board meeting when the agenda of the meeting includes matters pertinent to the administration and enforcement of the dental hygiene provision of the State Dental Act.&nbsp;</span></p> <p><span class="cls0">B. The appointment shall be made from a list of names submitted to the Board by the dental hygienists of this state.&nbsp;</span></p> <p><span class="cls0">C. The appointment shall be for a period of two (2) years or until a successor is appointed.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 17, eff. July 1, 1970. Amended by Laws 2003, c. 172, &sect; 3, emerg. eff. May 5, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.18. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.19. Acts constituting practice of dentistry - Acts not prevented.&nbsp;</span></p> <p><span class="cls0">A. The following acts by any person shall be regarded as practicing dentistry within the meaning of the State Dental Act:&nbsp;</span></p> <p><span class="cls0">1. Representing oneself to the public as being a dentist or as one authorized to practice dentistry;&nbsp;</span></p> <p><span class="cls0">2. Representing oneself to the public as being able to diagnose or examine clinical material and contract for the treating thereof;&nbsp;</span></p> <p><span class="cls0">3. Treating or professing to treat by professional instructions;&nbsp;</span></p> <p><span class="cls0">4. Representing oneself to the public as treating any of the diseases or disorders or lesions of the oral cavity, teeth, gums, maxillary bones, and associate structures;&nbsp;</span></p> <p><span class="cls0">5. Removing human teeth;&nbsp;</span></p> <p><span class="cls0">6. Repairing or filling cavities in human teeth;&nbsp;</span></p> <p><span class="cls0">7. Correcting or attempting to correct malposed teeth;&nbsp;</span></p> <p><span class="cls0">8. Administering anesthetics, general or local;&nbsp;</span></p> <p><span class="cls0">9. Treating deformities of the jaws and adjacent structures;&nbsp;</span></p> <p><span class="cls0">10. Using x-ray and interpreting dental x-ray film;&nbsp;</span></p> <p><span class="cls0">11. Offering or undertaking, by any means or methods, to remove stains, discolorations, or concretions from the teeth;&nbsp;</span></p> <p><span class="cls0">12. Operating or prescribing for any disease, pain, injury, deficiency, deformity, or any physical condition connected with the human mouth;&nbsp;</span></p> <p><span class="cls0">13. Taking impressions of the teeth and jaws;&nbsp;</span></p> <p><span class="cls0">14. Furnishing, supplying, constructing, reproducing, or repairing, or offering to furnish, supply, construct, reproduce, or repair, prosthetic dentures, sometimes known as plates, bridges, or other substitutes for natural teeth for the user or prospective user thereof;&nbsp;</span></p> <p><span class="cls0">15. Adjusting or attempting to adjust any prosthetic denture, bridge, appliance, or any other structure to be worn in the human mouth;&nbsp;</span></p> <p><span class="cls0">16. Diagnosing, making, and adjusting appliances to artificial casts of malposed teeth for treatment of the malposed teeth in the human mouth, without instructions;&nbsp;</span></p> <p><span class="cls0">17. Writing a laboratory prescription to a dental laboratory or dental laboratory technician for the construction, reproduction or repair of any appliance or structure to be worn in the human mouth; or&nbsp;</span></p> <p><span class="cls0">18. Owning, maintaining, or operating an office or offices by holding a financial interest in same for the practice of dentistry.&nbsp;</span></p> <p><span class="cls0">B. The fact that a person uses any dental degree, or designation, or any card, device, directory, poster, sign or other media representing oneself to be a dentist shall be prima facie evidence that the person is engaged in the practice of dentistry; provided that nothing in this section shall be so construed as to prevent the following:&nbsp;</span></p> <p><span class="cls0">1. Physicians or surgeons, who are licensed under the laws of this state, from administering any kind of treatment coming within the province of medicine or surgery;&nbsp;</span></p> <p><span class="cls0">2. The practice of dentistry in the discharge of their official duties by dentists in the United States Army, the United States Navy, the United States Air Force, the United States Marine Corps, the United States Coast Guard, the United States Public Health Service, or the United States Veterans Administration;&nbsp;</span></p> <p><span class="cls0">3. Dental schools or colleges, as now conducted and approved, or as may be approved, and the practice of dentistry by students in dental schools, colleges or hospitals, approved by the Board, when acting under the direction and supervision of licensed dentists or dentists holding properly issued permits acting as instructors;&nbsp;</span></p> <p><span class="cls0">4. Acts of a dental clinician or other participant at a dental educational meeting or at an accredited dental college, when no fee is charged to or paid by a patient;&nbsp;</span></p> <p><span class="cls0">5. The practice of dental hygiene, as defined herein, by a person granted a license by the Board;&nbsp;</span></p> <p><span class="cls0">6. The performing of acts by a dental assistant or oral maxillofacial surgery assistant who performs the acts under the direct supervision of a dentist and in accordance with the provisions of the State Dental Act and the rules promulgated by the Board; or&nbsp;</span></p> <p><span class="cls0">7. The fabrication of dental appliances pursuant to a laboratory prescription of a dentist, by a dental laboratory technician in a dental laboratory using inert materials and mechanical devices for the fabrication of any restoration, appliance or thing to be worn in the human mouth.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 19, eff. July 1, 1970. Amended by Laws 1999, c. 280, &sect; 3, eff. Nov. 1, 1999; Laws 2003, c. 172, &sect; 4, emerg. eff. May 5, 2003; Laws 2013, c. 405, &sect; 4, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.20. Renumbered as &sect; 328.36a of this title by Laws 1999, c. 280, &sect; 11, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.21. Application for license &ndash; Qualifications - Examination.&nbsp;</span></p> <p><span class="cls0">A. No person, unless registered to practice dentistry or dental hygiene in this state on July 1, 1970, shall practice dentistry or dental hygiene without first applying for and obtaining a license from the Board of Dentistry.&nbsp;</span></p> <p><span class="cls0">B. Application shall be made to the Board in writing and shall be accompanied by the fee established by the rules of the Board, together with satisfactory proof that the applicant:&nbsp;</span></p> <p><span class="cls0">1. Is of good moral character; and&nbsp;</span></p> <p><span class="cls0">2. Is twenty-one (21) years of age, or over, at the time of making application to practice dentistry or eighteen (18) years of age, or over, if the applicant is to practice dental hygiene.&nbsp;</span></p> <p><span class="cls0">C. An application from a candidate who desires to secure a license from the Board to practice dentistry or dental hygiene in this state shall be accompanied by satisfactory proof that the applicant is:&nbsp;</span></p> <p><span class="cls0">1. A graduate of an accredited dental college, if the applicant is to practice dentistry; or&nbsp;</span></p> <p><span class="cls0">2. A graduate of an accredited dental hygiene program, if the applicant is to practice dental hygiene.&nbsp;</span></p> <p><span class="cls0">The college or program, in either case, shall be accredited by the Commission on Dental Accreditation of the American Dental Association.&nbsp;</span></p> <p><span class="cls0">D. 1. When the applicant and the accompanying proof are found satisfactory, the Board shall notify the applicant to appear for examination at the time and place to be fixed by the Board. Examination shall be of a character to give a fair test of the qualifications of the applicant to practice dentistry or dental hygiene, whichever the case may be, and shall consist of three parts, namely:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a written theoretical examination,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a clinical examination, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a written jurisprudence examination, relating to the contents and interpretation of the State Dental Act and the rules of the Board.&nbsp;</span></p> <p><span class="cls0">2. The theoretical and jurisprudence examination papers and all grading thereon, and the grading of the clinical examination, shall be deemed public documents, and shall be preserved by the Board for a period of two (2) years after the Board has made and published its decision thereon.&nbsp;</span></p> <p><span class="cls0">E. The Board shall require every applicant for a license to practice dentistry or dental hygiene to:&nbsp;</span></p> <p><span class="cls0">1. Submit, for the files of the Board, a photostatic copy of a dental degree or dental hygiene degree, an official transcript and a recent photograph duly identified and attested; and&nbsp;</span></p> <p><span class="cls0">2. Pass an examination required by the Board in the theory and practice of the science of dentistry or dental hygiene, whichever the case may be. The Board may recognize the results of examinations conducted by the Commission on National Dental Examinations or results of regionally conducted examinations with which regions the Board is affiliated by contract or cooperative agreement pursuant to Section 328.15 of this title, in lieu of, or subject to, such examinations as may be required.&nbsp;</span></p> <p><span class="cls0">F. Any applicant who fails to pass any part of the first examination may apply for a second examination, in which case the applicant shall pay a reexamination fee as established by the rules of the Board. Any applicant who fails to pass the examination upon first trial may be given credit for such subjects as the Board may allow, but such credits shall be extended only to the succeeding examinations. If the applicant fails to pass a second examination, before further re-examination, the Board may require evidence of additional education, as specified by the Board. After a third examination, the Board may deny the applicant another examination.&nbsp;</span></p> <p><span class="cls0">G. No person shall practice as a dental assistant or oral maxillofacial surgery assistant for more than one (1) day in a calendar year without having obtained a permit as a dental assistant or oral maxillofacial surgery assistant from the Board of Dentistry within thirty (30) days of beginning employment.&nbsp;</span></p> <p><span class="cls0">Any person seeking to obtain a dental assistant or oral maxillofacial surgery assistant permit must have a supervising dentist currently licensed in Oklahoma and complete the requirements set forth by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 21, eff. July 1, 1970. Amended by Laws 1981, c. 216, &sect; 2; Laws 1999, c. 280, &sect; 5, eff. Nov. 1, 1999; Laws 2003, c. 172, &sect; 5, emerg. eff. May 5, 2003; Laws 2013, c. 405, &sect; 5, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.22. Specialty license.&nbsp;</span></p> <p><span class="cls0">A. 1. The Board of Dentistry may issue a dental specialty license authorizing a dentist or an out-of-state dentist to represent himself or herself to the public as a specialist, and to practice as a specialist, in a dental specialty.&nbsp;</span></p> <p><span class="cls0">2. No dentist or out-of-state dentist shall represent himself or herself to the public as a specialist, nor practice as a specialist, unless the individual:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;has successfully completed an advanced dental specialty educational program accredited by the Commission on Dental Accreditation of the American Dental Association, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;has been issued a dental specialty license by the Board.&nbsp;</span></p> <p><span class="cls0">B. 1. Except as authorized in subsection C of this section, an applicant for a dental specialty license must satisfactorily pass an examination for dental specialty practice, as provided in the rules of the Board.&nbsp;</span></p> <p><span class="cls0">2. An applicant for a dental specialty license who fails the examination shall be entitled to retake the examination upon such terms and conditions as may be established by the rules of the Board.&nbsp;</span></p> <p><span class="cls0">C. 1. The Board may issue a dental specialty license by credentialing, without examination in the dental specialty, to an out-of-state dentist who:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;is in good standing with the dental licensing agency of the state or states in which the out-of-state dentist has been issued a license to practice dentistry,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;has successfully completed an advanced dental specialty educational program accredited by the Commission on Dental Accreditation of the American Dental Association, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;has been issued a dental specialty license by the dental licensing agency of another state or has received board certification from a national dental specialty board recognized by the Commission on Dental Accreditation of the American Dental Association and the rules of the Board.&nbsp;</span></p> <p><span class="cls0">2. In conducting an investigation of an out-of-state dentist who has applied for a dental specialty license pursuant to this subsection, the Board may require of the applicant disclosure of the same background information as is required of an applicant for a license to practice dentistry in this state. If the Board determines that the out-of-state dentist is competent to practice a dental specialty, and after the out-of-state dentist passes an examination on the contents and interpretation of the State Dental Act and the rules of the Board, the out-of-state dentist may be issued a dental specialty license by the Board.&nbsp;</span></p> <p><span class="cls0">3. The Board may require:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an applicant for a dental specialty license pursuant to this subsection to have completed the same continuing education requirements as required of dentists in this state, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;that the state from which the applicant presents credentials afford substantially equivalent licensure by credentialing to dentists of this state.&nbsp;</span></p> <p><span class="cls0">D. Upon payment of a fee established by the rules of the Board, any applicant who meets the requirements of this section shall be entitled to be issued a dental specialty license by the Board.&nbsp;</span></p> <p><span class="cls0">E. Out-of-state dentists to whom dental specialty licenses have been issued by the Board, but who have not been licensed in this state to practice dentistry, shall limit their practice in this state to the practice of the specialty for which they hold a dental specialty license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 22, eff. July 1, 1970. Amended by Laws 1998, c. 377, &sect; 3, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.23. Licensing of out-of-state dentists - Certificate of good standing.&nbsp;</span></p> <p><span class="cls0">A. 1. The Board of Dentistry may issue a license to practice dentistry, without examination, to an out-of-state dentist who has been engaged in the practice of dentistry in another state for at least five (5) years, upon presentation to the Board of a certificate from the dental licensing agency of that state, certifying the applicant's length of practice and that the applicant is in good standing with the agency, and upon the payment of a fee established by the rules of the Board; provided, however, the state from which the applicant presents a license to practice dentistry shall have required the applicant to meet professional education, competency, and moral character standards substantially equivalent to the standards required by the Board for issuance of a license by examination to practice dentistry in this state.&nbsp;</span></p> <p><span class="cls0">2. The Board shall not issue a license pursuant to this subsection to any person who would not otherwise be eligible to receive a license to practice dentistry.&nbsp;</span></p> <p><span class="cls0">3. The Board may require:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an applicant for a license to practice dentistry pursuant to this subsection to have completed the same continuing education requirements as required of dentists in this state, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;that the state from which the applicant presents credentials afford substantially equivalent licensure by credentialing to dentists of this state.&nbsp;</span></p> <p><span class="cls0">B. Any dentist who is in good standing with the Board shall, upon application to the Board and payment of a fee established by the rules of the Board, receive a certificate which shall attest that the dentist is in good standing with the Board.&nbsp;</span></p> <p><span class="cls0">C. The President of the Board, upon verification that a person meets the requirements provided for in this section and any other requirements provided for in the State Dental Act, may issue a temporary license to practice dentistry for thirty (30) days. A temporary license may be extended but shall not exceed ninety (90) days or the next available regularly scheduled Board meeting.&nbsp;</span></p> <p><span class="cls0">D. The President of the Board may authorize patient treatment and care to individuals taking the Western Regional Examining Board Exam to complete criteria related to Board examinations and may authorize specialty examinations to be given throughout the year as needed.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 23, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 6, eff. Nov. 1, 1996; Laws 1998, c. 377, &sect; 4, eff. Nov. 1, 1998; Laws 2012, c. 270, &sect; 4, eff. Nov. 1, 2012; Laws 2013, c. 405, &sect; 6, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.23a. Special volunteer licenses.&nbsp;</span></p> <p><span class="cls0">A. There is established a special volunteer license for dentists and a special volunteer license for dental hygienists who are retired from active practice or out-of-state licensees in active practice who are in the Oklahoma Medical Reserve Corps or assisting with emergency management, emergency operations, or hazard mitigation in response to any emergency, man-made disaster, or natural disaster, or participating in public health initiatives, disaster drills, and community service events that are endorsed by a city, county, or state health department in the state and wish to donate their expertise for the dental care and treatment of indigent and needy persons of the state. The special volunteer license shall be:&nbsp;</span></p> <p><span class="cls0">1. Issued by the Board of Dentistry to eligible persons;&nbsp;</span></p> <p><span class="cls0">2. Issued without the payment of an application fee, license fee or renewal fee;&nbsp;</span></p> <p><span class="cls0">3. Issued or renewed without any continuing education requirements for a period less than one (1) fiscal year; and&nbsp;</span></p> <p><span class="cls0">4. Issued for one fiscal year or part thereof.&nbsp;</span></p> <p><span class="cls0">B. A dentist or dental hygienist must meet the following requirements to be eligible for a special volunteer license:&nbsp;</span></p> <p><span class="cls0">1. Completion of a special volunteer dental or dental hygiene license application, including documentation of the dentist&rsquo;s dental or dental hygiene school graduation and practice history;&nbsp;</span></p> <p><span class="cls0">2. Documentation that the dentist or dental hygienist has been previously issued a full and unrestricted license to practice dentistry or dental hygiene in Oklahoma or in another state of the United States and that he or she has never been the subject of any medical or dental disciplinary action in any jurisdiction. If the dentist or dental hygienist is licensed in more than one state and any license of the licensee is suspended, revoked, or subject to any agency order limiting or restricting practice privileges, or has been voluntarily terminated under threat of sanction, the dentist or dental hygienist shall be ineligible to receive a special volunteer license;&nbsp;</span></p> <p><span class="cls0">3. Acknowledgement and documentation that the dentist&rsquo;s or dental hygienist&rsquo;s practice under the special volunteer license will be exclusively and totally devoted to providing dental care to needy and indigent persons in Oklahoma; and&nbsp;</span></p> <p><span class="cls0">4. Acknowledgement and documentation that the dentist or dental hygienist will not receive or have the expectation to receive any payment or compensation, either direct or indirect, for any dental services rendered under the special volunteer license.&nbsp;</span></p> <p><span class="cls0">C. The Board of Dentistry shall have jurisdiction over dentists, dental hygienists, dental assistants, and dental technicians who volunteer their professional services in the state. Dental assistants and dental technicians shall work under the direct supervision of a dentist.&nbsp;</span></p> <p><span class="cls0">D. Dental assistants and dental technicians shall not be required to obtain a volunteer license. Volunteers in a volunteer initiative who are not dentists or dental hygienists shall be named and provided on a list to the Board by the entity hosting the volunteer initiative. The Board shall provide written documentation to the host entity designating all persons who may participate in the volunteer initiative, including authorization of the timetable requested by the host entity for granting licensure exemption.&nbsp;</span></p> <p><span class="cls0">E. All persons providing care shall do so under the provisions specified in Section 328.1 et seq. of this title or rules promulgated by the Board. Only those functions authorized by law or administrative rule shall be performed by the named person approved by the Board.&nbsp;</span></p> <p><span class="cls0">F. Volunteers shall not use sedation or general anesthesia during volunteer procedures.&nbsp;</span></p> <p><span class="cls0">G. Volunteers shall use a form to be provided by the Board for any patient with clear instructions for any and all follow-up care.&nbsp;</span></p> <p><span class="cls0">H. At any time, the Board shall revoke a volunteer license based on documentation of failure to participate according to state laws or administrative rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 138, &sect; 3, eff. Nov. 1, 2003. Amended by Laws 2009, c. 192, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59328.24. Dental hygienists from other states or territories Certificate of ability Certificate for member removing to another state or territory.&nbsp;</span></p> <p><span class="cls0">A. 1. The Board of Dentistry may issue a license to practice dental hygiene, without examination, to an out-of-state dental hygienist who has been engaged in the active practice of dental hygiene in another state or territory for at least two (2) years immediately preceding application, upon presentation to the Board of a certificate from the Board of Dental Examiners or a like dental hygiene licensing agency of that state or territory, certifying the applicant's length of practice and that the applicant is in good standing with the agency, and upon the payment of a fee established by the rules of the Board; provided, however, the state or territory from which the applicant presents a license to practice dental hygiene shall have required the applicant to meet professional education, competency, and other eligibility standards equivalent to the standards required by the Board for issuance of a license by examination to practice dental hygiene in this state.&nbsp;</span></p> <p><span class="cls0">2. The Board shall not issue a license pursuant to this subsection to any person who would not otherwise be eligible to receive a license to practice dental hygiene.&nbsp;</span></p> <p><span class="cls0">3. The Board may require:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an applicant for a license to practice dental hygiene pursuant to this subsection to have completed the same continuing education requirements as required of dental hygienists in this state, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;that the state or territory from which the applicant presents credentials afford substantially equivalent licensure by credentialing to dental hygienists of this state.&nbsp;</span></p> <p><span class="cls0">B. Any dental hygienist who is in good standing with the Board shall, upon application to the Board and payment of a fee established by the rules of the Board, receive a certificate which shall attest that the dental hygienist is in good standing with the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 24, eff. July 1, 1970. Amended by Laws 2000, c. 283, &sect; 4, eff. Nov. 1, 2000.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59328.25. Temporary certificate of ability to practice dental hygiene.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry may issue a temporary license to practice dental hygiene, without examination, to an out-of-state dental hygienist who has been engaged in the active practice of dental hygiene in another state or territory during the two (2) years immediately preceding application upon presentation to the Board of a certificate from the Board of Dental Examiners or a like dental hygiene licensing agency of that state or territory, certifying that the applicant is in good standing with the agency and upon the payment of a fee established by the rules of the Board; provided, however, the state or territory from which the applicant presents a license to practice dental hygiene shall have required the applicant to meet professional education, competency, and other eligibility standards equivalent to the standards required by the Board for issuance of a license by examination to practice dental hygiene in this state.&nbsp;</span></p> <p><span class="cls0">B. A holder of a temporary license to practice dental hygiene shall have the same rights and privileges and be governed by the State Dental Act and the rules of the Board in the same manner as a holder of a permanent license to practice dental hygiene. A temporary license to practice dental hygiene shall expire as of the date of the next dental hygiene clinical examination required by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 25, eff. July 1, 1970. Amended by Laws 2000, c. 283, &sect; 5, eff. Nov. 1, 2000.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.26. Dental intern or resident permits.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry may, without examination, issue a dental intern, resident or fellowship permit to a student or graduate of an approved dental school or college, who is otherwise qualified, upon request of the dean or the governing body of any public or private institution for the graduate to serve as a dental intern or resident in the institution, with limited duties as defined in the permit.&nbsp;</span></p> <p><span class="cls0">B. A dental intern, resident or fellowship permit shall not be issued to any person whose license to practice dentistry in this state or in another state has been suspended or revoked, or to whom a license to practice dentistry has been refused.&nbsp;</span></p> <p><span class="cls0">C. A dental intern, resident or fellowship permit shall not authorize the holder to open an office for the private practice of dentistry, or to receive compensation for the practice of dentistry, except a salary paid by the federal government or this state, or their subdivisions, or the public or private institution where the holder of the dental intern, resident or fellowship permit will be employed.&nbsp;</span></p> <p><span class="cls0">D. A dental intern, resident or fellowship permit shall automatically expire when the permit holder is no longer participating in the program offered by the college of dentistry or the accredited dental college.&nbsp;</span></p> <p><span class="cls0">E. The issuance of a dental intern, resident or fellowship permit by the Board shall in no way be considered a guarantee or predetermination of any person to receive a full license issued by the Board.&nbsp;</span></p> <p><span class="cls0">F. Dental intern or resident permits may be renewed annually at the discretion of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 26, eff. July 1, 1970. Amended by Laws 1990, c. 51, &sect; 121, emerg. eff. April 9, 1990; Laws 1996, c. 2, &sect; 7, eff. Nov. 1, 1996; Laws 2012, c. 270, &sect; 5, eff. Nov. 1, 2012; Laws 2013, c. 405, &sect; 7, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.27. Faculty permits.&nbsp;</span></p> <p><span class="cls0">A. 1. The Board of Dentistry may, without a clinical examination, upon presentation of satisfactory credentials, including completion of the dental hygiene National Boards and both Part I and Part II of the National Board examination for dentists, and under such rules as the Board may promulgate, issue a faculty permit to an applicant who:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;is a graduate of a school of dentistry approved by the Board and is licensed to practice dentistry in another state or country,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;successfully completes advanced training in a specialty approved by the Commission on Dental Accreditation of the American Dental Association, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;is a graduate of an accredited dental hygiene program and is licensed to practice dental hygiene in another state.&nbsp;</span></p> <p><span class="cls0">2. A faculty permit shall be issued only upon the certification of the dean of an accredited dental college or the director of an accredited dental hygiene program located in this state that the applicant is a bona fide member of the teaching staff of that college or program.&nbsp;</span></p> <p><span class="cls0">3. Following the first year of employment, the faculty permit holder shall show proof of passing an appropriate clinical board examination recognized by the Board of Dentistry.&nbsp;</span></p> <p><span class="cls0">4. A faculty permit shall be valid for one (1) year and may be renewed by the Board at the written request of the dean of an accredited dental program or the director of an accredited dental hygiene program.&nbsp;</span></p> <p><span class="cls0">B. The holder of a faculty permit shall be entitled to perform services and procedures in the same manner as a person holding a license to practice dentistry or dental hygiene in this state, but all services and procedures performed by the faculty permit holder shall only be without compensation other than that received in salary from a faculty position or through faculty practice as authorized by the Board. Such services and procedures shall be performed only within the facilities of an accredited dental college or accredited dental hygiene program or in a seminar or postgraduate course and as an adjunct to teaching functions. A holder of a faculty permit shall only engage in faculty practice of dentistry or dental hygiene within the facilities designated by the accredited dental college and including teaching hospitals approved by the Board.&nbsp;</span></p> <p><span class="cls0">C. The Dean of an accredited dental or hygiene program may petition the Board to allow a visiting faculty member to have a visiting faculty permit not to exceed one (1) year, based on a showing of criteria that the individual possesses specialty knowledge in a specific area that would benefit the college or program.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 27, eff. July 1, 1970. Amended by Laws 1999, c. 280, &sect; 6, eff. Nov. 1, 1999; Laws 2005, c. 377, &sect; 3, eff. Nov. 1, 2005; Laws 2011, c. 262, &sect; 2, eff. July 1, 2011; Laws 2013, c. 405, &sect; 8, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.28. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.28a. Applicant criminal background check.&nbsp;</span></p> <p><span class="cls0">A. Beginning January 2014, every applicant for any type of license or permit issued by the Board of Dentistry shall be subject to a criminal background check.&nbsp;</span></p> <p><span class="cls0">B. Each applicant shall submit two completed fingerprint cards as required by the Board. The fingerprint cards shall be required to be in a clear, readable format acceptable to the Oklahoma State Bureau of Investigation.&nbsp;</span></p> <p><span class="cls0">C. Each applicant shall include a money order or cashier's check made payable to the Oklahoma State Bureau of Investigation or the Board for the purposes of a local and national criminal background check.&nbsp;</span></p> <p><span class="cls0">D. The Board shall forward the fingerprint cards, along with the applicable fee for a national fingerprint criminal history records search, to the Bureau.&nbsp;</span></p> <p><span class="cls0">E. The Bureau shall retain one set of fingerprints in the Automated Fingerprint Identification System and submit the other set to the Federal Bureau of Investigation for a national criminal history records search.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 270, &sect; 6, eff. Nov. 1, 2012. Amended by Laws 2013, c. 405, &sect; 9, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59328.29. Unlawful practices for dental hygienists.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any dental hygienist to:&nbsp;</span></p> <p><span class="cls0">1. Advertise or publish, directly or indirectly, or circulate through the usual commercial channels, such as the press, magazines, directories, radio, television, sign, display or by leaflets, the fact that he or she is in the practice of dental hygiene;&nbsp;</span></p> <p><span class="cls0">2. Place his or her name in any city, commercial or other directory;&nbsp;</span></p> <p><span class="cls0">3. Place his or her name in the classified section of a telephone directory;&nbsp;</span></p> <p><span class="cls0">4. Offer free dental service or examination as an inducement to gain patronage;&nbsp;</span></p> <p><span class="cls0">5. Claim the use of any secret or patented methods or treatments;&nbsp;</span></p> <p><span class="cls0">6. Employ or use solicitors to obtain patronage;&nbsp;</span></p> <p><span class="cls0">7. Pay or accept commission in any form or manner as compensation for referring patients to any person for professional services;&nbsp;</span></p> <p><span class="cls0">8. In any way advertise as having ability to diagnose or prescribe for any treatment;&nbsp;</span></p> <p><span class="cls0">9. Publish any schedule or comparative prices or fees for his or her services;&nbsp;</span></p> <p><span class="cls0">10. Claim or infer superiority over other dental hygienists;&nbsp;</span></p> <p><span class="cls0">11. Perform any services in the mouth other than those which are hereafter authorized by the Board of Dentistry pursuant to authority conferred by the State Dental Act;&nbsp;</span></p> <p><span class="cls0">12. Attempt to conduct a practice of dental hygiene in any place or in any manner other than as authorized by Section 328.34 of this title;&nbsp;</span></p> <p><span class="cls0">13. Attempt to use in any manner whatsoever any oral prophylaxis list, call list, records, reprints or copies of same or information gathered therefrom, or the names of patients whom he or she has formerly treated when serving as an employee in the office of a dentist for whom he or she was formerly employed; or&nbsp;</span></p> <p><span class="cls0">14. Fail to keep prominently displayed in the office of the dentist for whom he or she is employed his or her license and annual renewal certificate.&nbsp;</span></p> <p><span class="cls0">B. 1. Any person committing an offense against any of the provisions of this section, including, but not limited to, duly promulgated rules of the Board shall, upon conviction thereof, be subjected to such penalties as are provided in the State Dental Act.&nbsp;</span></p> <p><span class="cls0">2. A writ of injunction without bond shall be made available to the Board of Dentistry for the enforcement of the State Dental Act.&nbsp;</span></p> <p><span class="cls0">C. It shall not be a violation of the State Dental Act for a dental hygienist to place his or her name in letters no larger than those used by his or her dentist employer on the door, window or premises, with the letters R.D.H. or the words, dental hygienist, following his or her name.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 29, eff. July 1, 1970. Amended by Laws 2003, c. 171, &sect; 1, emerg. eff. May 5, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.29a. Dental assistant &ndash; Revocation or suspension of permit, probation or censure &ndash; Reinstatement.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry shall have the power, after a hearing, to revoke or suspend a permit of a dental assistant or oral maxillofacial surgery assistant or to discipline by a probation or censure, public or private, for:&nbsp;</span></p> <p><span class="cls0">1. Any of the causes now existing in the laws of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">2. A violation of the provisions of the State Dental Act; or&nbsp;</span></p> <p><span class="cls0">3. A violation of the rules of the Board promulgated pursuant to the State Dental Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall also have the power to act upon a petition by a dental assistant or oral maxillofacial surgery assistant for reinstatement to good standing. The Board shall keep a record of the evidence and proceedings in all matters involving the revocation or suspension of a permit, censure or probation of a dental assistant or oral maxillofacial surgery assistant. The Board shall make findings of fact and a decision thereon. The Board shall immediately forward a certified copy of the decision to the dental assistant or oral maxillofacial surgery assistant involved by registered mail to the last-known official address as recorded by the Board.&nbsp;</span></p> <p><span class="cls0">C. The decision shall be final unless the dental assistant or oral maxillofacial surgery assistant appeals the decision as provided by the State Dental Act.&nbsp;</span></p> <p><span class="cls0">D. The Board shall have power to revoke or suspend the permit, censure, or place on probation a dental assistant or oral maxillofacial surgery assistant for a violation of one or more of the following:&nbsp;</span></p> <p><span class="cls0">1. Pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substances laws;&nbsp;</span></p> <p><span class="cls0">2. The presentation to the Board of false application or documentation for a permit;&nbsp;</span></p> <p><span class="cls0">3. Being, by reason of persistent inebriety or addiction to drugs, incompetent to continue to function as a dental assistant or oral maxillofacial surgery assistant;&nbsp;</span></p> <p><span class="cls0">4. Functioning outside the supervision of a dentist;&nbsp;</span></p> <p><span class="cls0">5. Performing any function prohibited by Chapter 15 of the Oklahoma Administrative Code or any violation that would be a violation for a dentist or hygienist under Section 328.32 or 328.33 of this title; or&nbsp;</span></p> <p><span class="cls0">6. Failure to secure an annual registration as specified in Section 328.41 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2005, c. 377, &sect; 4, eff. Nov. 1, 2005. Amended by Laws 2013, c. 405, &sect; 10, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.30. Repealed by Laws 1998, c. 377, &sect; 7, eff. Nov. 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.31. Professional entities formed for practice of dentistry.&nbsp;</span></p> <p><span class="cls0">A. Professional entities formed pursuant to the Professional Entity Act, for the purpose of rendering professional services by a dentist, shall be subject to all of the provisions of the State Dental Act, except that professional entities shall not be required to obtain a license from the Board of Dentistry. Individuals who hold a license issued by the Board shall be responsible, pursuant to the State Dental Act, for their personal conduct without regard to the fact that they are acting as an owner, manager, agent or employee of, or the holder of an interest in, a professional entity.&nbsp;</span></p> <p><span class="cls0">B. Professional entities formed for the purpose of rendering professional services by a dentist must register with the Board before rendering such services and must update the registration during the renewal period of each year. The Board shall:&nbsp;</span></p> <p><span class="cls0">1. Provide the form and establish the fee for the registration and update;&nbsp;</span></p> <p><span class="cls0">2. Maintain a registry of all such professional entities; and&nbsp;</span></p> <p><span class="cls0">3. Publish annually a summary of the registry.&nbsp;</span></p> <p><span class="cls0">C. The Board is authorized to issue certificates pursuant to Section 804 of Title 18 of the Oklahoma Statutes and shall maintain a record of each certificate issued.&nbsp;</span></p> <p><span class="cls0">D. Enforcement actions by the Board for violation of the State Dental Act or the rules of the Board may be brought against a professional entity as well as against any individual who is or has acted as an owner, manager, agent or employee of, or the holder of an interest in, the professional entity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 31, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 8, eff. Nov. 1, 1996; Laws 2013, c. 405, &sect; 11, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.31a. Use of trade names &ndash; Rules regulating advertisements.&nbsp;</span></p> <p><span class="cls0">A. One dentist or multiple dentists may use a trade name in connection with the practice of dentistry provided that:&nbsp;</span></p> <p><span class="cls0">1. The use of the trade name shall not be false, fraudulent or misleading;&nbsp;</span></p> <p><span class="cls0">2. The name of the dentist or dentists actually providing the dental services to the patient shall appear on all billing invoices or statements sent to the patient and on all receipts if any are given to the patient;&nbsp;</span></p> <p><span class="cls0">3. Treatment records shall be maintained for each patient that clearly identify the dentist or dentists who performed all dental services for the patient; and&nbsp;</span></p> <p><span class="cls0">4. When one dentist or multiple dentists make an advertisement in the trade name or the trade name is included in an advertisement, a copy of the advertisement, including but not limited to any electronic form of the advertising, shall be kept by the dentist or dentists for three (3) years from the first publication date of the advertisement.&nbsp;</span></p> <p><span class="cls0">B. The Board of Dentistry shall promulgate rules regulating advertisements in which one dentist or multiple dentists use a trade name.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 2, &sect; 9, eff. Nov. 1, 1996. Amended by Laws 2009, c. 192, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.32. Dentists - Grounds for penalties.&nbsp;</span></p> <p><span class="cls0">A. The following acts or occurrences by a dentist shall constitute grounds for which the penalties specified in Section 328.44a of this title may be imposed by order of the Board of Dentistry:&nbsp;</span></p> <p><span class="cls0">1. Pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substances laws;&nbsp;</span></p> <p><span class="cls0">2. Presenting to the Board a false diploma, license, or certificate, or one obtained by fraud or illegal means;&nbsp;</span></p> <p><span class="cls0">3. Being, by reason of persistent inebriety or addiction to drugs, incompetent to continue the practice of dentistry;&nbsp;</span></p> <p><span class="cls0">4. Publishing a false, fraudulent, or misleading advertisement or statement;&nbsp;</span></p> <p><span class="cls0">5. Authorizing or aiding an unlicensed person to practice dentistry, to practice dental hygiene, or to perform a function for which a permit from the Board is required;&nbsp;</span></p> <p><span class="cls0">6. Authorizing or aiding a dental hygienist to perform any procedure prohibited by the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">7. Authorizing or aiding a dental assistant or oral maxillofacial surgery assistant to perform any procedure prohibited by the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">8. Failing to pay fees as required by the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">9. Failing to complete continuing education requirements;&nbsp;</span></p> <p><span class="cls0">10. Representing himself or herself to the public as a specialist in a dental specialty without holding a dental specialty license therefor;&nbsp;</span></p> <p><span class="cls0">11. Representing himself or herself to the public as a specialist whose practice is limited to a dental specialty, when such representation is false, fraudulent, or misleading;&nbsp;</span></p> <p><span class="cls0">12. Endangering the health of patients by reason of having a highly communicable disease and continuing to practice dentistry without taking appropriate safeguards;&nbsp;</span></p> <p><span class="cls0">13. Practicing dentistry in an unsafe or unsanitary manner or place, including but not limited to repeated failures to follow Centers for Disease Control (CDC) or Occupational Health Safety Administration (OSHA) guidelines;&nbsp;</span></p> <p><span class="cls0">14. Being shown to be mentally unsound;&nbsp;</span></p> <p><span class="cls0">15. Being shown to be grossly immoral and that such condition represents a threat to patient care or treatment;&nbsp;</span></p> <p><span class="cls0">16. Being incompetent to practice dentistry while delivering care to a patient;&nbsp;</span></p> <p><span class="cls0">17. Committing gross negligence in the practice of dentistry;&nbsp;</span></p> <p><span class="cls0">18. Committing repeated acts of negligence in the practice of dentistry;&nbsp;</span></p> <p><span class="cls0">19. Offering to effect or effecting a division of fees, or agreeing to split or divide a fee for dental services with any person, in exchange for the person bringing or referring a patient;&nbsp;</span></p> <p><span class="cls0">20. Being involuntarily committed to an institution for treatment for substance abuse, until recovery or remission;&nbsp;</span></p> <p><span class="cls0">21. Using or attempting to use the services of a dental laboratory or dental laboratory technician without issuing a laboratory prescription, except as provided in subsection C of Section 328.36 of this title;&nbsp;</span></p> <p><span class="cls0">22. Aiding, abetting, or encouraging a dental hygienist employed by the dentist to make use of an oral prophylaxis list, or the calling by telephone or by use of letters transmitted through the mails to solicit patronage from patients formerly served in the office of any dentist formerly employing such hygienist;&nbsp;</span></p> <p><span class="cls0">23. Having more than the equivalent of three full-time dental hygienists for each dentist actively practicing in the same dental office who will supervise the dental hygienists, dental assistants, or oral maxillofacial surgery assistants;&nbsp;</span></p> <p><span class="cls0">24. Allowing a person not holding a permit or license issued by the Board to assist in the treatment of a patient without having a license or permit issued by the Board;&nbsp;</span></p> <p><span class="cls0">25. Knowingly patronizing or using the services of a dental laboratory or dental laboratory technician who has not complied with the provisions of the State Dental Act and the rules of the Board;&nbsp;</span></p> <p><span class="cls0">26. Authorizing or aiding a dental hygienist, dental assistant, oral maxillofacial surgery assistant, dental laboratory technician, or holder of a permit to operate a dental laboratory to violate any provision of the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">27. Willfully disclosing confidential information;&nbsp;</span></p> <p><span class="cls0">28. Writing a false, unnecessary, or excessive prescription for any drug or narcotic which is a controlled dangerous substance under either federal or state law;&nbsp;</span></p> <p><span class="cls0">29. Prescribing or administering any drug or treatment without having established a valid dentist-patient relationship;&nbsp;</span></p> <p><span class="cls0">30. Using or administering nitrous oxide gas in a dental office in an inappropriate or unauthorized manner;&nbsp;</span></p> <p><span class="cls0">31. Engaging in nonconsensual physical contact with a patient which is sexual in nature, or engaging in a verbal communication which is intended to be sexually demeaning to a patient;&nbsp;</span></p> <p><span class="cls0">32. Practicing dentistry without displaying, at the dentist's primary place of practice, the license issued to the dentist by the Board to practice dentistry and the current renewal certificate;&nbsp;</span></p> <p><span class="cls0">33. Being dishonest in a material way with a patient;&nbsp;</span></p> <p><span class="cls0">34. Failing to retain all patient records for at least three (3) years from the date of the last treatment, except that the failure to retain records shall not be a violation of the State Dental Act if the dentist shows that the records were lost, destroyed, or removed by another, without the consent of the dentist;&nbsp;</span></p> <p><span class="cls0">35. Failing to retain the dentist's copy of any laboratory prescription for at least three (3) years, except that the failure to retain records shall not be a violation of the State Dental Act if the dentist shows that the records were lost, destroyed, or removed by another, without the consent of the dentist;&nbsp;</span></p> <p><span class="cls0">36. Allowing any corporation, organization, group, person, or other legal entity, except another dentist or a professional entity that is in compliance with the registration requirements of subsection B of Section 328.31 of this title, to direct, control, or interfere with the dentist's clinical judgment. Clinical judgment shall include, but not be limited to, such matters as selection of a course of treatment, control of patient records, policies and decisions relating to pricing, credit, refunds, warranties and advertising, and decisions relating to office personnel and hours of practice. Nothing in this paragraph shall be construed to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;limit a patient's right of informed consent, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;to prohibit insurers, preferred provider organizations and managed care plans from operating pursuant to the applicable provisions of the Oklahoma Insurance Code and the Public Health Code;&nbsp;</span></p> <p><span class="cls0">37. Violating the state dental act of another state resulting in a plea of guilty or nolo contendere, conviction or suspension or revocation of the license of the dentist under the laws of that state;&nbsp;</span></p> <p><span class="cls0">38. Violating or attempting to violate the provisions of the State Dental Act or the rules of the Board, as a principal, accessory or accomplice;&nbsp;</span></p> <p><span class="cls0">39. Failing to comply with the terms and conditions of an order imposing suspension of a license or placement on probation issued pursuant to Section 328.44a of this title; or&nbsp;</span></p> <p><span class="cls0">40. Failing to cooperate during an investigation or providing false information, verbally or in writing, to the Board, the Board's investigator or an agent of the Board.&nbsp;</span></p> <p><span class="cls0">B. The provisions of the State Dental Act shall not be construed to prohibit any dentist from displaying or otherwise advertising that the dentist is also currently licensed, registered, certified, or otherwise credentialed pursuant to the laws of this state or a nationally recognized credentialing board, if authorized by the laws of the state or credentialing board to display or otherwise advertise as a licensed, registered, certified, or credentialed dentist.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 32, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 10, eff. Nov. 1, 1996; Laws 1998, c. 377, &sect; 5, eff. Nov. 1, 1998; Laws 2000, c. 283, &sect; 6, eff. Nov. 1, 2000; Laws 2011, c. 262, &sect; 3, eff. July 1, 2011; Laws 2012, c. 270, &sect; 7, eff. Nov. 1, 2012; Laws 2013, c. 405, &sect; 12, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.33. Revocation or suspension of license of dental hygienist or discipline by probation or reprimand.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry shall have the power, after a hearing, to revoke or suspend a license of a dental hygienist or to discipline by probation or reprimand, public or private, for:&nbsp;</span></p> <p><span class="cls0">1. Any of the causes now existing in the laws of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">2. A violation of the provisions of the State Dental Act; or&nbsp;</span></p> <p><span class="cls0">3. A violation of the rules of the Board promulgated pursuant to the State Dental Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall also have the power to act upon a petition by a dental hygienist for reinstatement to good standing. The Board shall keep a record of the evidence and proceedings in all matters involving the revocation or suspension of a license or reprimand or probation of a dental hygienist. The Board shall make findings of fact and a decision thereon. The Board shall immediately forward a certified copy of the decision to the dental hygienist involved by registered mail to the last-known business address of the dental hygienist.&nbsp;</span></p> <p><span class="cls0">C. 1. The decision shall be final unless the dental hygienist appeals the decision as provided by the State Dental Act.&nbsp;</span></p> <p><span class="cls0">2. If an appeal is not timely taken, the decision shall be carried out by striking the name of the dental hygienist from the rolls, or suspending the dental hygienist for the period mentioned in issuing a reprimand, or otherwise acting as required by the decision.&nbsp;</span></p> <p><span class="cls0">D. The Board shall have power to revoke or suspend the license, reprimand, or place on probation a dental hygienist for a violation of one or more of the following:&nbsp;</span></p> <p><span class="cls0">1. Pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substances laws;&nbsp;</span></p> <p><span class="cls0">2. The presentation to the Board of a false diploma, license or certificate, or one obtained by fraud or illegal means;&nbsp;</span></p> <p><span class="cls0">3. Being, by reason of persistent inebriety or addiction to drugs, incompetent to continue the practice of dental hygiene;&nbsp;</span></p> <p><span class="cls0">4. Has been guilty of dishonorable or unprofessional conduct;&nbsp;</span></p> <p><span class="cls0">5. Has failed to pay registration fees as provided by the State Dental Act;&nbsp;</span></p> <p><span class="cls0">6. Is a menace to the public health by reason of communicable disease;&nbsp;</span></p> <p><span class="cls0">7. Has been proven mentally incapacitated or has been admitted to a mental institution, either public or private, and until the dental hygienist has been proven to be mentally competent;&nbsp;</span></p> <p><span class="cls0">8. Is grossly immoral;&nbsp;</span></p> <p><span class="cls0">9. Is incompetent in the practice of dental hygiene;&nbsp;</span></p> <p><span class="cls0">10. Is guilty of willful negligence in the practice of dental hygiene;&nbsp;</span></p> <p><span class="cls0">11. Has been committed for treatment for drug addiction to a facility, either public or private, and until the dental hygienist has been proven cured;&nbsp;</span></p> <p><span class="cls0">12. Is practicing or attempting to practice dental hygiene in any place or in any manner other than as authorized by Section 328.34 of this title;&nbsp;</span></p> <p><span class="cls0">13. Is using or attempting to use in any manner whatsoever any oral prophylaxis list, call list, records, reprints or copies of same, or information gathered therefrom, of the names of patients whom such dental hygienist might have served in the office of a prior employer, unless such names appear upon the bona fide call or oral prophylaxis list of the present employer of the dental hygienist and were caused to so appear through the legitimate practice of dentistry, as provided for in the State Dental Act;&nbsp;</span></p> <p><span class="cls0">14. Violating the state dental act of another state resulting in a plea of guilty or nolo contendere, conviction or suspension or revocation of the license of the dental hygienist under the laws of that state;&nbsp;</span></p> <p><span class="cls0">15. Violating or attempting to violate the provisions of the State Dental Act or the rules of the Board, as a principal, accessory or accomplice;&nbsp;</span></p> <p><span class="cls0">16. Failing to comply with the terms and conditions of an order imposing suspension of a license or placement on probation issued pursuant to Section 328.44a of this title; or&nbsp;</span></p> <p><span class="cls0">17. Any violation that would otherwise be a violation for a dentist under 328.32 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 33, eff. July 1, 1970. Amended by Laws 2003, c. 171, &sect; 2, emerg. eff. May 5, 2003; Laws 2013, c. 405, &sect; 13, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.34. Practice of dental hygiene under supervision of dentist &ndash; Delegation of duties to dental hygienist &ndash; Authorization of advanced procedures.&nbsp;</span></p> <p><span class="cls0">A. A dental hygienist may practice dental hygiene under the supervision of a dentist in a dental office or treatment facility. A dentist may employ not more than the equivalent of three full-time dental hygienists for each dentist actively practicing in the same dental office.&nbsp;</span></p> <p><span class="cls0">B. 1. A dentist may delegate to a dental hygienist the following procedures:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the duties and expanded duties authorized for dental assistants by the State Dental Act or the rules of the Board of Dentistry,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;health history assessment pertaining to dental hygiene,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;dental hygiene examination and the charting of intra-oral and extra-oral conditions, which include periodontal charting, dental charting and classifying occlusion,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;dental hygiene assessment and treatment planning for procedures authorized by the supervisory dentist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;prophylaxis, which means the removal of any and all calcareous deposits, stains, accretions, or concretions from the supragingival and subgingival surfaces of human teeth, utilizing instrumentation by scaler or periodontal curette on the crown and root surfaces of human teeth, including rotary or power driven instruments. This paragraph shall not be construed to prohibit the use of a rubber cap or brush on the crowns of human teeth by a dental assistant who holds a current expanded duty permit for Coronal Polishing/Topical Fluoride issued by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;periodontal scaling and root planing,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;dental hygiene nutritional and dietary evaluation,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;placement of subgingival prescription drugs for prevention and treatment of periodontal disease,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;soft tissue curettage,&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;placement of temporary fillings,&nbsp;</span></p> <p class="cls2"><span class="cls0">k.&nbsp;&nbsp;removal of overhanging margins,&nbsp;</span></p> <p class="cls2"><span class="cls0">l.&nbsp;&nbsp;dental implant maintenance,&nbsp;</span></p> <p class="cls2"><span class="cls0">m.&nbsp;&nbsp;removal of periodontal packs,&nbsp;</span></p> <p class="cls2"><span class="cls0">n.&nbsp;&nbsp;polishing of amalgam restorations, and&nbsp;</span></p> <p class="cls2"><span class="cls0">o.&nbsp;&nbsp;other procedures authorized by the Board.&nbsp;</span></p> <p><span class="cls0">2. The procedures specified in subparagraphs b through o of paragraph 1 of this subsection may be performed only by a dentist or a dental hygienist.&nbsp;</span></p> <p><span class="cls0">3. Except as provided in subsections C and D of this section, the procedures specified in paragraph 1 of this subsection may be performed by a dental hygienist only on a patient of record and only under the supervision of a dentist. The level of supervision, whether direct, indirect or general, shall be at the discretion of the supervisory dentist. Authorization for general supervision shall be limited to a maximum of thirteen (13) months following an examination by the supervisory dentist of a patient of record.&nbsp;</span></p> <p><span class="cls0">C. 1. A dentist may authorize procedures to be performed by a dental hygienist, without complying with the provisions of paragraph 3 of subsection B of this section, if:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the dental hygienist has at least two (2) years experience in the practice of dental hygiene,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the authorization to perform the procedures is in writing and signed by the dentist, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the procedures are performed during an initial visit to a person in a treatment facility.&nbsp;</span></p> <p><span class="cls0">2. The person upon whom the procedures are performed must be referred to the authorizing dentist after completion of the procedures performed pursuant to paragraph 1 of this subsection.&nbsp;</span></p> <p><span class="cls0">3. A dental hygienist shall not perform a second set of procedures on a person pursuant to this subsection until the person has been examined and accepted for dental care by the authorizing dentist.&nbsp;</span></p> <p><span class="cls0">4. The treatment facility in which any procedure is performed by a dental hygienist pursuant to this subsection shall note each such procedure in the medical records of the person upon whom the procedure was performed.&nbsp;</span></p> <p><span class="cls0">D. A treatment facility may employ dental hygienists whose services shall be limited to the examination of teeth and the teaching of dental hygiene or as otherwise authorized by the Board.&nbsp;</span></p> <p><span class="cls0">E. The Board is authorized to:&nbsp;</span></p> <p><span class="cls0">1. Prescribe, by rule, advanced procedures that may be performed by a dental hygienist who has satisfactorily completed a course of study regarding the performance of such procedures. The advance procedures shall include the administration of local anesthesia and the administration of nitrous oxide analgesia;&nbsp;</span></p> <p><span class="cls0">2. Establish guidelines for courses of study necessary for a dental hygienist to perform advanced procedures;&nbsp;</span></p> <p><span class="cls0">3. Issue authorization to perform advanced procedures to those dental hygienists who meet the eligibility requirements; and&nbsp;</span></p> <p><span class="cls0">4. Establish the level of supervision, whether direct, indirect or general, under which the advanced procedures may be performed.&nbsp;</span></p> <p><span class="cls0">F. A dental hygienist shall not own or operate an independent practice of dental hygiene.&nbsp;</span></p> <p><span class="cls0">G. Nothing in the State Dental Act shall be construed to prohibit a dentist from performing any of the procedures that may be performed by a dental hygienist.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 34, eff. July 1, 1970. Amended by Laws 2003, c. 171, &sect; 3, emerg. eff. May 5, 2003; Laws 2013, c. 405, &sect; 14, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.35. Repealed by Laws 1999, c. 280, &sect; 12, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.36. Permit to operate dental laboratory.&nbsp;</span></p> <p><span class="cls0">A. 1. Any person, firm, corporation, partnership or other legal entity who desires to operate a dental laboratory in this state shall file with the Board of Dentistry, on a form prescribed by the Board, an application for a permit to operate a dental laboratory and pay the fee established by the rules of the Board. The application shall include the name and address of each person, firm, corporation, partnership or other legal entity who owns an interest in or will operate the dental laboratory. Upon receipt of the application and fee, the Board shall determine the qualifications of the applicant and may grant a permit to the applicant to operate a dental laboratory.&nbsp;</span></p> <p><span class="cls0">2. Except as provided in subsection C of this section, no person, firm, corporation, partnership or other legal entity shall operate a dental laboratory in this state without having obtained a permit from the Board. The Board may inspect any dental laboratory prior to the issuance of any permit.&nbsp;</span></p> <p><span class="cls0">B. Any change in ownership, operation or location of a dental laboratory shall immediately be communicated to the Board, which shall endorse upon the permit, without further fee, the change in ownership, operation or location.&nbsp;</span></p> <p><span class="cls0">C. Nothing in the State Dental Act shall be construed to:&nbsp;</span></p> <p><span class="cls0">1. Prohibit a dentist from owning or operating a private, noncommercial dental laboratory in a dental office for the dentist's use in the practice of dentistry;&nbsp;</span></p> <p><span class="cls0">2. Require a dentist to obtain a permit from the Board for the operation of a dental laboratory in the office of the dentist unless dental laboratory technology is provided to persons other than the dentist at that location; or&nbsp;</span></p> <p><span class="cls0">3. Require a dentist to issue a laboratory prescription for dental laboratory technology to be performed by an employee of, in the office of, and for a patient of, the dentist.&nbsp;</span></p> <p><span class="cls0">D. The dental laboratory shall make available to the prescribing dentist, Board, or agent or employee of the Board:&nbsp;</span></p> <p><span class="cls0">1. A list of all materials in the composition of the final appliance;&nbsp;</span></p> <p><span class="cls0">2. The location where the appliance was fabricated, including the name, address, telephone number and Food and Drug Administration registration number, if applicable, of the person or entity performing the work; and&nbsp;</span></p> <p><span class="cls0">3. A description of all disinfection methods used in the fabrication of the appliance.&nbsp;</span></p> <p><span class="cls0">E. No permit shall be required for a licensed dentist in the State of Oklahoma, the licensed dentist's dental practice on-site dental lab, the licensed dentist's physical practice, or the licensed dentist's CAD or CAM technology used for fabricating dental prostheses including crowns, bridges and other dental restorations. If the licensed dentist provides dental prostheses for other licensed dentists in the State of Oklahoma, then the dental laboratory portion of the practice shall be required to have a permit as it is functioning as a commercial dental laboratory.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 36, eff. July 1, 1970. Amended by Laws 1981, c. 79, &sect; 1; Laws 1996, c. 2, &sect; 11, eff. Nov. 1, 1996; Laws 1999, c. 280, &sect; 7, eff. Nov. 1, 1999; Laws 2010, c. 129, &sect; 1, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.36a. Laboratory prescriptions.&nbsp;</span></p> <p><span class="cls0">A. A dentist may utilize a dental laboratory technician and a dental laboratory to perform or provide dental laboratory technology. Except as provided in subsection C of Section 328.36 of this title, a dentist who utilizes the services of a dental laboratory technician or dental laboratory shall furnish a laboratory prescription for each patient for whom a work product is prescribed.&nbsp;</span></p> <p><span class="cls0">B. Laboratory prescriptions issued by a dentist shall be on forms containing the minimum information required by subsection D of this section and shall be produced or printed by each dentist. Such forms shall be provided by the Board of Dentistry or downloaded from the Board&rsquo;s website. All forms shall be completed in full and signed by the prescribing dentist. The owner of a dental laboratory shall retain each original laboratory prescription received from a prescribing dentist and produce the document for inspection and copying by a member of the Board or by an agent or employee of the Board, for a period of three (3) years from the date of the laboratory prescription. The prescribing dentist shall retain the duplicate copy of each laboratory prescription and produce the document for inspection and copying by a member of the Board or by an agent or employee of the Board, for a period of three (3) years from the date of the laboratory prescription.&nbsp;</span></p> <p><span class="cls0">C. The patient&rsquo;s name or the identification number of the laboratory prescription shall appear on all dental models and correspond to all dental restorations, appliances or other devices being constructed, reproduced or repaired. Any dental model, restoration, appliance or other device in the possession of a dental laboratory technician or dental laboratory without a laboratory prescription and corresponding number on the model, restoration, appliance or device shall be prima facie evidence of a violation of the State Dental Act. After completion, the prescribed work product shall be returned by the dental laboratory technician or dental laboratory to the prescribing dentist or the dental office of the dentist with the name or number of the laboratory prescription accompanying the invoice.&nbsp;</span></p> <p><span class="cls0">D. At a minimum, prescriptions shall contain the following information:&nbsp;</span></p> <p><span class="cls0">1. The name and address of the dental laboratory;&nbsp;</span></p> <p><span class="cls0">2. The patient&rsquo;s name and/or identifying number. In the event such identifying number is used, the name of the patient shall be written on a copy of the prescription retained by the dentist;&nbsp;</span></p> <p><span class="cls0">3. A description of the work to be completed with diagrams, if applicable;&nbsp;</span></p> <p><span class="cls0">4. A description of the type of materials to be used;&nbsp;</span></p> <p><span class="cls0">5. The actual date on which the authorization or prescription was written or completed;&nbsp;</span></p> <p><span class="cls0">6. The signature in ink or by electronic method of the dentist issuing the prescription and the state license number and address of such dentist; and&nbsp;</span></p> <p><span class="cls0">7. A section to be completed by the dental laboratory and returned to the issuing dentist that shall disclose all information and certify that the information is accurate by including the signature of a reasonable part of the primary contractor.&nbsp;</span></p> <p><span class="cls0">E. The Board shall make readily available a sample form on the Board&rsquo;s website for use by any licensee at no cost.&nbsp;</span></p> <p><span class="cls0">F. A dentist may produce, transfer and retain copies of the form electronically.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 20, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 5, eff. Nov. 1, 1996; Laws 1999, c. 280, &sect; 4, eff. Nov. 1, 1999. Renumbered from Title 59, &sect; 328.20 by Laws 1999, c. 280, &sect; 11, eff. Nov. 1, 1999. Amended by Laws 2011, c. 262, &sect; 4, eff. July 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.37. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.38. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.39. Dental laboratory technicians - Grounds for penalties.&nbsp;</span></p> <p><span class="cls0">The following acts or occurrences by a dental laboratory technician shall constitute grounds for which the penalties specified in Section 328.44a of this title may be imposed by order of the Board of Dentistry:&nbsp;</span></p> <p><span class="cls0">1. Publishing a false, fraudulent or misleading advertisement or statement;&nbsp;</span></p> <p><span class="cls0">2. Performing dental laboratory technology at a location for which no permit to operate a dental laboratory has been issued by the Board, except as provided in subsection C of Section 328.36 of this title;&nbsp;</span></p> <p><span class="cls0">3. Performing dental laboratory technology without a laboratory prescription of a dentist, except as provided in subsection C of Section 328.36 of this title;&nbsp;</span></p> <p><span class="cls0">4. Failing to return a prescribed work product to the prescribing dentist or the dental office of the dentist;&nbsp;</span></p> <p><span class="cls0">5. Refusing to allow a member of the Board or an agent or employee of the Board to inspect laboratory prescriptions or dental restorations, appliances or other devices that are being constructed, reproduced or repaired;&nbsp;</span></p> <p><span class="cls0">6. Possessing dental equipment not necessary for performing dental laboratory technology;&nbsp;</span></p> <p><span class="cls0">7. Being dishonest in a material way with a dentist; or&nbsp;</span></p> <p><span class="cls0">8. Violating or attempting to violate the provisions of the State Dental Act or the rules of the Board, as a principal, accessory or accomplice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 39, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 12, eff. Nov. 1, 1996; Laws 1999, c. 280, &sect; 8, eff. Nov. 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.39a. Dental laboratory permit holders - Grounds for penalties.&nbsp;</span></p> <p><span class="cls0">The following acts or occurrences by a holder of a permit to operate a dental laboratory shall constitute grounds for which the penalties specified in Section 328.44a of this title may be imposed by order of the Board of Dentistry:&nbsp;</span></p> <p><span class="cls0">1. Publishing a false, fraudulent or misleading advertisement or statement;&nbsp;</span></p> <p><span class="cls0">2. Providing dental laboratory technology at a location for which no permit to operate a dental laboratory has been issued by the Board, except as provided in subsection C of Section 328.36 of this title;&nbsp;</span></p> <p><span class="cls0">3. Providing dental laboratory technology without a laboratory prescription of a dentist, except as provided in subsection C of Section 328.36 of this title;&nbsp;</span></p> <p><span class="cls0">4. Failing to return a prescribed work product to a prescribing dentist or the dental office of the dentist;&nbsp;</span></p> <p><span class="cls0">5. Refusing to allow a member of the Board or an agent or employee of the Board to inspect laboratory prescriptions or dental restorations, appliances or other devices that are being constructed, reproduced or repaired;&nbsp;</span></p> <p><span class="cls0">6. Failing to retain an original laboratory prescription received from a prescribing dentist for a period of three (3) years from the date of the laboratory prescription, except that the failure to retain a document shall not be a violation of the State Dental Act if the owner of the dental laboratory shows that the document was lost, destroyed, or removed by another, without the consent of the owner;&nbsp;</span></p> <p><span class="cls0">7. Possessing dental equipment not necessary for performing dental laboratory technology;&nbsp;</span></p> <p><span class="cls0">8. Failing to pay fees as required by the State Dental Act or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">9. Operating a dental laboratory without displaying, at the primary place of operation, a permit issued by the Board for the operation of the dental laboratory and the current renewal certificate;&nbsp;</span></p> <p><span class="cls0">10. Being dishonest in a material way with a dentist;&nbsp;</span></p> <p><span class="cls0">11. Violating or attempting to violate the provisions of the State Dental Act or the rules of the Board, as a principal, accessory or accomplice; or&nbsp;</span></p> <p><span class="cls0">12. Pleading guilty or nolo contendere to, or being convicted of, a felony, a misdemeanor involving moral turpitude, or a violation of federal or state controlled dangerous substances laws.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 2, &sect; 13, eff. Nov. 1, 1996. Amended by Laws 1999, c. 280, &sect; 9, eff. Nov. 1, 1999; Laws 2012, c. 270, &sect; 8, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.40. Repealed by Laws 1999, c. 280, &sect; 12, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.41. Renewal certificate &ndash; Fee &ndash; Waiver &ndash; Automatic cancellation.&nbsp;</span></p> <p><span class="cls0">A. On or before the first day of January of each year, every dentist, dental hygienist, dental assistant, oral maxillofacial surgery assistant and other licensee or permit holders previously licensed or permitted by the Board to practice in this state shall submit a renewal application with information as may be required by the Board, together with an annual renewal fee established by the rules of the Board. Upon receipt of the annual renewal fee, the Board shall issue a renewal certificate authorizing the dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant to continue the practice of dentistry or dental hygiene, respectively, in this state for a period of one (1) year. Every license or permit issued by the Board shall expire on December 31 of each year.&nbsp;</span></p> <p><span class="cls0">B. Upon failure of a dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant to pay the annual renewal fee within two (2) months after January 1, the Board shall notify the dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant in writing by certified mail to the last-known mailing address of the dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant as reflected in the records of the Board.&nbsp;</span></p> <p><span class="cls0">C. Any dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant whose license or permit is automatically canceled by reason of failure, neglect or refusal to secure the renewal certificate may be reinstated by the Board at any time within one (1) year from the date of the expiration of the license, upon payment of the annual renewal fee and a penalty fee established by the rules of the Board. If the dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant does not apply for renewal of the license or permit and pay the required fees within one (1) year after the license has expired, then the dentist, dental hygienist, dental assistant, or oral maxillofacial surgery assistant shall be required to file an application for and take the examination or other requirements provided for in the State Dental Act or the rules promulgated by the Board before again commencing practice.&nbsp;</span></p> <p><span class="cls0">D. The Board may waive the annual renewal fee for any dentist or dental hygienist and issue a renewal certificate without the payment of any renewal fee, if the dentist or dental hygienist has held an Oklahoma license at least twenty-five (25) years but because of age or physical disability has retired from the practice of dentistry or dental hygiene. The waiver of fees herein provided may be continued so long as the retirement continues because of age or physical disability.&nbsp;</span></p> <p><span class="cls0">E. Any dentist or dental hygienist who has had a license to practice dentistry or dental hygiene in good standing for thirty-five (35) years and has reached the age of seventy (70) years shall upon application to the Board be issued renewal certificates without the payment of annual renewal fees for the remaining years of their active practice.&nbsp;</span></p> <p><span class="cls0">F. The Board, by rule, shall provide for the remittance of fees otherwise required by the State Dental Act while a dentist or dental hygienist is on active duty with any of the Armed Forces of the United States.&nbsp;</span></p> <p><span class="cls0">G. In case of a lost or destroyed license or renewal certificate and upon satisfactory proof of the loss or destruction thereof, the Board may issue a duplicate, charging therefor a fee established by the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 41, eff. July 1, 1970. Amended by Laws 1999, c. 280, &sect; 10, eff. Nov. 1, 1999; Laws 2003, c. 172, &sect; 6, emerg. eff. May 5, 2003; Laws 2012, c. 270, &sect; 9, eff. Nov. 1, 2012; Laws 2013, c. 405, &sect; 15, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.42. State Dental Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Board of Dentistry to be designated as "The State Dental Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board pursuant to the provisions of the State Dental Act. All monies accruing to the credit of this fund are hereby appropriated and may be budgeted and expended by the Board for the purpose of implementing and enforcing the provisions of the State Dental Act. Expenditures from this fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 42, eff. July 1, 1970. Amended by Laws 1979, c. 47, &sect; 36, emerg. eff. April 9, 1979; Laws 1996, c. 2, &sect; 14, eff. Nov. 1, 1996; Laws 2012, c. 304, &sect; 263.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.43. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.43a. Complaints - Review panels - Recommendations - Dismissal of complaint.&nbsp;</span></p> <p><span class="cls0">A. Any person may file a written and signed complaint with the Board of Dentistry, alleging that the respondent has sought to practice or has illegally practiced dentistry or dental hygiene, has violated the provisions relating to dental assistants, or has otherwise violated the provisions of the State Dental Act or the rules of the Board, and the facts upon which the allegations are based. The complaint shall be directed by the president of the Board to two specific Board members for investigation and review. The review panel, in its discretion, may notify the respondent of the complaint at any time prior to its dismissal of the complaint or making a recommendation to the Board. If the Board initiates an individual proceeding under paragraph 1 of subsection D of this section, the respondent of the individual proceeding shall be provided a copy of the recommendation and any exculpatory information as required by the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">B. The Board members who review a complaint shall constitute a review panel. A review panel shall confer and shall conduct or cause to be conducted any investigation of the allegations in the complaint as it reasonably determines may be needed to establish, based on the evidence available to the panel, whether it is more likely than not that:&nbsp;</span></p> <p><span class="cls0">1. A violation of the provisions of the State Dental Act or the rules of the Board has occurred; and&nbsp;</span></p> <p><span class="cls0">2. The person named in the complaint has committed the violation.&nbsp;</span></p> <p><span class="cls0">C. In conducting its investigation, a review panel may seek evidence, take statements, take and hear evidence, and administer oaths and affirmations. A review panel may also use Board attorneys and investigators appointed by the Board to seek evidence.&nbsp;</span></p> <p><span class="cls0">D. 1. If a review panel determines, based on the evidence available to the panel, that it is more likely than not that a violation of the provisions of the State Dental Act or the rules of the Board has occurred and that the respondent has more likely than not committed the violation, the review panel may recommend in writing to the Board that the Board initiate an individual proceeding, pursuant to Article II of the Administrative Procedures Act, against the respondent.&nbsp;</span></p> <p><span class="cls0">2. The Board shall determine whether to accept or reject the recommendation that an individual proceeding be initiated.&nbsp;</span></p> <p><span class="cls0">3. If the Board determines that the recommendation should be accepted, a formal Statement of Complaint shall be filed within ten (10) days of the action of the Board.&nbsp;</span></p> <p><span class="cls0">4. The individual proceeding shall be conducted according to the rules of the Board and the requirements of the Administrative Procedures Act. The members of the review panel shall be excluded from participating as Board members in an individual proceeding initiated by the Board based upon their recommendation.&nbsp;</span></p> <p><span class="cls0">5. The review panel may decide to enter into a public or private settlement agreement with the respondent. A public or private settlement agreement:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;shall specify the provisions of the State Dental Act or the rules of the Board which such person is alleged to have violated,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;shall provide that such person agrees not to violate the provisions of the State Dental Act or the rules of the Board in the future,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;may contain any of the penalties specified in Section 328.44a of this title, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;may contain any other provisions agreeable to the review panel and the person involved.&nbsp;</span></p> <p><span class="cls0">A private settlement agreement shall remain part of the investigation file, and may be disclosed or used against the respondent only if the respondent violates the settlement agreement or if ordered by a court of competent jurisdiction. All settlement agreements shall be reported to the Board. The Board may require that a private settlement agreement be made a public settlement agreement. A respondent may withdraw from the settlement agreement if the Board determines a private settlement agreement shall be made public.&nbsp;</span></p> <p><span class="cls0">6. A public or private settlement agreement must receive final review and approval by the Board if it contains any of the following penalties specified in Section 328.44a of this title:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;suspension of a license or permit issued by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;revocation of a license or permit issued by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;issuance of a censure,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;placement on probation,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;restriction of the services that can be provided by a dentist or a dental hygienist, or&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;an administrative penalty not to exceed One Thousand Five Hundred Dollars ($1,500.00) per violation.&nbsp;</span></p> <p><span class="cls0">E. If a review panel does not make the determination specified in subsection D of this section, the panel shall dismiss the complaint and direct the principal administrative officer of the Board to give written notification of the dismissal to the person who filed the complaint and to the respondent. Although evidence against a respondent does not warrant formal proceedings, a review panel may issue a confidential letter of concern to a respondent when there are indications of possible misconduct by the respondent that could lead to serious consequences or formal action.&nbsp;</span></p> <p><span class="cls0">F. A review panel may act without complying with the Oklahoma Open Meeting Act.&nbsp;</span></p> <p><span class="cls0">G. The Board of Dentistry, its employees, independent contractors, appointed committee members and other agents shall keep confidential all information obtained in the following circumstances:&nbsp;</span></p> <p><span class="cls0">1. During an investigation into allegations of violations of the State Dental Act, including but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any review or investigation made to determine whether to allow an applicant to take an examination, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;whether the Board shall grant a license, certificate, or permit;&nbsp;</span></p> <p><span class="cls0">2. In the course of conducting an investigation;&nbsp;</span></p> <p><span class="cls0">3. Reviewing investigative reports provided to the Board by a registrant; and&nbsp;</span></p> <p><span class="cls0">4. Receiving and reviewing examination and test scores.&nbsp;</span></p> <p><span class="cls0">H. Any information obtained and all contents of any investigation file shall be exempt from the provisions of the Oklahoma Open Records Act. Except for the approval of private settlement, a final order issued by the Board shall be subject to the Oklahoma Open Records Act.&nbsp;</span></p> <p><span class="cls0">I. Information obtained by the Board or any of its agents shall be considered competent evidence, subject to the rules of evidence, in a court of competent jurisdiction for:&nbsp;</span></p> <p><span class="cls0">1. Matters directly related to actions of the Board; or&nbsp;</span></p> <p><span class="cls0">2. Matters where criminal charges are filed in a municipal, district or federal court action.&nbsp;</span></p> <p><span class="cls0">All other information and investigation records where complaints have not been found to be actionable in either an administrative, civil or criminal matter shall not be open to the public.&nbsp;</span></p> <p><span class="cls0">Information obtained by the Board or its agents shall not be admissible as evidence in any other type of civil or criminal action.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 2, &sect; 15, eff. Nov. 1, 1996. Amended by Laws 1997, c. 108, &sect; 6, eff. Nov. 1, 1997; Laws 2003, c. 172, &sect; 7, emerg. eff. May 5, 2003; Laws 2005, c. 377, &sect; 5, eff. Nov. 1, 2005; Laws 2012, c. 270, &sect; 10, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.44. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.44a. Penalties - Judicial review.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry is authorized, after notice and opportunity for a hearing pursuant to Article II of the Administrative Procedures Act, to issue an order imposing one or more of the following penalties whenever the Board finds, by clear and convincing evidence, that a dentist, dental hygienist, dental assistant, oral maxillofacial surgery assistant, dental laboratory technician, or holder of a permit to operate a dental laboratory has committed any of the acts or occurrences set forth in Sections 328.29, 328.32, 328.33, 328.39 and 328.39a of this title:&nbsp;</span></p> <p><span class="cls0">1. Refusal to issue a license or permit, or a renewal thereof, provided for in the State Dental Act;&nbsp;</span></p> <p><span class="cls0">2. Suspension of a license or permit issued by the Board for a period of time deemed appropriate by the Board;&nbsp;</span></p> <p><span class="cls0">3. Revocation of a license or permit issued by the Board;&nbsp;</span></p> <p><span class="cls0">4. Imposition of an administrative penalty not to exceed One Thousand Five Hundred Dollars ($1,500.00) per violation;&nbsp;</span></p> <p><span class="cls0">5. Issuance of a censure;&nbsp;</span></p> <p><span class="cls0">6. Placement on probation for a period of time and under such terms and conditions as deemed appropriate by the Board;&nbsp;</span></p> <p><span class="cls0">7. Probation monitoring fees, which shall be the responsibility of the licensee on all probations;&nbsp;</span></p> <p><span class="cls0">8. Restriction of the services that can be provided by a dentist or dental hygienist, under such terms and conditions as deemed appropriate by the Board; or&nbsp;</span></p> <p><span class="cls0">9. Assessment for the cost of the investigation and hearing process including attorney fees.&nbsp;</span></p> <p><span class="cls0">B. A dentist, dental hygienist, dental assistant, oral maxillofacial surgery assistant, dental laboratory technician, or holder of a permit to operate a dental laboratory, against whom a penalty is imposed by an order of the Board pursuant to the provisions of this section, shall have the right to seek a judicial review of such order pursuant to Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 2, &sect; 16, eff. Nov. 1, 1996. Amended by Laws 2003, c. 172, &sect; 8, emerg. eff. May 5, 2003; Laws 2005, c. 377, &sect; 6, eff. Nov. 1, 2005; Laws 2011, c. 262, &sect; 5, eff. July 1, 2011; Laws 2013, c. 405, &sect; 16, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.44b. Surrender of license, permit, or certificate.&nbsp;</span></p> <p><span class="cls0">A. A holder of a license, a permit, or certificate granted by the Board shall have the right to surrender the license, permit, or certificate, in writing, notarized, to the Board if the holder is in good standing with the Board as determined, in its discretion, by the Board. The Board shall accept such surrender in writing after approval at a regular or special Board meeting with the statement that the holder is in good standing with the Board. Any holder who has surrendered a license, permit, or certificate issued by the Board and who shall apply for a license, permit, or certificate after surrender shall be subject to all statutes and rules of the Board applicable at the time of the new application.&nbsp;</span></p> <p><span class="cls0">B. A holder of a license, permit, or certificate shall not be considered to be in good standing if an investigation of a complaint is pending against the holder. The Board shall not accept a surrender until a complaint is dismissed by the review panel, a settlement agreement is entered or the Board determines that an individual proceeding shall be initiated pursuant to Section 328.43a of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. If a holder of a license, permit, or certificate wishes to surrender the license, permit, or certificate during the pendency of an initial proceeding, the Board may accept or reject the surrender, in its discretion. The acceptance must be in writing after approval by the Board at a regular or special Board meeting. Any acceptance shall contain the statement that the acceptance is pending disciplinary action. No person who surrenders a license, permit, or certificate to the Board during a pending disciplinary action shall be eligible for reinstatement for a period of five (5) years from the date the surrender is accepted by the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board shall retain jurisdiction over the holder of any license, permit, or certificate for all disciplinary matters pending at the time surrender is sought by the holder.&nbsp;</span></p> <p><span class="cls0">E. All surrenders of licenses, permits, or certificates, whether the holder is or is not in good standing, shall be reported to the national practitioner data bank with the notation in good standing or pending disciplinary action.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2005, c. 377, &sect; 7, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.45. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.46. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.47. Repealed by Laws 1996, c. 2, &sect; 22, eff. Nov. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59328.48. Annual statement of receipts and expenditures.&nbsp;</span></p> <p><span class="cls0">It shall be the duty of the Board of Dentistry, annually, to have prepared a statement showing the total amount of receipts and expenditures of the Board for the preceding twelve (12) months. The statement shall be properly certified under oath by the president and secretary-treasurer of the Board to the Governor of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 48, eff. July 1, 1970. Amended by Laws 2003, c. 172, &sect; 9, emerg. eff. May 5, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.49. Unlawful practices - Criminal and civil actions.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry shall be responsible for the enforcement of the provisions of the State Dental Act against all persons who are in violation thereof, including, but not limited to, individuals who practice or attempt to practice dentistry or dental hygiene without proper authorization from the Board.&nbsp;</span></p> <p><span class="cls0">B. 1. It shall be unlawful for any person, except a licensed dentist, to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;practice or attempt to practice dentistry,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;hold oneself out to the public as a dentist or as a person who practices dentistry, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;employ or use the words "Doctor" or "Dentist", or the letters "D.D.S." or "D.M.D.", or any modification or derivative thereof, when such use is intended to give the impression that the person is a dentist.&nbsp;</span></p> <p><span class="cls0">2. It shall be unlawful for any person, except a registered dental hygienist, to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;practice or attempt to practice dental hygiene,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;hold oneself out to the public as a dental hygienist or as a person who practices dental hygiene, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;employ or use the words "Registered Dental Hygienist", or the letters "R.D.H.", or any modification or derivative thereof, when such use is intended to give the impression that the person is a dental hygienist.&nbsp;</span></p> <p><span class="cls0">3. It shall be unlawful for any person to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;give false or fraudulent evidence or information to the Board in an attempt to obtain any license or permit from the Board, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;aid or abet another person in violation of the State Dental Act.&nbsp;</span></p> <p><span class="cls0">4. Each day a person is in violation of any provision of this subsection shall constitute a separate criminal offense and, in addition, the district attorney may file a separate charge of medical battery for each person who is injured as a result of treatment performed in violation of this subsection.&nbsp;</span></p> <p><span class="cls0">C. 1. If a person violates any of the provisions of subsection B of this section, the Board shall refer the alleged violation to the district attorney of the county in which the violation is alleged to have occurred to bring a criminal action in that county against the person. At the request of the Board, district attorney or Attorney General, attorneys employed or contracted by the Board may assist the district attorney or Attorney General in prosecuting charges under the State Dental Act or any violation of law relating to or arising from an investigation conducted by the Board of Dentistry upon approval of the Board or the Executive Director.&nbsp;</span></p> <p><span class="cls0">2. Any person who violates any of the provisions of paragraph 1 or 3 of subsection B of this section, upon conviction, shall be guilty of a felony punishable by a fine in an amount not less than One Thousand Dollars ($1,000.00) nor more than Ten Thousand Dollars ($10,000.00), or by imprisonment in the county jail for a term of not more than one (1) year or imprisonment in the custody of the Department of Corrections for a term of not more than four (4) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Any person who violates any of the provisions of paragraph 2 of subsection B of this section, upon conviction, shall be guilty of a misdemeanor punishable by a fine in an amount not less than Five Hundred Dollars ($500.00) nor more than Two Thousand Five Hundred Dollars ($2,500.00), or by imprisonment in the county jail for a term of not more than ninety (90) days, or by both such fine and imprisonment. Any second or subsequent violation of paragraph 2 of subsection B of this section, upon conviction, shall be a felony punishable by a fine in an amount not less than One Thousand Five Hundred Dollars ($1,500.00) nor more than Five Thousand Dollars ($5,000.00), or by imprisonment in the county jail for a term of not more than one (1) year or imprisonment in the custody of the Department of Corrections for a term of not more than two (2) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">D. The Board may initiate a civil action, pursuant to Chapter 24 of Title 12 of the Oklahoma Statutes, seeking a temporary restraining order or injunction, without bond, commanding a person to refrain from engaging in conduct which constitutes a violation of any of the provisions of subsection B of this section. In a civil action filed pursuant to this subsection, the prevailing party shall be entitled to recover costs and reasonable attorney fees.&nbsp;</span></p> <p><span class="cls0">E. In addition to any other penalties provided herein, any person found guilty of contempt of court by reason of the violation of any injunction prohibiting the unlicensed practice of dentistry now in effect or hereafter entered pursuant to any provision of the State Dental Act or any preceding state dental act, shall be punished by imprisonment in the county jail for a term of not less than thirty (30) days nor more than one (1) year, and by a fine of not less than Five Hundred Dollars ($500.00) nor more than One Thousand Dollars ($1,000.00). The court may also require the defendant to furnish a good and sufficient bond in a penal sum to be set by the court, not less than One Thousand Dollars ($1,000.00), which shall be conditioned upon future compliance in all particulars with the injunction entered, and in the event of failure of the defendant to furnish such bond when so ordered, the defendant shall be confined in the county jail pending compliance therewith. Such bond shall be mandatory as to any person hereafter found guilty of a second contempt of court for violation of any injunction entered pursuant to the State Dental Act, or any preceding state dental act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1970, c. 173, &sect; 49, eff. July 1, 1970. Amended by Laws 1996, c. 2, &sect; 17, eff. Nov. 1, 1996; Laws 2003, c. 172, &sect; 10, emerg. eff. May 5, 2003; Laws 2008, c. 358, &sect; 1, eff. Nov. 1, 2008; Laws 2012, c. 270, &sect; 11, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.50. Repealed by Laws 2000, c. 283, &sect; 7, eff. Nov. 1, 2000.&nbsp;</span></p> <p><span class="cls0">&sect;59-328.51a. Fees.&nbsp;</span></p> <p><span class="cls0">A. The Board of Dentistry is authorized to establish, by rule, fees to be charged for the purpose of implementing and enforcing the State Dental Act. The penalty and late fee shall be twice the amount of the original fee for license renewals. Notwithstanding any other provisions of the State Dental Act, the fees established by the Board shall be not less nor more than the range created by the following schedule:&nbsp;</span></p> <p><span class="cls0">1. LICENSE AND PERMIT APPLICATION FEES:&nbsp;</span></p> <p class="cls2"><span class="cls0">&nbsp;&nbsp;Minimum&nbsp;&nbsp;Maximum&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;License by Examination&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$200.00&nbsp;&nbsp;$400.00&nbsp;</span></p> <p class="cls3"><span class="cls0">Dental Hygienist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;License by Credentialing&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$500.00&nbsp;&nbsp;$1,000.00&nbsp;</span></p> <p class="cls3"><span class="cls0">Dental Hygienist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">c.&nbsp;&nbsp;Dental Specialty License by Examination &nbsp;&nbsp;$300.00&nbsp;&nbsp;$600.00&nbsp;</span></p> <p class="cls8"><span class="cls0">d.&nbsp;&nbsp;Dental Specialty License by Credentialing &nbsp;&nbsp;$500.00&nbsp;&nbsp;$1,000.00&nbsp;</span></p> <p class="cls8"><span class="cls0">e.&nbsp;&nbsp;Faculty Permit&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls3"><span class="cls0">Dental Hygienist&nbsp;&nbsp;$50.00&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls8"><span class="cls0">f.&nbsp;&nbsp;Dental Intern Permit&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">g.&nbsp;&nbsp;Temporary License to Practice Dental Hygiene &nbsp;&nbsp;$50.00&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls8"><span class="cls0">h.&nbsp;&nbsp;Dental Assistant or Oral Maxillofacial Surgery Assistant Permit &nbsp;&nbsp;$50.00&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls8"><span class="cls0">i.&nbsp;&nbsp;Temporary License to Practice Dentistry&nbsp;&nbsp;$75.00&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls8"><span class="cls0">j.&nbsp;&nbsp;Permit to Operate a Dental Laboratory-current Oklahoma licensed dentist&nbsp;&nbsp;$20.00&nbsp;&nbsp;$60.00&nbsp;</span></p> <p class="cls8"><span class="cls0">k.&nbsp;&nbsp;General Anesthesia Permit&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">l.&nbsp;&nbsp;Conscious Sedation Permit&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">m.&nbsp;&nbsp;Permit to Operate a Dental Laboratory-non-dentist owner&nbsp;&nbsp;$300.00&nbsp;&nbsp;$500.00&nbsp;</span></p> <p><span class="cls0">2. RE-EXAMINATION FEES:&nbsp;</span></p> <p class="cls8"><span class="cls0">a.&nbsp;&nbsp;License by Examination&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$200.00&nbsp;&nbsp;$400.00&nbsp;</span></p> <p class="cls3"><span class="cls0">Dental Hygienist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">b.&nbsp;&nbsp;Dental Specialty License by Examination&nbsp;&nbsp;$300.00&nbsp;&nbsp;$600.00&nbsp;</span></p> <p class="cls8"><span class="cls0">c.&nbsp;&nbsp;Jurisprudence Only Re-Examination&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$10.00&nbsp;&nbsp;$20.00&nbsp;</span></p> <p class="cls3"><span class="cls0">Dental Hygienist&nbsp;&nbsp;$10.00&nbsp;&nbsp;$20.00&nbsp;</span></p> <p><span class="cls0">3. ANNUAL RENEWAL FEES:&nbsp;</span></p> <p class="cls8"><span class="cls0">a.&nbsp;&nbsp;Dentist&nbsp;&nbsp;$200.00&nbsp;&nbsp;$400.00&nbsp;</span></p> <p class="cls8"><span class="cls0">b.&nbsp;&nbsp;Dental Hygienist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">c.&nbsp;&nbsp;Dental Specialty License&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">d.&nbsp;&nbsp;Faculty Permit&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$50.00&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls3"><span class="cls0">Dental Hygienist&nbsp;&nbsp;$50.00&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls8"><span class="cls0">e.&nbsp;&nbsp;Dental Intern Permit, Dental Resident, Dental Fellowship&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">f.&nbsp;&nbsp;Dental Assistant or Oral Maxillofacial Surgery Assistant Permit &nbsp;&nbsp;$50.00&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls8"><span class="cls0">g.&nbsp;&nbsp;Permit to Operate a Dental Laboratory, current Oklahoma Licensed dentist&nbsp;&nbsp;$20.00&nbsp;&nbsp;$60.00&nbsp;</span></p> <p class="cls8"><span class="cls0">h.&nbsp;&nbsp;General Anesthesia Permit&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">i.&nbsp;&nbsp;Conscious Sedation Permit&nbsp;</span></p> <p class="cls3"><span class="cls0">Dentist&nbsp;&nbsp;$100.00&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls8"><span class="cls0">j.&nbsp;&nbsp;Permit to Operate a Dental Laboratory, non-dentist owner&nbsp;&nbsp;$300.00&nbsp;&nbsp;$500.00&nbsp;</span></p> <p><span class="cls0">4. OTHER FEES:&nbsp;</span></p> <p class="cls8"><span class="cls0">a.&nbsp;&nbsp;Duplicate License&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</span></p> <p class="cls9"><span class="cls0">Dentist or Dental Hygienist&nbsp;&nbsp;$30.00&nbsp;&nbsp;$40.00&nbsp;</span></p> <p class="cls8"><span class="cls0">b.&nbsp;&nbsp;Duplicate Permit or Registration&nbsp;&nbsp;$5.00&nbsp;&nbsp;$15.00&nbsp;</span></p> <p class="cls8"><span class="cls0">c.&nbsp;&nbsp;Certificate of Good Standing&nbsp;&nbsp;$5.00&nbsp;&nbsp;$15.00&nbsp;</span></p> <p class="cls8"><span class="cls0">d.&nbsp;&nbsp;Professional Entity Certification Letter&nbsp;&nbsp;$5.00&nbsp;&nbsp;$20.00&nbsp;</span></p> <p class="cls8"><span class="cls0">e.&nbsp;&nbsp;Professional Entity Registration or Update &nbsp;&nbsp;$5.00&nbsp;&nbsp;$20.00&nbsp;</span></p> <p class="cls8"><span class="cls0">f.&nbsp;&nbsp;Laboratory Prescription Books&nbsp;&nbsp;$10.00&nbsp;&nbsp;$25.00&nbsp;</span></p> <p class="cls8"><span class="cls0">g.&nbsp;&nbsp;List of the Name and Current Mailing Address of all Persons who hold a License or Permit issued by the Board. (A request for a list shall be submitted to the Board in writing noting the specific proposed use of the list.)&nbsp;&nbsp;$25.00&nbsp;&nbsp;$75.00&nbsp;</span></p> <p class="cls8"><span class="cls0">h.&nbsp;&nbsp;Official State Dental License Identification Card with Picture&nbsp;&nbsp;$25.00&nbsp;&nbsp;$35.00&nbsp;</span></p> <p class="cls8"><span class="cls0">i.&nbsp;&nbsp;Returned checks&nbsp;&nbsp;$25.00&nbsp;&nbsp;$30.00&nbsp;</span></p> <p><span class="cls0">B. A person who holds a license to practice dentistry in this state, and who also holds a dental specialty license, shall not be required to pay an annual renewal fee for the dental specialty license if the licensee has paid the annual renewal fee for the license to practice dentistry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 2, &sect; 18, eff. Nov. 1, 1996. Amended by Laws 1997, c. 108, &sect; 7, eff. Nov. 1, 1997; Laws 2003, c. 172, &sect; 11, emerg. eff. May 5, 2003; Laws 2013, c. 405, &sect; 17, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.53. Dentists - Professional malpractice liability insurance.&nbsp;</span></p> <p><span class="cls0">A. All dentists in active practice licensed by the Board of Dentistry shall maintain a policy for professional malpractice liability insurance; provided, however, that such requirement shall not apply to dentists:&nbsp;</span></p> <p><span class="cls0">1. Covered by a group or hospital malpractice insurance policy;&nbsp;</span></p> <p><span class="cls0">2. Practicing in a state facility subject to The Governmental Tort Claims Act, Section 151 et seq. of Title 51 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">3. Practicing in a federal facility subject to the Federal Tort Claims Act;&nbsp;</span></p> <p><span class="cls0">4. Providing care as a volunteer under a special volunteer license pursuant to Section 328.23a of this title;&nbsp;</span></p> <p><span class="cls0">5. Providing care as a retired dentist with a valid license in a volunteer, nonpaid capacity; or&nbsp;</span></p> <p><span class="cls0">6. Practicing in another state who will not practice within the State of Oklahoma during the license renewal year.&nbsp;</span></p> <p><span class="cls0">B. The Board of Dentistry may promulgate rules as necessary to carry out the provisions of this section, including, but not limited to, minimum requirements for professional malpractice liability insurance policies and penalties for noncompliance.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 262, &sect; 8, eff. July 1, 2011. Amended by Laws 2012, c. 270, &sect; 12, eff. Nov. 1, 2012; Laws 2013, c. 405, &sect; 18, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.54. Dental practice - Diagnosis via the Internet.&nbsp;</span></p> <p><span class="cls0">Any person conducting a diagnosis for the purpose of prescribing medication or treatment or any other action determined to be a dental practice as defined by the State Dental Act, via the Internet or other telecommunications device on any patient that is physically located in this state shall hold a valid Oklahoma state dental license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 270, &sect; 13, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.55. Death of patient - Notification of Board.&nbsp;</span></p> <p><span class="cls0">All licensees engaged in the practice of dentistry in this state shall notify the Board within twenty-four (24) hours of the discovery of a death of a patient or an emergency hospital visit causally related to the practice of dentistry by the licensee. A licensee shall submit a complete report to the Board of any fatality or serious injury occurring during the practice of dentistry or the discovery of the death of a patient whose death is causally related to the practice of dentistry by the licensee within thirty (30) days of such occurrence.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 270, &sect; 14, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.56. Unauthorized or forged prescribing of controlled dangerous substances.&nbsp;</span></p> <p><span class="cls0">Every dentist shall have a duty to guard against the illegal diversion and unauthorized or forged prescribing of controlled dangerous substances while practicing dentistry and shall:&nbsp;</span></p> <p><span class="cls0">1. Notify the Board within twenty-four (24) hours of discovery that an employee or other person, known or unknown, has forged or authorized without the dentist&rsquo;s permission, a prescription via a telecommunications device, electronic prescribing device, written prescription, or otherwise communicated or transferred information with the intent of allowing a person to obtain a controlled dangerous substance in the dentist&rsquo;s name or by any identifiable license number of the dentist;&nbsp;</span></p> <p><span class="cls0">2. Maintain all written prescription pads in a safe place while practicing dentistry and shall ensure such prescription pads are not directly accessible to patients;&nbsp;</span></p> <p><span class="cls0">3. Ensure that all prescriptions issued shall clearly identify the name and current address of the issuing dentist; and&nbsp;</span></p> <p><span class="cls0">4. Not issue a prescription on a prescribing form in a preprinted format that lists the name of another dentist not presently licensed by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 270, &sect; 15, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-328.60. Citation - Subsequent enactments.&nbsp;</span></p> <p><span class="cls0">A. Part 2 of Chapter 7 of this title shall be known and may be cited as the "Oklahoma Dental Mediation Act".&nbsp;</span></p> <p><span class="cls0">B. All statutes hereinafter enacted and codified in Part 2 of Chapter 7 of this title shall be considered and deemed part of the Oklahoma Dental Mediation Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 1, emerg. eff. May 21, 1991. Amended by Laws 1996, c. 2, &sect; 19, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.61. Declaration of public policy.&nbsp;</span></p> <p><span class="cls0">It is the declared public policy of the State of Oklahoma that the provision of quality dental health care is essential to the well-being of all citizens of this state, as is the expeditious resolution of disputes relating to dental treatment. The monitoring and assessment of dental services through a mediation system is an efficient and reasonable method of providing an alternative dispute resolution mechanism for patient-dentist disputes while also promoting quality health care that addresses patients' concerns about the quality of treatment. The Legislature, therefore, declares that for the public good, and the general welfare of the citizens of this state, the enactment of the Oklahoma Dental Mediation Act is required.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 2, emerg. eff. May 21, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.62. Definitions - Mediation committee - Powers.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Dental Mediation Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Board of Dentistry;&nbsp;</span></p> <p><span class="cls0">2. "Dentist" means a graduate of an accredited dental college who has been licensed by the Board to practice dentistry, as defined in Section 328.19 of this title; and&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;3. "Mediation committee" means a committee of persons duly constituted of or appointed by any voluntary dental association, voluntary dental society, or the Board. The mediation committee is authorized, upon receiving a written request for a review, to conduct a review of the complaints or requests for review of persons, the treatment performed by a dentist and, where appropriate, hold hearings and conduct personal examinations of dental treatment of patients. The mediation committee may, but shall not be obligated to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;evaluate the quality of health care services provided by the dentist being reviewed,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;determine whether health care services rendered were professionally indicated or were performed in compliance with the applicable standards of care,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;where appropriate, determine whether the cost of health care rendered was considered reasonable given the circumstances of the particular case,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;evaluate the quality and timeliness of health care services rendered by a dentist for a patient, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;recommend to the parties, a method of settlement, for their acceptance or rejection.&nbsp;</span></p> <p><span class="cls0">Any decision by the mediation committee not to review a matter shall be communicated by the committee to the affected persons within thirty (30) days after the committee has received the material submitted pursuant to Section 328.65 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 3, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 1, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.63. Protection from liability of mediation committee.&nbsp;</span></p> <p><span class="cls0">A. A mediation committee, entities creating such mediation committees, members and staff of such mediation committee, and other persons who assist such mediation committees shall not be liable in any way for damages or injunctive relief under any law of this state with respect to any action taken in good faith by such mediation committee.&nbsp;</span></p> <p><span class="cls0">B. Any person who supplies information to a mediation committee in good faith and with reasonable belief that such information is true shall not be liable in any way for damages or injunctive relief under any law of this state with respect to giving such information to the mediation committee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 4, emerg. eff. May 21, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.64. Proceedings of mediation committee privileged - Exceptions.&nbsp;</span></p> <p><span class="cls0">A. Except as provided in subsections B and C of this section, any reports, statements, memoranda, proceedings, findings, or other records of mediation committees shall be privileged and shall not be subject to discovery, subpoena or other means of legal compulsion for their release to any person or entity and shall not be admissible in evidence in any judicial or administrative proceeding. Nor shall any participants in the mediation process be compelled to disclose the proceedings of the mediation committee by deposition, interrogatories, requests for admission, or other means of legal compulsion for use as evidence in any judicial or administrative proceeding. This privilege may be claimed by the legal entity creating the mediation committee, the mediation committee, the individual members of the mediation committee, the dentist whose conduct is being examined, the patient requesting mediation and any witnesses testifying before or supplying information to the mediation committee. Such privilege shall only protect information derived from the mediation proceedings and shall not restrict discovery directed to the dentist who treated the patient, even though the testimony or records of the dentist have become part of the mediation record.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this section shall limit the authority, which may otherwise be provided by law, of the Board of Dentistry to obtain records of proceedings of the mediation committee for use:&nbsp;</span></p> <p><span class="cls0">1. In conjunction with the determination of appeals of mediation committee recommendations;&nbsp;</span></p> <p><span class="cls0">2. In an investigation being conducted by a review panel of the Board, pursuant to Section 328.43a of this title; or&nbsp;</span></p> <p><span class="cls0">3. In an individual proceeding being conducted by the Board, pursuant to Section 328.44a of this title.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this section shall limit the authority, which may otherwise be provided by law, of the Attorney General of the State of Oklahoma, a District Attorney, or a United States Attorney to obtain records of proceedings of the mediation committee for use in investigations or litigation, conducted by the State of Oklahoma or the federal government.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 5, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 2, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.65. Review of course of treatment rendered by a dentist - Election by patient - Submission of statement by dentist.&nbsp;</span></p> <p><span class="cls0">A patient may voluntarily seek review of a course of treatment rendered by a dentist. Such review is not mandatory or required prior to the initiation of litigation and the Oklahoma Dental Mediation Act shall in no way limit the patient's access to the courts nor in any way require the patient to participate in mediation proceedings as a prerequisite to initiating suit. If the patient elects to participate in the mediation procedure, the patient must file a written request for the review with a mediation committee in accordance with such rules that the organizations appointing the mediation committee may prescribe. In the request for review, the patient must provide the mediation committee with a true and correct statement of all material facts relating to the course of treatment complained of, the nature of the complaint, and the requested relief sought, in addition to any other requirements that may be prescribed by rule.&nbsp;</span></p> <p><span class="cls0">The dentist shall thereafter submit a true and correct statement of all material facts relating to the course of treatment complained of, the nature of the complaint, and the dentist's recommended action, if any, in addition to any other requirements that may be prescribed by rule.&nbsp;</span></p> <p><span class="cls0">The material submitted by the patient and dentist shall be provided by the committee to the opposing party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 6, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 3, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.66. Recommendations of mediation committee.&nbsp;</span></p> <p><span class="cls0">Written recommendations of a mediation committee rendered pursuant to a request for review shall be given to the patient and the dentist concerned, by delivery thereof or by mailing such recommendations to the last-known address of each. The recommendations of the mediation committee shall not be binding on the patient or the dentist, but shall provide an objective assessment of the facts and the course of treatment rendered, and shall include, when appropriate, a proposed remedy or solution to the complaint presented in the request for review.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 7, emerg. eff. May 21, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.67. Appeal to state mediation appeals committee.&nbsp;</span></p> <p><span class="cls0">The patient or dentist may appeal the recommendation of the mediation committee to an appellate body to be known as the state mediation appeals committee. A request for an appeal shall be timely filed and conducted in accordance with the prescribed rules. A party must first request an appeal with the state mediation appeals committee before proceeding with a final appeal to the Board of Dentistry. If no intermediate appeal is provided by the applicable mediation program rules, a party may proceed directly to a final appeal before the Board of Dentistry, pursuant to Section 328.68 of this title. The state mediation appeals committee may either affirm, modify or reverse the recommendation of the mediation committee, and shall issue its written nonbinding recommendation to the parties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 8, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 4, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.68. Request for final appeal.&nbsp;</span></p> <p><span class="cls0">The patient or dentist may file a request for a final appeal of a recommendation of the mediation committee or a recommendation of the state mediation appeals committee to the Board of Dentistry within thirty (30) days after the date of mailing of the mediation committee recommendation or the state mediation appeals committee recommendation. If such recommendation is not mailed, a patient or dentist may file a request for a final appeal within thirty (30) days after the date of delivery of such recommendation to the appealing party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 9, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 5, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.69. Review and hearing by the Board of Governors of Registered Dentists.&nbsp;</span></p> <p><span class="cls0">The Board of Dentistry shall review the record of the mediation committee recommendation and the state mediation appeals committee in determining any final appeal. The Board may conduct a formal hearing upon the request of a party or upon its own initiative and may affirm, modify, or reverse the recommendation appealed. Any formal hearing shall be conducted by one or more members of the Board as it may determine, and a hearing shall be conducted in accordance with such rules as it may prescribe. The action of the Board in ruling upon the appealed recommendation shall constitute a final nonappealable decision, however, the final recommendation of the Board shall not be binding on the parties involved in the dispute.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 10, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 6, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.70. Reasonable procedural rules to be followed.&nbsp;</span></p> <p><span class="cls0">The mediation committee, the state mediation appeals committee, and the Board of Dentistry shall not be bound by common law or statutory rules of evidence or by technical rules of procedure, but any hearing shall be conducted in such manner as to ascertain the substantial rights of the parties. Mediation committees, state mediation appeals committees, and the Board shall apply reasonable procedural rules consistent with the provisions of the Oklahoma Dental Mediation Act. Each governing organization which is involved in the formation of mediation committees as described in paragraph 3 of Section 328.62 of this title shall adopt and, from time to time, may modify and amend rules of procedure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 11, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 7, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.71. Appeals proceedings privileged and protected from liability - Admissibility of findings or recommendations during hearing or trial of litigation.&nbsp;</span></p> <p><span class="cls0">A. The protections of Section 328.64 of this title relating to the records created by mediation committees shall apply equally to any records, documents, or proceedings produced in any appeal of a mediation committee recommendation or a state mediation appeals committee recommendation, and protections from liability contained in Section 328.63 of this title shall apply equally to persons conducting or participating in appeal proceedings.&nbsp;</span></p> <p><span class="cls0">B. Neither the whole nor any portion of the findings or recommendations of a mediation committee, state mediation appeals committee, or the Board of Dentistry shall be introduced or admissible during any hearing or trial of litigation brought by the patient, unless both patient and dentist, after the court filing of a petition/complaint agree that the whole or a portion of the findings of the mediation committee, state mediation appeals committee, or the Board will be introduced or admitted during a hearing or trial.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 12, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 8, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.72. Implied repeal by subsequent legislation - Election out from federal coverage and reporting requirements.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Dental Mediation Act being a general act intended as a unified coverage of the subject matter, no part of it shall be deemed to be impliedly repealed by subsequent legislation if such construction can reasonably be avoided. This legislation affirmatively elects out, to the extent permitted by law, from the coverage and reporting requirements of the federal legislation, PL 99-660, with respect to all persons practicing dentistry in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 13, emerg. eff. May 21, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-328.73. Election of remedies - Patient's rights.&nbsp;</span></p> <p><span class="cls0">A. A person may pursue any remedy now available through the courts, without first utilizing the provisions of the Oklahoma Dental Mediation Act.&nbsp;</span></p> <p><span class="cls0">B. No provisions of the Oklahoma Dental Mediation Act shall in any manner limit, alter, modify, delay, compromise or otherwise affect in any respect a patient's right to initiate litigation for relief.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 213, &sect; 14, emerg. eff. May 21, 1991. Amended by Laws 1997, c. 203, &sect; 9, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353. Short title - Purpose - Declaration of pharmacy as profession.&nbsp;</span></p> <p><span class="cls0">A. Sections 353 through 366 of Title 59 of the Oklahoma Statutes shall be known and may be cited as the "Oklahoma Pharmacy Act".&nbsp;</span></p> <p><span class="cls0">B. It is the purpose of the Oklahoma Pharmacy Act to promote, preserve and protect the public health, safety and welfare by and through the effective control and regulation of the practice of pharmacy and of the registration of drug outlets engaged in the manufacture, production, sale and distribution of dangerous drugs, medication, devices and such other materials as may be used in the diagnosis and treatment of injury, illness and disease.&nbsp;</span></p> <p><span class="cls0">C. In recognition of and consistent with the decisions of the appellate courts of this state, the practice of pharmacy is hereby declared to be a profession.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 120, &sect; 1. Amended by Laws 1993, c. 199, &sect; 1, emerg. eff. May 24, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.1. Definitions.&nbsp;</span></p> <p><span class="cls0">For the purposes of the Oklahoma Pharmacy Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Accredited program&rdquo; means those seminars, classes, meetings, work projects and other educational courses approved by the Board for purposes of continuing professional education;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Administer&rdquo; means the direct application of a drug, whether by injection, inhalation, ingestion or any other means, to the body of a patient;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Assistant pharmacist&rdquo; means any person presently licensed as an assistant pharmacist in the State of Oklahoma by the Board pursuant to Section 353.10 of this title and for the purposes of this act shall be considered the same as a pharmacist, except where otherwise specified;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Board&rdquo; or &ldquo;State Board&rdquo; means the State Board of Pharmacy;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Chemical&rdquo; means any medicinal substance, whether simple or compound or obtained through the process of the science and art of chemistry, whether of organic or inorganic origin;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Compounding&rdquo; means the preparation, mixing, assembling, packaging, or labeling of a drug or device:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;in accordance with a licensed practitioner's prescription drug order under an initiative based on the practitioner/patient/pharmacist relationship in the course of professional practice, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;for the purpose of, or incident to, research, teaching, or chemical analysis and not for sale or dispensing.&nbsp;</span></p> <p><span class="cls0">Compounding includes the preparation of drugs or devices in anticipation of prescription drug orders based on routine, regularly observed prescribing patterns;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Continuing professional education&rdquo; means professional, pharmaceutical education in the general areas of the socioeconomic and legal aspects of health care; the properties and actions of drugs and dosage forms; and the etiology, characteristics and therapeutics of the diseased state;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Dangerous drug&rdquo;, &ldquo;legend drug&rdquo;, &ldquo;prescription drug&rdquo; or &ldquo;Rx Only&rdquo; means a drug which:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;under federal law, is required, prior to being dispensed or delivered, to be labeled with one of the following statements:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;"Caution: Federal law prohibits dispensing without prescription",&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;"Caution: Federal law restricts this drug to use by or on the order of a licensed veterinarian", or&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;&ldquo;Rx Only&rdquo;, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is required by any applicable federal or state law or regulation to be dispensed on prescription only or is restricted to use by licensed practitioners only;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Dispense&rdquo; or &ldquo;dispensing&rdquo; means the interpretation, evaluation, and implementation of a prescription drug order, including the preparation and delivery of a drug or device to a patient or a patient&rsquo;s agent in a suitable container appropriately labeled for subsequent administration to, or use by, a patient. Dispense includes sell, distribute, leave with, give away, dispose of, deliver or supply;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Doctor of Pharmacy&rdquo; means a person licensed by the Board to engage in the practice of pharmacy. The terms "pharmacist" and "Doctor of Pharmacy" shall be interchangeable and shall have the same meaning wherever they appear in the Oklahoma Statutes and the rules promulgated by the Board;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Drug outlet&rdquo; means all pharmacies, wholesalers, manufacturers and facilities which are engaged in dispensing, delivery, distribution or storage of dangerous drugs;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Drugs&rdquo; means all medicinal substances and preparations recognized by the United States Pharmacopoeia and National Formulary, or any revision thereof, and all substances and preparations intended for external and/or internal use in the cure, diagnosis, mitigation, treatment or prevention of disease in humans or animals and all substances and preparations, other than food, intended to affect the structure or any function of the body of a human or animals;&nbsp;</span></p> <p><span class="cls0">13. &ldquo;Filled prescription&rdquo; means a packaged prescription medication to which a label has been affixed which contains such information as is required by the Oklahoma Pharmacy Act;&nbsp;</span></p> <p><span class="cls0">14. &ldquo;Hospital&rdquo; means any institution licensed as a hospital by this state for the care and treatment of patients;&nbsp;</span></p> <p><span class="cls0">15. &ldquo;Licensed practitioner&rdquo; means an allopathic physician, osteopathic physician, podiatric physician, dentist, veterinarian or optometrist licensed to practice and authorized to prescribe dangerous drugs within the scope of practice of such practitioner;&nbsp;</span></p> <p><span class="cls0">16. &ldquo;Manufacturer&rdquo; means a person engaged in the manufacturing of drugs;&nbsp;</span></p> <p><span class="cls0">17. &ldquo;Manufacturing&rdquo; means the production, preparation, propagation, compounding, conversion or processing of a device or a drug, either directly or indirectly by extraction from substances of natural origin or independently by means of chemical or biological synthesis and includes any packaging or repackaging of the substances or labeling or relabeling of its container, and the promotion and marketing of such drugs or devices. The term &ldquo;manufacturing&rdquo; also includes the preparation and promotion of commercially available products from bulk compounds for resale by licensed pharmacies, licensed practitioners or other persons;&nbsp;</span></p> <p><span class="cls0">18. &ldquo;Medical gas&rdquo; means those gases including those in liquid state upon which the manufacturer or distributor has placed one of several cautions, such as &ldquo;Rx Only&rdquo;, in compliance with federal law;&nbsp;</span></p> <p><span class="cls0">19. &ldquo;Medical gas order&rdquo; means an order for medical gas issued by a licensed medical practitioner;&nbsp;</span></p> <p><span class="cls0">20. &ldquo;Medical gas distributor&rdquo; means a person licensed to distribute, transfer, wholesale, deliver or sell medical gases on drug orders to suppliers or other entities licensed to use, administer or distribute medical gas and may also include a patient or ultimate user;&nbsp;</span></p> <p><span class="cls0">21. &ldquo;Medical gas supplier&rdquo; means a person who dispenses medical gases on drug orders only to a patient or ultimate user;&nbsp;</span></p> <p><span class="cls0">22. &ldquo;Medicine&rdquo; means any drug or combination of drugs which has the property of curing, preventing, treating, diagnosing or mitigating diseases, or which is used for that purpose;&nbsp;</span></p> <p><span class="cls0">23. &ldquo;Nonprescription drugs&rdquo; means medicines or drugs which are sold without a prescription and which are prepackaged for use by the consumer and labeled in accordance with the requirements of the statutes and regulations of this state and the federal government. Such items shall also include medical and dental supplies and bottled or nonbulk chemicals which are sold or offered for sale to the general public if such articles or preparations meet the requirements of the Federal Food, Drug and Cosmetic Act, 21 U.S.C.A., Section 321 et seq.;&nbsp;</span></p> <p><span class="cls0">24. &ldquo;Packager&rdquo; means any person, firm or corporation, except a pharmacy, who transfers dangerous drugs including, but not limited to, compressed medical gases from one container to another of any type;&nbsp;</span></p> <p><span class="cls0">25. &ldquo;Person&rdquo; means an individual, partnership, limited liability company, corporation or association, unless the context otherwise requires;&nbsp;</span></p> <p><span class="cls0">26. &ldquo;Pharmacy&rdquo; means a place regularly licensed by the Board of Pharmacy in which prescriptions, drugs, medicines, chemicals and poisons are compounded or dispensed;&nbsp;</span></p> <p><span class="cls0">27. &ldquo;Poison&rdquo; means any substance which when introduced into the body, either directly or by absorption, produces violent, morbid or fatal changes, or which destroys living tissue with which such substance comes into contact;&nbsp;</span></p> <p><span class="cls0">28. &ldquo;Practice of pharmacy&rdquo; means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the interpretation and evaluation of prescription orders,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the compounding, dispensing, administering and labeling of drugs and devices, except labeling by a manufacturer, packer or distributor of nonprescription drugs and commercially packaged legend drugs and devices,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the participation in drug selection and drug utilization reviews,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the proper and safe storage of drugs and devices and the maintenance of proper records thereof,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;the responsibility for advising by counseling and providing information, where professionally necessary or where regulated, of therapeutic values, content, hazards and use of drugs and devices,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;the offering or performing of those acts, services, operations or transactions necessary in the conduct, operation, management and control of a pharmacy, and&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;the provision of those acts or services that are necessary to provide pharmaceutical care;&nbsp;</span></p> <p><span class="cls0">29. &ldquo;Prescription&rdquo; means and includes any order for drug or medical supplies written or signed, or transmitted by word of mouth, telephone or other means of communication by:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a licensed practitioner of allopathic or osteopathic medicine, dentistry, podiatry, optometry, or veterinary medicine, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;under the supervision of an Oklahoma licensed physician, an Oklahoma licensed advanced practice nurse or an Oklahoma licensed physician assistant, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an Oklahoma licensed wholesaler or distributor as authorized in subsection G of Section 353.13 of this title;&nbsp;</span></p> <p><span class="cls0">30. &ldquo;Professional samples&rdquo; means complimentary drugs packaged in accordance with federal and state statutes and regulations;&nbsp;</span></p> <p><span class="cls0">31. &ldquo;Supervising physician&rdquo; means an individual holding a current license to practice as a physician from the State Board of Medical Licensure and Supervision, pursuant to the provisions of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, or the State Board of Osteopathic Examiners, pursuant to the provisions of the Oklahoma Osteopathic Medicine Act, who supervises an advanced practice nurse as defined in Section 567.3a of this title, and who is not in training as an intern, resident, or fellow. To be eligible to supervise an advanced practice nurse, such physician shall remain in compliance with the rules promulgated by the State Board of Medical Licensure and Supervision or the State Board of Osteopathic Examiners;&nbsp;</span></p> <p><span class="cls0">32. &ldquo;Supportive personnel&rdquo; means technicians and auxiliary supportive persons who are regularly paid employees of a pharmacy who work and perform tasks in the pharmacy as authorized by Section 353.29 of this title; and&nbsp;</span></p> <p><span class="cls0">33. &ldquo;Wholesaler&rdquo; or &ldquo;distributor&rdquo; means a person engaged in the business of distributing dangerous drugs or medicines at wholesale to pharmacies, hospitals, practitioners, government agencies or other lawful drug outlets permitted to sell or use drugs or medicines, or as authorized in subsection G of Section 353.13 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 445, &sect; 1, emerg. eff. May 22, 1961. Amended by Laws 1973, c. 146, &sect; 1, emerg. eff. May 14, 1973; Laws 1984, c. 27, &sect; 1, emerg. eff. March 22, 1984; Laws 1987, c. 20, &sect; 1, eff. Nov. 1, 1987; Laws 1993, c. 199, &sect; 2, emerg. eff. May 24, 1993; Laws 1996, c. 186, &sect; 1, eff. Nov. 1, 1996; Laws 1998, c. 128, &sect; 1, eff. Nov. 1, 1998; Laws 2001, c. 400, &sect; 6, eff. Nov. 1, 2001; Laws 2002, c. 22, &sect; 19, emerg. eff. March 8, 2002; Laws 2002, c. 408, &sect; 1, emerg. eff. June 5, 2002; Laws 2004, c. 523, &sect; 16, emerg. eff. June 9, 2004; Laws 2005, c. 18, &sect; 1, eff. Nov. 1, 2005; Laws 2009, c. 321, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2001, c. 281, &sect; 2 repealed by Laws 2002, c. 22, &sect; 34, emerg. eff. March 8, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.1a. Advanced practice nurses - Prescribing authority.&nbsp;</span></p> <p><span class="cls0">Prescribing authority shall be allowed, under the medical direction of a supervising physician, for an advanced practice nurse recognized by the Oklahoma Board of Nursing in one of the following categories: advanced registered nurse practitioners, clinical nurse specialists, or certified nurse-midwives. The advanced practice nurse may write or sign, or transmit by word of mouth, telephone or other means of communication an order for drugs or medical supplies that is intended to be filled, compounded, or dispensed by a pharmacist. The supervising physician and the advanced practice nurse shall be identified at the time of origination of the prescription and the name of the advanced practice nurse shall be printed on the prescription label.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 186, &sect; 2, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.1b. Certified registered nurse anesthetist - Prescribing authority.&nbsp;</span></p> <p><span class="cls0">A certified registered nurse anesthetist has authority to order, select, obtain and administer drugs pursuant to rules adopted by the Oklahoma Board of Nursing, only when engaged in the preanesthetic preparation or evaluation; anesthesia induction, maintenance or emergence; or postanesthesia care practice of nurse anesthesia. A certified registered nurse anesthetist may order, select, obtain and administer drugs only during the perioperative or periobstetrical period.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1997, c. 250, &sect; 1, eff. Nov. 1, 1997. Amended by Laws 2009, c. 321, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.2. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.3. Board of Pharmacy - Membership - Qualifications - Terms of office - Appointments.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Pharmacy shall consist of six (6) persons, five who shall be licensed as pharmacists by this state and one who shall be a public member.&nbsp;</span></p> <p><span class="cls0">1. The pharmacist members shall be appointed by the Governor by and with the advice and consent of the Senate and shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be registered and in good standing in the State of Oklahoma,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;have been actively engaged in the practice of pharmacy within this state for a period of not less than five (5) years immediately prior to serving on the Board.&nbsp;</span></p> <p><span class="cls0">2. The public member shall be appointed by the Governor and shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be a resident of the State of Oklahoma for not less than five (5) years, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;not be a pharmacist or be related by blood or marriage within the third degree of consanguinity to a pharmacist.&nbsp;</span></p> <p><span class="cls0">B. The present members of the Board shall continue to serve the remainder of their terms. Successors shall be appointed for a term of five (5) years. The public member of the Board shall serve a term coterminous with the Governor and shall serve at the pleasure of the Governor. The terms of the members of the Board shall expire on the 30th day of June of the year designated for the expiration of the term for which appointed but the member shall serve until a qualified successor has been duly appointed. No person shall be appointed to serve more than two consecutive terms. Said appointments shall be made from a list of ten (10) names representative of the pharmacy profession submitted annually by the Executive Director of the Oklahoma Pharmaceutical Association after an election has been held by mail ballot.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 446, &sect; 3, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 3, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 3, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.4. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.5. State Board of Pharmacy &ndash; Elections and terms - Executive Director.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Pharmacy shall annually elect a president and vice-president of the Board. The president and vice-president shall serve for a term of one (1) year and shall perform the duties prescribed by the Board. The Board shall employ an Executive Director who is a licensed pharmacist or is eligible to become a licensed pharmacist in this state. The Executive Director shall perform such duties as required by the Board.&nbsp;</span></p> <p><span class="cls0">B. Each member of the Board shall receive necessary travel expenses incurred in the discharge of official duties pursuant to the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">C. The Executive Director of the Board shall receive an annual salary to be fixed by the Board. The Board shall determine and base the annual salary of the Executive Director upon data obtained from a survey of U. S. regional average annual salaries for licensed pharmacists, compiled and published each year by the National Community Pharmacist&rsquo;s Association.&nbsp;</span></p> <p><span class="cls0">D. The Executive Director shall:&nbsp;</span></p> <p><span class="cls0">1. Deposit funds with the State Treasurer to be expended in the manner and for the purposes provided by law; and&nbsp;</span></p> <p><span class="cls0">2. Report to the Board each month, presenting an accurate account as to the funds of the Board and make available written and acknowledged claims for all disbursements made.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 447, &sect; 5, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 4, emerg. eff. May 24, 1993; Laws 2005, c. 419, &sect; 2, eff. July 1, 2005; Laws 2009, c. 321, &sect; 4, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.6. Meetings for examination of applicants - Notice.&nbsp;</span></p> <p><span class="cls0">Meetings for the examination of applicants for licensing and granting of certificates shall be held at least one time each year at a time and place to be fixed by the State Board of Pharmacy. At least ten (10) days' notice shall be publicly given of the time and place of each meeting at which there is an examination of candidates for licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 447, &sect; 6, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 5, emerg. eff. May 24, 1993; Laws 1997, c. 250, &sect; 2, eff. Nov. 1, 1997; Laws 2009, c. 321, &sect; 5, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.7. State Board of Pharmacy - Powers.&nbsp;</span></p> <p><span class="cls0">The State Board of Pharmacy shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Regulate the practice of pharmacy;&nbsp;</span></p> <p><span class="cls0">2. Regulate the sale of drugs, medicines, chemicals and poisons;&nbsp;</span></p> <p><span class="cls0">3. Regulate the dispensing of drugs and medicines in all places where drugs and medicines are compounded and/or dispensed;&nbsp;</span></p> <p><span class="cls0">4. Enter and inspect, by its members or by its duly authorized representatives, any and all places, including premises, equipment, contents and records, where drugs, medicines, chemicals or poisons are stored, sold, vended, given away, compounded, dispensed or manufactured;&nbsp;</span></p> <p><span class="cls0">5. Administer oaths in all matters pertaining to the affairs of the Board and to take evidence and compel the attendance of witnesses on questions pertaining to the enforcement of the Oklahoma Pharmacy Act;&nbsp;</span></p> <p><span class="cls0">6. Employ the number of inspectors and/or pharmacist compliance officers necessary to carry out the provisions of the Oklahoma Pharmacy Act at an annual salary to be fixed by the Board, and to authorize necessary expenses. Such inspectors shall have the same powers and authority as that granted to peace officers by the laws of this state for the purpose of enforcing the Oklahoma Pharmacy Act. In addition, such inspectors or pharmacist compliance officers shall have the authority to take and copy records and the duty to confiscate all drugs, medicines, chemicals or poisons found to be stored, sold, vended, given away, compounded, dispensed or manufactured contrary to the provisions of the Oklahoma Pharmacy Act;&nbsp;</span></p> <p><span class="cls0">7. Prescribe minimum standards with respect to floor space and other physical characteristics of pharmacies and hospital drug rooms as may be reasonably necessary to the maintenance of professional surroundings and to the protection of the safety and welfare of the public, and to refuse the issuance of new or renewal licenses for failure to comply with such standards. Minimum standards for hospital drug rooms shall be consistent with the State Department of Health, Hospital Standards, as defined in OAC 310:667;&nbsp;</span></p> <p><span class="cls0">8. Examine and issue appropriate certificates of licensure as Doctor of Pharmacy to all applicants who the Board deems are qualified to be such under the provisions of the Oklahoma Pharmacy Act;&nbsp;</span></p> <p><span class="cls0">9. Investigate complaints, hold hearings and subpoena witnesses and records;&nbsp;</span></p> <p><span class="cls0">10. Initiate prosecution;&nbsp;</span></p> <p><span class="cls0">11. Reprimand, place on probation, suspend, revoke or take other disciplinary action and/or levy fines not to exceed Three Thousand Dollars ($3,000.00) for each count for which any holder of a certificate, license or permit has been convicted in Board hearings. The Board may impose as part of any disciplinary action the payment of costs expended by the Board for any legal fees and costs, including, but not limited to, staff time, salary and travel expense, witness fees and attorney fees. The Board may also require additional continuing education, including attendance at a live continuing education program, and may require participation in a rehabilitation program for the impaired. The Board may take such actions singly or in combination, as the nature of the violation requires;&nbsp;</span></p> <p><span class="cls0">12. Adopt and establish rules of professional conduct appropriate to the establishment and maintenance of a high standard of integrity and dignity in the profession of pharmacy. Such rules shall be subject to amendment or repeal by the Board as the need may arise;&nbsp;</span></p> <p><span class="cls0">13. Perform such other duties, exercise such other powers and employ such other personnel as the provisions and enforcement of the Oklahoma Pharmacy Act may require;&nbsp;</span></p> <p><span class="cls0">14. Make and publish uniform rules such as may be necessary for carrying out and enforcing the provisions of the Oklahoma Pharmacy Act, Oklahoma drug laws and rules, federal drug laws and regulations, and make such other rules as in its discretion may be necessary to protect the health, safety and welfare of the public;&nbsp;</span></p> <p><span class="cls0">15. Establish and collect appropriate fees for licenses, permits, inspections and services provided and such fees shall be nonrefundable. Such fees shall be promulgated to implement the provisions of the Oklahoma Pharmacy Act under the provisions of the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">16. Regulate:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;personnel working in a pharmacy, such as interns and supportive personnel, including technicians,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;interns, preceptors and training areas through which the training of applicants in the practice of pharmacy occurs for licensure as a pharmacist, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;such persons regarding all aspects relating to the handling of drugs, medicines, chemicals and poisons; and&nbsp;</span></p> <p><span class="cls0">17. Acquire by purchase, lease, gift, solicitation of gift or by any other manner, and to maintain, use and operate or to contract for the maintenance, use and operation of or lease of any and all property of any kind, real, personal or mixed or any interest therein unless otherwise provided by the Oklahoma Pharmacy Act; provided, all contracts for real property shall be subject to the provisions of Section 63 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 447, &sect; 7, emerg. eff. May 22, 1961. Amended by Laws 1976, c. 83, &sect; 1, emerg. eff. May 3, 1976; Laws 1982, c. 172, &sect; 2, emerg. eff. April 16, 1982; Laws 1993, c. 199, &sect; 6, emerg. eff. May 24, 1993; Laws 1997, c. 250, &sect; 3, eff. Nov. 1, 1997; Laws 2001, c. 281, &sect; 3, eff. Nov. 1, 2001; Laws 2002, c. 408, &sect; 2, emerg. eff. June 5, 2002; Laws 2004, c. 523, &sect; 17, emerg. eff. June 9, 2004; Laws 2009, c. 321, &sect; 6, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.8. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.9. Licensed pharmacists - Qualifications - Applications for examination - Fees - Certification.&nbsp;</span></p> <p><span class="cls0">A. Licensed pharmacists shall be persons regularly licensed as such in the State of Oklahoma on or before the effective date of this act. All other qualified persons may become licensed as a Doctor of Pharmacy upon passing an examination approved by the State Board of Pharmacy. Before any applicant is allowed to sit for such examinations, such applicant shall submit to the Board sufficient proof that the applicant:&nbsp;</span></p> <p><span class="cls0">1. Is of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Is a graduate of an accredited School or College of Pharmacy approved by the Board, or is a foreign pharmacy school graduate who has received an FPGEC equivalency certification by the National Association of Boards of Pharmacy; and&nbsp;</span></p> <p><span class="cls0">3. Has attained experience in the practice of pharmacy, obtained in a place and in a manner prescribed and approved by the Board.&nbsp;</span></p> <p><span class="cls0">B. Interns, preceptors and training areas shall make application for a license, and shall pay a fee set by the Board, not to exceed One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">C. All applicants shall make application in the form and manner prescribed by the Board, and deposit with the Executive Director of the Board a fee set by the Board not to exceed Two Hundred Fifty Dollars ($250.00) plus the purchase price of the examination. Upon passing an examination and meeting such other requirements specified by the Board pursuant to the Oklahoma Pharmacy Act, the applicant shall be granted an appropriate certificate setting forth the qualifications to practice pharmacy. Any applicant failing an examination shall not sit for an additional examination until such applicant has made a new application and paid the fee provided herein.&nbsp;</span></p> <p><span class="cls0">D. The Board shall have the power to issue reciprocal certificates of licensure to applicants licensed in other states having like requirements. Such applicants shall be charged a fee not to exceed Two Hundred Fifty Dollars ($250.00).&nbsp;</span></p> <p><span class="cls0">E. The Board shall have the power to issue original certificates of licensure to applicants for the score transfer process administered by the National Association of Boards of Pharmacy; provided, such applicants shall provide sufficient proof of compliance with the requirements of paragraphs 1 through 3 of subsection A of this section. Such applicants shall be charged a fee not to exceed Two Hundred Fifty Dollars ($250.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 448, &sect; 9, emerg. eff. May 22, 1961. Amended by Laws 1976, c. 83, &sect; 3, emerg. eff. May 3, 1976; Laws 1981, c. 75, &sect; 1, emerg. eff. April 16, 1981; Laws 1987, c. 65, &sect; 1, eff. Nov. 1, 1987; Laws 1988, c. 30, &sect; 1, eff. Nov. 1, 1988; Laws 1993, c. 199, &sect; 7, emerg. eff. May 24, 1993; Laws 1994, c. 43, &sect; 1, emerg. eff. April 11, 1994; Laws 2004, c. 523, &sect; 18, emerg. eff. June 9, 2004; Laws 2009, c. 321, &sect; 7, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.10. Assistant pharmacists.&nbsp;</span></p> <p><span class="cls0">A. Any person who was licensed as an assistant pharmacist before July 27, 1961, and who met the standards and requirements for licensure pursuant to the Oklahoma Pharmacy Act may practice as an assistant pharmacist.&nbsp;</span></p> <p><span class="cls0">B. Assistant pharmacists shall not manage a pharmacy.&nbsp;</span></p> <p><span class="cls0">C. Every assistant pharmacist shall meet the same requirements for pharmacists listed in Sections 353.11, 353.12 and 353.16A of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 449, &sect; 10, emerg. eff. May 22, 1961. Amended by Laws 1961, p. 453, &sect; 1, emerg. eff. July 27, 1961; Laws 1993, c. 199, &sect; 8, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 8, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.11. License renewal - Fee.&nbsp;</span></p> <p><span class="cls0">A. 1. Every licensed pharmacist who desires to continue in the profession of pharmacy in this state shall, on or before the expiration date of the license, complete a renewal form and remit to the State Board of Pharmacy a renewal fee for each year to be fixed by the Board. Upon compliance with the provisions of the Oklahoma Pharmacy Act and payment of such renewal fee, a renewal certificate of licensure shall be issued.&nbsp;</span></p> <p><span class="cls0">2. Every licensed pharmacist who fails to complete a renewal form and remit the required renewal fee to the Board by the fifteenth day after the expiration of the license shall pay a late fee to be fixed by the Board.&nbsp;</span></p> <p><span class="cls0">B. If any pharmacist fails or neglects to procure the renewal of his or her license, as herein required, the Board may, after the expiration of thirty (30) days following the issue of the notice, deprive the person of his or her license and all other privileges conferred by the Oklahoma Pharmacy Act. In order to regain licensure, the pharmacist shall apply in writing to the Board requesting reinstatement. The Board may require the pharmacist to appear before the Board at a regular meeting.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 449, &sect; 11, emerg. eff. May 22, 1961. Amended by Laws 1970, c. 56, &sect; 1, emerg. eff. March 16, 1970; Laws 1981, c. 75, &sect; 2, emerg. eff. April 16, 1981; Laws 1990, c. 120, &sect; 2; Laws 1993, c. 199, &sect; 9, emerg. eff. May 24, 1993; Laws 2002, c. 408, &sect; 3, emerg. eff. June 5, 2002; Laws 2004, c. 523, &sect; 19, emerg. eff. June 9, 2004; Laws 2009, c. 321, &sect; 9, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.12. Display of certificate of licensure - Discontinuance or change of place of business - Confiscation of certificates.&nbsp;</span></p> <p><span class="cls0">A. Every person upon receiving a certificate of licensure pursuant to the Oklahoma Pharmacy Act, or who has heretofore received a certificate of licensure in this state, shall keep such certificate conspicuously displayed in the pharmacy where such pharmacist is actively engaged in the practice of pharmacy or in such a location as is otherwise prescribed by the State Board of Pharmacy. The current receipt for licensure shall be attached to the lower left corner of the original certificate. Every licensed pharmacist shall, within ten (10) days after discontinuing or changing his or her place of practice, remove his or her certificate and notify the Executive Director of the Board, in writing, of his or her new place of practice. Upon receipt of the notification, the Executive Director shall make the necessary change in the Board records.&nbsp;</span></p> <p><span class="cls0">B. Any member of the Board, inspector or pharmacist compliance officer duly authorized by the Board shall have authority to confiscate and void any certificate issued by the Board which has been displayed in any place not authorized by the Board, provided that the holder of the certificate shall be entitled to a hearing before the Board and show cause why his or her certificate should not be canceled.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 449, &sect; 12, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 10, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 10, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.13. Unlawful and prohibited acts relating to pharmacists and pharmacist assistants.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person, other than a licensed pharmacist, to certify the finished prescription, as defined by the Board, before delivery to the patient or the patient's agent or care giver.&nbsp;</span></p> <p><span class="cls0">B. It shall be unlawful for any person to institute or manage a pharmacy unless such person is a licensed pharmacist, or has placed a licensed pharmacist in charge of said pharmacy.&nbsp;</span></p> <p><span class="cls0">C. No licensed pharmacist shall manage, supervise or be in charge of more than one pharmacy.&nbsp;</span></p> <p><span class="cls0">D. No pharmacist being requested to sell, furnish or compound any drug, medicine, chemical or other pharmaceutical preparation, by prescription or otherwise, shall substitute or cause to be substituted therefor, without authority of the prescriber or purchaser, any like drug, medicine, chemical or pharmaceutical preparation.&nbsp;</span></p> <p><span class="cls0">E. No proprietor of a pharmacy, or other person, shall permit the practice of pharmacy except by a licensed pharmacist or assistant pharmacist.&nbsp;</span></p> <p><span class="cls0">F. No proprietor of a pharmacy, or other person, shall subvert the authority of the pharmacist in charge of the pharmacy by impeding the management of the prescription department in compliance with federal and state pharmacy laws and regulations.&nbsp;</span></p> <p><span class="cls0">G. Nothing in the Oklahoma Pharmacy Act shall prevent veterinary prescription drugs from being shipped directly from an Oklahoma licensed wholesaler or distributor to a client; provided, such drugs may be supplied to the client only on the order of an Oklahoma licensed veterinarian and only when a valid veterinarian-client-patient relationship exists.&nbsp;</span></p> <p><span class="cls0">1. Drugs supplied pursuant to the provisions of this subsection shall not be required to be certified by a pharmacist prior to being supplied by a wholesaler or distributor.&nbsp;</span></p> <p><span class="cls0">2. It shall be a violation of state law for a client or his or her authorized agent to acquire or use any prescription drug other than according to the label and/or outside of a valid veterinarian-client-patient relationship (VCPR);&nbsp;</span></p> <p><span class="cls0">3. It shall be a violation of state law for an Oklahoma licensed wholesaler or distributor to sell a prescription-labeled drug to a client or his or her authorized agent without a valid VCPR in place; and&nbsp;</span></p> <p><span class="cls0">4. Compliance with the Oklahoma Pharmacy Act as it relates to veterinary prescription-labeled drugs shall be pursuant to rules promulgated by the Oklahoma State Board of Veterinary Medical Examiners and in consultation with the State Veterinarian in accordance with state law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 449, &sect; 13, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 11, emerg. eff. May 24, 1993; Laws 2001, c. 400, &sect; 7, eff. Nov. 1, 2001; Laws 2005, c. 18, &sect; 2, eff. Nov. 1, 2005; Laws 2009, c. 321, &sect; 11, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.13A. Prescriptions received by means other than written communication - Prescriptions for dangerous drugs and controlled dangerous substances - Prescriptions issued by licensed optometrists.&nbsp;</span></p> <p><span class="cls0">A. Prescriptions received by other than written communication shall be promptly recorded in writing by the pharmacist. The record made by the pharmacist shall constitute the original prescription to be filled by the pharmacist.&nbsp;</span></p> <p><span class="cls0">B. Pharmacists may dispense prescriptions for dangerous drugs and controlled dangerous substances specified in Section 581 of this title for ocular abnormalities prescribed by optometrists licensed by the Oklahoma Board of Examiners in Optometry. All prescriptions issued by licensed optometrists shall include the license number of the optometrist as assigned by the Oklahoma Board of Examiners in Optometry.&nbsp;</span></p> <p><span class="cls0">C. A filled prescription label shall include the name and address of the pharmacy of origin, date of filling, name of patient, name of prescriber, directions for administration, and prescription number. The symptom or purpose for which the drug is being prescribed may appear on the label, if provided by the practitioner and the patient or the patient&rsquo;s authorized representative so requests. If the symptom or purpose for which a drug is being prescribed is not provided by the practitioner, the pharmacist may fill the prescription order without contacting the practitioner, patient, or the patient&rsquo;s representative. The label shall also include the trade or generic name, and the quantity and strength of the drug therein contained, except when otherwise directed by the prescriber. This requirement shall not apply to prescriptions or medicines and drugs supplied or delivered directly to patients for consumption on the premises while admitted to any hospital or mental institution.&nbsp;</span></p> <p><span class="cls0">D. No prescription shall be written in any characters, figures or ciphers other than in the English or Latin language, generally in use among medical and pharmaceutical practitioners.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 199, &sect; 22, emerg. eff. May 24, 1993. Amended by Laws 1994, c. 52, &sect; 3, eff. July 1, 1994; Laws 2004, c. 171, &sect; 1, emerg. eff. April 28, 2004; Laws 2004, c. 523, &sect; 1, emerg. eff. June 9, 2004; Laws 2004, c. 523, &sect; 1, emerg. eff. June 9, 2004; Laws 2009, c. 321, &sect; 12, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.14. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.15. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.16. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.16A. Incapacity of pharmacist - Effect on license.&nbsp;</span></p> <p><span class="cls0">The Board may refuse to issue or renew, or may suspend, revoke or restrict the license of any pharmacist because of incapacity of a nature that prevents such pharmacist from engaging in the practice of pharmacy with reasonable skill, competence and safety to the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 199, &sect; 12, emerg. eff. May 24, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.17. Unlawful use of titles relating to pharmacy.&nbsp;</span></p> <p><span class="cls0">A. No person shall take, use or exhibit the title of pharmacist, licensed pharmacist or Doctor of Pharmacy, either expressly or by implication, except as otherwise authorized by the Oklahoma Pharmacy Act.&nbsp;</span></p> <p><span class="cls0">B. No person, firm or corporation other than one licensed under the Oklahoma Pharmacy Act shall take, use or exhibit the title "Druggist", "Doctor of Pharmacy", "R.Ph.", "D.Ph.", "Pharmacy", "Drug Store", "Drug Department", "Drugs", "Drug Sundries", "Prescriptions", or any other term, sign or device or any word in similitude thereof.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 450, &sect; 17, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 13, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 13, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.17A. Unlawful impersonation of a pharmacist.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful to impersonate a pharmacist. If a person impersonates a pharmacist and causes patient harm, then, upon conviction, it shall be a felony.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 321, &sect; 14, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.18. Sale, manufacturing or packaging of dangerous drugs, medicines, chemicals or poisons &ndash; Qualifications for licensure - Violations - Penalties.&nbsp;</span></p> <p><span class="cls0">A. 1. It shall be unlawful for any person, including, but not limited to, Internet, website or online pharmacies, to engage in selling at retail, or offering for sale, dangerous drugs, medicines, chemicals or poisons for the treatment of disease, excluding agricultural chemicals and drugs, or to accept prescriptions for same, without first procuring a license from the State Board of Pharmacy. This applies whether such sale, offer for sale or acceptance of prescriptions occurs from this state, or such sale, offer for sale, or acceptance of prescription occurs and is to be delivered, distributed or dispensed to patients or customers in this state. The provisions of this subsection shall not apply to medical gas suppliers or medical gas distributors regulated pursuant to the provisions of subsection B of this section.&nbsp;</span></p> <p><span class="cls0">2. A license shall be issued to such person as the Board shall deem qualified upon evidence satisfactory to the Board that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the place for which the license is sought will be conducted in full compliance with the law and the rules of the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the location, appointments and physical characteristics of the place are reasonably consistent with the maintenance of professional surroundings and constitute no known danger to the public health and safety,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the place will be under the management and control of a licensed pharmacist, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a licensed pharmacist will be present and on duty at all hours the pharmacy is open for business; provided, however, the provisions of this subparagraph shall not apply to a hospital drug room.&nbsp;</span></p> <p class="cls2"><span class="cls0">3.&nbsp;&nbsp;a.&nbsp;&nbsp;An application for a license issued pursuant to the provisions of this subsection shall:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;be submitted to the Board in writing, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;contain the name or names of persons owning the pharmacy.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;An application for each initial or renewal license shall be accompanied by a licensing fee not to exceed Three Hundred Dollars ($300.00) for each period of one (1) year. Prior to opening for business, all applicants for an initial license or permit shall be inspected. Applicants shall pay an inspection fee not to exceed Two Hundred Dollars ($200.00); provided, however, that no charge shall be made for the licensing of any Federal Veterans Hospital in the State of Oklahoma.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;A license issued pursuant to the provisions of this subsection shall be valid for a period set by the Board and shall contain the name of the licensee and the address of the place at which such business shall be conducted.&nbsp;</span></p> <p><span class="cls0">4. A retail pharmacy that prepares sterile therapeutic preparations that shall be free from living microorganisms (aseptic) shall obtain a pharmacy license, and shall also obtain a parenteral permit at a fee set by the Board, not to exceed Seventy-five Dollars ($75.00). Such pharmacy shall meet requirements set by the Board by rule for parenteral permits.&nbsp;</span></p> <p><span class="cls0">B. 1. It shall be unlawful for any person to manufacture, package, or wholesale any dangerous drugs, or to engage in selling, or offering for sale at retail, medical gases, except under the management and control of a licensed pharmacist or such other persons as may be approved by the Board after an investigation and determination of such person&rsquo;s qualifications. No person shall sell medical gases, or manufacture, package, or wholesale dangerous drugs offered for sale in this state without first obtaining a permit from the Board.&nbsp;</span></p> <p class="cls2"><span class="cls0">2.&nbsp;&nbsp;a.&nbsp;&nbsp;An application for an initial or renewal permit issued pursuant to the provisions of this subsection shall be:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;made in writing, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;accompanied by a permit fee not to exceed Three Hundred Dollars ($300.00) for each period of one (1) year.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Prior to opening for business, all applicants for an initial permit shall be inspected. Applicants shall pay an inspection fee not to exceed Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">3. A permit issued pursuant to the provisions of this subsection shall be valid for a period determined by the Board and shall contain the name of the permittee and the address of the place at which such business shall be conducted.&nbsp;</span></p> <p><span class="cls0">C. A licensee or permittee who, pursuant to the provisions of this section, fails to complete an application for a renewal license or permit by the fifteenth day after the expiration of the license or permit shall pay a late fee to be fixed by the Board.&nbsp;</span></p> <p><span class="cls0">D. 1. The Board shall promulgate rules regarding the issuance and renewal of licenses and permits pursuant to the Oklahoma Pharmacy Act which shall include, but need not be limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;provisions for new or renewal application requirements for both in- and out-of-state wholesale distributors, chain pharmacy warehouses and repackagers that ship into Oklahoma. Requirements for new and renewal applications, if such information has not been previously provided to the Board, may include, but need not be limited to, the following:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;type of ownership, whether individual, partnership, limited liability company or corporation,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;names of principal owners or officers and their Social Security numbers,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;names of designated managers and their Social Security numbers,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;applicant&rsquo;s and designated managers&rsquo; fingerprints,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;criminal background check information for the applicants and designated managers as required by rule,&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;a copy of the license from the applicant&rsquo;s or designated managers&rsquo; home state, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(7)&nbsp;&nbsp;bond requirements, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;provisions for the establishment of a pedigree or electronic file to be used by wholesale distributors, chain pharmacy warehouses and repackagers for the purpose of ensuring the integrity of drugs owned, purchased, distributed, returned, transferred and sold when the products leave the normal distribution channel.&nbsp;</span></p> <p><span class="cls0">2. The Board shall be authorized to use an outside agency, such as the National Association of Boards of Pharmacy (NABP) or the Verified-Accredited Wholesale Distributors (VAWD), to accredit wholesale distributors and repackagers.&nbsp;</span></p> <p><span class="cls0">3. The Board may exempt by rule wholesalers accredited by VAWD from the provisions of subparagraphs a and b of paragraph 1 of this subsection.&nbsp;</span></p> <p><span class="cls0">4. The Board shall exempt from the provisions of this subsection logistics providers that receive prescription drugs from original sponsors or manufacturers, deliver the drug products in commerce at the direction of the original sponsor or manufacturer, and do not purchase, sell, trade, or take title to any prescription drug.&nbsp;</span></p> <p><span class="cls0">5. In promulgating such rules, the Board shall seek input from manufacturers, wholesale distributors, chain pharmacy warehouses, logistics providers and repackagers.&nbsp;</span></p> <p><span class="cls0">E. A wholesale distributor shall accept prescription drug returns pursuant to the terms and conditions of the agreement between the wholesale distributor and a hospital, pharmacy, chain pharmacy warehouse or other healthcare entity and these returns shall not be subject to any pedigree or electronic file requirement unless the returns appear suspicious or are greater than the purchases from the wholesale distributor. Wholesale distributors shall be held accountable for maintaining their return process and ensuring that items returned originated from their operations, that the return process is secure, and that the return process does not permit the entry of adulterated and counterfeit product.&nbsp;</span></p> <p><span class="cls0">F. The Oklahoma Pharmacy Act shall not be construed to prevent the sale of nonprescription drugs in original packages by any merchant or dealer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 450, &sect; 18, emerg. eff. May 22, 1961. Amended by Laws 1970, c. 56, &sect; 2, emerg. eff. March 16, 1970; Laws 1973, c. 115, &sect; 1, emerg. eff. May 4, 1973; Laws 1976, c. 83, &sect; 4, emerg. eff. May 3, 1976; Laws 1981, c. 75, &sect; 3, emerg. eff. April 16, 1981; Laws 1982, c. 172, &sect; 4, emerg. eff. April 16, 1982; Laws 1987, c. 20, &sect; 2, eff. Nov. 1, 1987; Laws 1988, c. 231, &sect; 1, emerg. eff. June 22, 1988; Laws 1990, c. 120, &sect; 3; Laws 1993, c. 199, &sect; 14, emerg. eff. May 24, 1993; Laws 2004, c. 523, &sect; 20, emerg. eff. June 9, 2004; Laws 2005, c. 285, &sect; 2, eff. Nov. 1, 2005; Laws 2009, c. 321, &sect; 15, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2005, c. 357, &sect; 1 repealed by Laws 2006, c. 16, &sect; 40, emerg. eff. March 29, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.19. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.20. Pharmaceutical equipment and library required - Scales and balances - Sanitary appliances and conditions - Pharmaceutical records.&nbsp;</span></p> <p><span class="cls0">A. Every pharmacy shall have the proper pharmaceutical equipment so that prescriptions can be filled, and the practice of pharmacy can be properly conducted. The State Board of Pharmacy shall prescribe the minimum professional and technical equipment and library which a pharmacy shall at all times possess. No pharmacy license shall be issued or continued until or unless such pharmacy has complied with the Oklahoma Pharmacy Act.&nbsp;</span></p> <p><span class="cls0">B. The Board may from time to time require that scales and balances be condemned, or other specific equipment changes be made. Failure to comply with such requirements within sixty (60) days may result in revocation of the license for the place of business upon which such requirement is made.&nbsp;</span></p> <p><span class="cls0">C. No license shall be issued or continued for a pharmacy to do business unless the premises of such pharmacy are equipped with proper sanitary appliances and kept in a clean and orderly manner.&nbsp;</span></p> <p><span class="cls0">D. There shall be kept in every pharmacy a suitable book, file or record in which shall be preserved for a period of not less than five (5) years every prescription compounded or dispensed at the pharmacy, and the book or file of prescriptions shall at all times be open to inspection by the members of the Board or its duly authorized agents.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 451, &sect; 20, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 15, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 16, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.21. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.22. Sale of poisons.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for:&nbsp;</span></p> <p><span class="cls0">1. Any person to sell any poison without distinctly labeling the box, vessel or paper in which the poison is contained with the name of the article, the word "poison", and the name and the place of business of the seller; or&nbsp;</span></p> <p><span class="cls0">2. Any licensed pharmacist, or other person, to sell any poison without causing an entry to be made in a book kept for that purpose before delivering the same to the purchaser, stating the date of the sale, the name and address of the purchaser, the name of the poison sold, the purpose for which it is represented by the purchaser to be required, and the name of the dispenser. Such book shall always be available for inspection by the proper authorities and shall be preserved for at least five (5) years.&nbsp;</span></p> <p><span class="cls0">B. The provisions of this section shall not apply to the dispensing of poisons in not unusual quantities or doses upon the prescription of practitioners of medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 451, &sect; 22, emerg. eff. May 22, 1961. Amended by Laws 1993, c. 199, &sect; 16, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 17, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.23. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.24. Unlawful acts.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any person, firm or business entity to:&nbsp;</span></p> <p><span class="cls0">1. Forge or increase the quantity of drug in any prescription, or to present a prescription bearing forged, fictitious or altered information or to possess any drug secured by such forged, fictitious or altered prescription;&nbsp;</span></p> <p><span class="cls0">2. Sell, offer for sale, barter or give away any unused quantity of drugs obtained by prescription, except through a program pursuant to the Utilization of Unused Prescription Medications Act or as otherwise provided by the State Board of Pharmacy;&nbsp;</span></p> <p><span class="cls0">3. Sell, offer for sale, barter or give away any drugs damaged by fire, water, or other causes without first obtaining the written approval of the Board or the State Department of Health;&nbsp;</span></p> <p><span class="cls0">4. Enter into any arrangement whereby prescription orders are received, or prescriptions delivered at a place other than the pharmacy in which they are compounded and dispensed. However, nothing in this paragraph shall prevent a pharmacist or an employee of the pharmacy from personally receiving a prescription or delivering a legally filled prescription at a residence, office or place of employment of the patient for whom the prescription was written. Provided further, the provisions of this paragraph shall not apply to any Department of Mental Health and Substance Abuse Services employee or any person whose facility contracts with the Department of Mental Health and Substances Abuse Services whose possession of any dangerous drug, as defined in Section 353.1 of this title, is for the purpose of delivery of a mental health consumer&rsquo;s medicine to the consumer&rsquo;s home or residence. Nothing in this paragraph shall prevent veterinary prescription drugs from being shipped directly from an Oklahoma licensed wholesaler or distributor to a client; provided, such drugs may be dispensed only on prescription of a licensed veterinarian and only when an existing veterinary-client-patient relationship exists;&nbsp;</span></p> <p><span class="cls0">5. Sell, offer for sale or barter or buy any professional samples except through a program pursuant to the Utilization of Unused Prescription Medications Act. For purpose of this paragraph, &ldquo;professional samples&rdquo; means complimentary drugs packaged in accordance with federal and state statutes and regulations and provided to a licensed practitioner free of charge by manufacturers or distributors for the purpose of being distributed free of charge in such package by the licensed practitioner to a patient;&nbsp;</span></p> <p><span class="cls0">6. Refuse to permit or otherwise prevent members of the Board or such representatives thereof from entering and inspecting any and all places, including premises, equipment, contents, and records, where drugs, medicine, chemicals or poisons are stored, sold, vended, given away, compounded, dispensed or manufactured;&nbsp;</span></p> <p><span class="cls0">7. Possess dangerous drugs without a valid prescription or a valid license to possess such drugs; provided, however, this provision shall not apply to any Department of Mental Health and Substance Abuse Services employee or any person whose facility contracts with the Department of Mental Health and Substances Abuse Services whose possession of any dangerous drug, as defined in Section 353.1 of this title, is for the purpose of delivery of a mental health consumer&rsquo;s medicine to the consumer&rsquo;s home or residence;&nbsp;</span></p> <p><span class="cls0">8. Possess, sell, offer for sale, barter or give away any quantity of dangerous drugs not listed as a scheduled drug pursuant to Sections 2-201 through 2-212 of Title 63 of the Oklahoma Statutes when obtained by prescription bearing forged, fictitious or altered information.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;A first violation of this section shall constitute a misdemeanor and upon conviction shall be punishable by imprisonment in the county jail for a term not more than one (1) year and a fine in an amount not more than One Thousand Dollars ($1,000.00).&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;A second violation of this section shall constitute a felony and upon conviction shall be punishable by imprisonment in the Department of Corrections for a term not exceeding five (5) years and a fine in an amount not more than Two Thousand Dollars ($2,000.00);&nbsp;</span></p> <p><span class="cls0">9. Knowingly violate a Board order or agreed order;&nbsp;</span></p> <p><span class="cls0">10. Compromise the security of licensure examination materials; or&nbsp;</span></p> <p><span class="cls0">11. Fail to notify the Board, in writing, within ten (10) days of an address change.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 452, &sect; 24, emerg. eff. May 22, 1961. Amended by Laws 1986, c. 317, &sect; 2, emerg. eff. June 24, 1986; Laws 1987, c. 139, &sect; 1, emerg. eff. June 19, 1987; Laws 1993, c. 199, &sect; 18, emerg. eff. May 24, 1993; Laws 2001, c. 400, &sect; 8, eff. Nov. 1, 2001; Laws 2002, c. 22, &sect; 20, emerg. eff. March 8, 2002; Laws 2004, c. 523, &sect; 21, emerg. eff. June 9, 2004; Laws 2005, c. 1, &sect; 87, emerg. eff. March 15, 2005; Laws 2005, c. 40, &sect; 1, eff. July 1, 2005; Laws 2009, c. 321, &sect; 18, eff. Nov. 1, 2009; Laws 2011, c. 239, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2001, c. 281, &sect; 4 repealed by Laws 2002, c. 22, &sect; 34, emerg. eff. March 8, 2002. Laws 2004, c. 374, &sect; 8 repealed by Laws 2005, c. 1, &sect; 88, emerg. eff. March 15, 2005.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.25. Violation of act - Penalty - Perjury.&nbsp;</span></p> <p><span class="cls0">A. The violation of any provision of the Oklahoma Pharmacy Act for which no penalty is specifically provided shall be punishable as a misdemeanor.&nbsp;</span></p> <p><span class="cls0">B. Any person who shall willfully make any false representations in procuring or attempting to procure for himself or herself, or for another, licensure under the Oklahoma Pharmacy Act shall be guilty of the felony of perjury.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 452, &sect; 25. Amended by Laws 1993, c. 199, &sect; 17, emerg. eff. May 24, 1993; Laws 1997, c. 133, &sect; 506, eff. July 1, 1999; Laws 2009, c. 321, &sect; 19, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 506 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-353.26. Revocation or suspension of certificate, license or permit - Grounds - Procedure.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Pharmacy may:&nbsp;</span></p> <p><span class="cls0">1. Revoke or suspend any certificate, license or permit issued pursuant to the Oklahoma Pharmacy Act or reprimand or place on probation any holder of a certificate, license, or permit who:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;violates any provision of the Oklahoma Pharmacy Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;violates any of the provisions of the Uniform Controlled Dangerous Substances Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;has been convicted of a felony or has pleaded guilty or no contest to a felony,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;engages in the practice of pharmacy while incapacitated or abuses intoxicating liquors or other chemical substances,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;conducts himself or herself in a manner likely to lower public esteem for the profession of pharmacy,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;has been disciplined by another State Board of Pharmacy or by another state or federal entity,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;has been legally adjudged to be not mentally competent, or&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;exercises conduct and habits inconsistent with the rules of professional conduct established by the Board; and&nbsp;</span></p> <p><span class="cls0">2. Levy administrative fines not to exceed Three Thousand Dollars ($3,000.00) for each count of which any holder of a certificate, license, or permit has been convicted in Board hearings.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board, its employees, or other agents of the Board shall keep confidential information obtained during an investigation into violations of the Oklahoma Pharmacy Act; provided, however, such information may be introduced by the state in administrative proceedings before the Board and the information then becomes a public record. To ensure the confidentiality of such information obtained during the investigation but not introduced in administrative proceedings, this information shall not be deemed to be a record as that term is defined in the Oklahoma Open Records Act, nor shall the information be subject to subpoena or discovery in any civil or criminal proceedings, except that the Board may give such information to law enforcement and other state agencies as necessary and appropriate in the discharge of the duties of that agency and only under circumstances that ensure against unauthorized access to the information.&nbsp;</span></p> <p><span class="cls0">2. The respondent may acquire information obtained during an investigation, unless the disclosure of the information is otherwise prohibited, except for the investigative report, if the respondent signs a protective order whereby the respondent agrees to use the information solely for the purpose of defense in the Board proceeding and in any appeal therefrom and agrees not to otherwise disclose the information.&nbsp;</span></p> <p><span class="cls0">C. 1. The Board shall mail by certified mail to respondent at the last address provided by respondent to the Board, at least ten (10) days before the hearing, the sworn complaint filed with its Executive Director against respondent and notice of the date and place of a hearing thereon. Alternatively, the Board may serve respondent personally by any person appointed to make service by the Executive Director of the Board and in any manner authorized by the law of this state for the personal service of summonses in proceedings in a state court. If the Board finds that the allegations of the complaint are supported by the evidence rendered at the hearing, the Board is hereby authorized and empowered to, by written order, revoke permanently or suspend for a designated period, the certificate, license or permit of the respondent and/or reprimand, place on probation and/or fine the respondent.&nbsp;</span></p> <p><span class="cls0">2. The Board may, upon written application therefor and in the exercise of its official discretion, cancel the order.&nbsp;</span></p> <p><span class="cls0">3. A person whose certificate, license or permit has been revoked or suspended or who has been reprimanded or placed on probation or fined may appeal such Board order pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. A person, other than a pharmacy technician, whose license or permit has been suspended by the Board or by operation of law shall pay a reinstatement fee not to exceed One Hundred Fifty Dollars ($150.00) as a condition of reinstatement of the license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1961, p. 452, &sect; 26, emerg. eff. May 22, 1961. Amended by Laws 1976, c. 83, &sect; 5, emerg. eff. May 3, 1976; Laws 1981, c. 75, &sect; 4, emerg. eff. April 16, 1981; Laws 1982, c. 172, &sect; 5, emerg. eff. April 16, 1982; Laws 1993, c. 199, &sect; 19, emerg. eff. May 24, 1993; Laws 2002, c. 408, &sect; 4, emerg. eff. June 5, 2002; Laws 2004, c. 523, &sect; 22, emerg. eff. June 9, 2004; Laws 2009, c. 321, &sect; 20, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.27. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.28. Renumbered as &sect;36-4511 by Laws 1990, c. 127, &sect; 1, eff. Sept. 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-353.29. Supportive personnel - Pharmacy technician permit - Application - Fee - Renewal - Late fee.&nbsp;</span></p> <p><span class="cls0">A. Supportive personnel may be used in the practice of pharmacy if used in compliance with rules established by the State Board of Pharmacy.&nbsp;</span></p> <p><span class="cls0">B. 1. No person shall serve as a pharmacy technician without first procuring a permit from the Board.&nbsp;</span></p> <p><span class="cls0">2. An application for an initial or renewal permit issued pursuant to this subsection shall be:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;made in writing, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;accompanied by a permit fee not to exceed Seventy-five Dollars ($75.00) for each period of one (1) year.&nbsp;</span></p> <p class="cls10"><span class="cls0">A permit issued pursuant to this subsection shall be valid for a period to be determined by the Board.&nbsp;</span></p> <p><span class="cls0">3. A pharmacy technician who fails to complete an application for a renewal permit by the fifteenth day after the expiration of the permit shall pay a late fee to be fixed by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 199, &sect; 20, emerg. eff. May 24, 1993. Amended by Laws 2004, c. 523, &sect; 23, emerg. eff. June 9, 2004; Laws 2009, c. 321, &sect; 21, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-353.30. Use of agreements - Training requirements and administration of immunizations and therapeutic injections.&nbsp;</span></p> <p><span class="cls0">A. The use of agreements in the practice of pharmacy shall be acceptable within the rules promulgated by the State Board of Pharmacy and in consultation with the State Board of Medical Licensure and Supervision and the State Board of Osteopathic Examiners.&nbsp;</span></p> <p class="cls11"><span class="cls0">B. The Board shall develop and prepare permanent rules relating to training requirements and administration of immunizations and therapeutic injections in consultation within the State Board of Medical Licensure and Supervision and the State Board of Osteopathic Examiners.&nbsp;</span></p> <p class="cls11"><span class="cls0">C. A pharmacist who has completed a requisite course of training as approved by the Board in consultation with the State Board of Medical Licensure and Supervision and the State Board of Osteopathic Examiners may administer immunizations and therapeutic injections on orders from an osteopathic physician or allopathic physician.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2002, c. 408, &sect; 5, emerg. eff. June 5, 2002. Amended by Laws 2003, c. 307, &sect; 1, emerg. eff. May 27, 2003; Laws 2009, c. 321, &sect; 22, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-354. Prescription as property right of patient - Duty to provide reference copies and transfer prescriptions.&nbsp;</span></p> <p><span class="cls0">A. A prescription is the property of the patient for whom it is prescribed.&nbsp;</span></p> <p><span class="cls0">B. No pharmacist shall refuse, upon request by that customer in person or through an authorized pharmacist, to supply a reference copy in writing or by telephone.&nbsp;</span></p> <p><span class="cls0">C. No licensed practitioner shall refuse to honor the request of his or her patient to have his or her prescription transferred to the licensed pharmacist or licensed pharmacy of the patient's choice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 79, &sect; 1, emerg. eff. April 19, 1974. Amended by Laws 1993, c. 199, &sect; 21, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 23, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-355. Repealed by Laws 2009, c. 321, &sect; 27, eff. Nov. 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-355.1. Dispensing dangerous drugs - Procedure - Registration - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. Except as provided for in Section 353.1 et seq. of this title, only a licensed practitioner may dispense dangerous drugs to such practitioner's patients, and only for the expressed purpose of serving the best interests and promoting the welfare of such patients. The dangerous drugs shall be dispensed in an appropriate container to which a label has been affixed, such label to include the name and office address of the licensed practitioner, date dispensed, name of patient, directions for administration, prescription number, the trade or generic name and the quantity and strength, not meaning ingredients, of the drug therein contained; provided, this requirement shall not apply to compounded medicines. The licensed practitioner shall keep a suitable book, file or record in which shall be preserved for a period of not less than five (5) years a record of every dangerous drug compounded or dispensed by the licensed practitioner.&nbsp;</span></p> <p><span class="cls0">B. A licensed practitioner desiring to dispense dangerous drugs pursuant to this section shall register annually with the appropriate licensing board as a dispenser, through a regulatory procedure adopted and prescribed by such licensing board.&nbsp;</span></p> <p><span class="cls0">C. A licensed practitioner who dispenses professional samples to patients shall be exempt from the requirement of subsection B of this section if:&nbsp;</span></p> <p><span class="cls0">1. The licensed practitioner furnishes the professional samples to the patient in the package provided by the manufacturer;&nbsp;</span></p> <p><span class="cls0">2. No charge is made to the patient; and&nbsp;</span></p> <p><span class="cls0">3. An appropriate record is entered in the patient's chart.&nbsp;</span></p> <p><span class="cls0">D. This section shall not apply to the services provided through the State Department of Health, city/county health departments, or the Department of Mental Health and Substance Abuse Services.&nbsp;</span></p> <p><span class="cls0">E. This section shall not apply to organizations and services incorporated as state or federal taxexempt charitable nonprofit entities and/or organizations and services receiving all or part of their operating funds from a local, state or federal governmental entity; provided, such organizations and services shall comply with the labeling and recordkeeping requirements set out in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 20, &sect; 5, eff. Nov. 1, 1987. Amended by Laws 1987, c. 168, &sect; 5, eff. Nov. 1, 1987; Laws 1990, c. 51, &sect; 122, emerg. eff. April 9, 1990; Laws 1997, c. 250, &sect; 5, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-355.2. Violations of act &ndash; Adoption of rules.&nbsp;</span></p> <p><span class="cls0">A. A licensed practitioner violating any of the provisions of this act shall be subject to appropriate actions established in the rules and regulations of his or her licensing board.&nbsp;</span></p> <p><span class="cls0">B. Rules relating to the Oklahoma Pharmacy Act shall be adopted by the appropriate licensing boards after consultation and review with the Oklahoma State Board of Pharmacy prior to the effective date of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 20, &sect; 6, eff. Nov. 1, 1987. Amended by Laws 2009, c. 321, &sect; 24, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-355.3. Renumbered as &sect; 2-312.1 of Title 63 by Laws 1990, c. 271, &sect; 3, operative July 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-356. Pharmacy Audit Integrity Act.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Pharmacy Audit Integrity Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 137, &sect; 1, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-356.1. Definitions &ndash; Purpose - Application.&nbsp;</span></p> <p><span class="cls0">A. For purposes of the Pharmacy Audit Integrity Act, &ldquo;pharmacy benefits manager&rdquo; or &ldquo;PBM&rdquo; means a person, business, or other entity that performs pharmacy benefits management. The term includes a person or entity acting for a PBM in a contractual or employment relationship in the performance of pharmacy benefits management for a managed care company, nonprofit hospital, medical service organization, insurance company, third-party payor, or a health program administered by a department of this state.&nbsp;</span></p> <p><span class="cls0">B. The purpose of the Pharmacy Audit Integrity Act is to establish minimum and uniform standards and criteria for the audit of pharmacy records by or on behalf of certain entities.&nbsp;</span></p> <p><span class="cls0">C. The Pharmacy Audit Integrity Act shall apply to any audit of the records of a pharmacy conducted by a managed care company, nonprofit hospital, medical service organization, insurance company, third-party payor, pharmacy benefits manager, a health program administered by a department of this state, or any entity that represents these companies, groups, or departments.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 137, &sect; 2, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-356.2. Pharmacy audit requirements - Computerized medical records - Written report - Copy - Recoupment.&nbsp;</span></p> <p><span class="cls0">A. The entity conducting an audit of a pharmacy shall:&nbsp;</span></p> <p><span class="cls0">1. Identify and describe the audit procedures in the pharmacy contract. Unless otherwise agreed to in contract by both parties, prescription claim documentation and record-keeping requirements shall not exceed the requirements set forth by the Oklahoma Pharmacy Act or other applicable state or federal laws or regulations;&nbsp;</span></p> <p><span class="cls0">2. For an on-site audit, give the pharmacy written notice, including identification of prescription numbers to be audited, at least two (2) weeks prior to conducting the on-site audit. The pharmacy shall have the opportunity to reschedule the audit no more than seven (7) days from the date designated on the original audit notification;&nbsp;</span></p> <p><span class="cls0">3. For an on-site audit, not interfere with the delivery of pharmacist services to a patient and shall utilize every reasonable effort to minimize inconvenience and disruption to pharmacy operations during the audit process;&nbsp;</span></p> <p><span class="cls0">4. Conduct any audit involving clinical or professional judgment by means of or in consultation with a licensed pharmacist;&nbsp;</span></p> <p><span class="cls0">5. Not consider as fraud any clerical or record-keeping error, such as a typographical error, scrivener&rsquo;s error, or computer error regarding a required document or record; however, such errors may be subject to recoupment. The pharmacy shall have the right to submit amended claims to correct clerical or record-keeping errors in lieu of recoupment, provided that the prescription was dispensed according to prescription documentation requirements set forth by the Oklahoma Pharmacy Act. To the extent that an audit results in the identification of any clerical or record-keeping errors such as typographical errors, scrivener&rsquo;s errors or computer errors in a required document or record, the pharmacy shall not be subject to recoupment of funds by the pharmacy benefits manager unless the pharmacy benefits manager can provide proof of intent to commit fraud or such error results in actual financial harm to the pharmacy benefits manager, a health insurance plan managed by the pharmacy benefits manager or a consumer. A person shall not be subject to criminal penalties for errors provided for in this paragraph without proof of intent to commit fraud;&nbsp;</span></p> <p><span class="cls0">6. Permit a pharmacy to use the records of a hospital, physician, or other authorized practitioner of the healing arts for drugs or medicinal supplies written or transmitted by any means of communication for purposes of validating the pharmacy record with respect to orders or refills of a legend or narcotic drug;&nbsp;</span></p> <p><span class="cls0">7. Base a finding of an overpayment or underpayment on a projection based on the number of patients served having similar diagnoses or on the number of similar orders or refills for similar drugs; provided, recoupment of claims shall be based on the actual overpayment or underpayment of each identified claim. A projection for overpayment or underpayment may be used to determine recoupment as part of a settlement as agreed to by the pharmacy;&nbsp;</span></p> <p><span class="cls0">8. Not include the dispensing fee amount in a finding of an overpayment unless a prescription was not actually dispensed or a physician denied authorization or as otherwise agreed to by contract;&nbsp;</span></p> <p><span class="cls0">9. Audit each pharmacy under the same standards and parameters as other similarly situated pharmacies audited by the entity;&nbsp;</span></p> <p><span class="cls0">10. Not exceed two (2) years from the date the claim was submitted to or adjudicated by a managed care company, nonprofit hospital or medical service organization, insurance company, third-party payor, pharmacy benefits manager, a health program administered by a department of this state, or any entity that represents the companies, groups, or departments for the period covered by an audit;&nbsp;</span></p> <p><span class="cls0">11. Not schedule or initiate an audit during the first seven (7) calendar days of any month due to the high volume of prescriptions filled in the pharmacy during that time unless otherwise consented to by the pharmacy; and&nbsp;</span></p> <p><span class="cls0">12. Disclose to any plan sponsor whose claims were included in the audit any money recouped in the audit.&nbsp;</span></p> <p><span class="cls0">B. A pharmacy may provide the pharmacy's computerized patterned medical records or the records of a hospital, physician, or other authorized practitioner of the healing arts for drugs or medicinal supplies written or transmitted by any means of communication for purposes of supporting the pharmacy record with respect to orders or refills of a legend or narcotic drug.&nbsp;</span></p> <p><span class="cls0">C. The entity conducting the audit shall not audit more than seventy-five (75) prescriptions per initial audit.&nbsp;</span></p> <p><span class="cls0">D. If paper copies of records are requested by the entity conducting the audit, the entity shall pay twenty-five cents ($0.25) per page to cover the costs incurred by the pharmacy.&nbsp;</span></p> <p><span class="cls0">E. The entity conducting the audit shall provide the pharmacy with a written report of the audit and shall:&nbsp;</span></p> <p><span class="cls0">1. Deliver a preliminary audit report to the pharmacy within ninety (90) calendar days after conclusion of the audit;&nbsp;</span></p> <p><span class="cls0">2. Allow the pharmacy at least sixty (60) calendar days following receipt of the preliminary audit report in which to produce documentation to address any discrepancy found during the audit; provided, however, a pharmacy may request an extension, not to exceed an additional sixty (60) calendar days;&nbsp;</span></p> <p><span class="cls0">3. Deliver a final audit report to the pharmacy signed by the auditor within one hundred twenty (120) calendar days after receipt of the preliminary audit report or final appeal, as provided for in Section 356.3 of this title, whichever is later;&nbsp;</span></p> <p><span class="cls0">4. Recoup any disputed funds after final internal disposition of the audit, including the appeals process as provided for in Section 356.3 of this title. Unless otherwise agreed by the parties, future payments to the pharmacy may be withheld pending finalization of the audit should the identified discrepancy exceed Twenty-five Thousand Dollars ($25,000.00); and&nbsp;</span></p> <p><span class="cls0">5. Not accrue interest during the audit and appeal period.&nbsp;</span></p> <p><span class="cls0">F. Each entity conducting an audit shall provide a copy of the final audit results, and a final audit report upon request, after completion of any review process to the plan sponsor.&nbsp;</span></p> <p><span class="cls0">G. 1. The full amount of any recoupment on an on-site audit shall be refunded to the plan sponsor. Except as provided for in paragraph 2 of this subsection, a charge or assessment for an audit shall not be based, directly or indirectly, on amounts recouped.&nbsp;</span></p> <p><span class="cls0">2. This subsection does not prevent the entity conducting the audit from charging or assessing the responsible party, directly or indirectly, based on amounts recouped if both of the following conditions are met:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the plan sponsor and the entity conducting the audit have a contract that explicitly states the percentage charge or assessment to the plan sponsor, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a commission to an agent or employee of the entity conducting the audit is not based, directly or indirectly, on amounts recouped.&nbsp;</span></p> <p><span class="cls0">H. Unless superseded by state or federal law, auditors shall only have access to previous audit reports on a particular pharmacy conducted by the auditing entity for the same pharmacy benefits manager, health plan or insurer. An auditing vendor contracting with multiple pharmacy benefits managers or health insurance plans shall not use audit reports or other information gained from an audit on a particular pharmacy to conduct another audit for a different pharmacy benefits manager or health insurance plan.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 137, &sect; 3, eff. Nov. 1, 2008. Amended by Laws 2011, c. 375, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-356.3. Appeals process - Dismissal - Fraud or willful misrepresentation - Application of act.&nbsp;</span></p> <p><span class="cls0">A. Each entity conducting an audit shall establish a written appeals process under which a pharmacy may appeal an unfavorable preliminary audit report and/or final audit report to the entity.&nbsp;</span></p> <p><span class="cls0">B. Following an appeal, if the entity finds that an unfavorable audit report or any portion thereof is unsubstantiated, the entity shall dismiss the audit report or the unsubstantiated portion of the audit report without any further action.&nbsp;</span></p> <p><span class="cls0">C. Any final audit report with a finding of fraud or willful misrepresentation shall be referred to the district attorney having proper jurisdiction or the Attorney General for prosecution upon completion of the appeals process.&nbsp;</span></p> <p><span class="cls0">D. This act does not apply to any audit, review or investigation that is initiated based on or that involves suspected or alleged fraud, willful mispresentation or abuse.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 137, &sect; 4, eff. Nov. 1, 2008. Amended by Laws 2011, c. 375, &sect; 2, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-356.4. Extrapolation audit prohibited.&nbsp;</span></p> <p><span class="cls0">A. For the purposes of the Pharmacy Audit Integrity Act, &ldquo;extrapolation audit&rdquo; means an audit of a sample of prescription drug benefit claims submitted by a pharmacy to the entity conducting the audit that is then used to estimate audit results for a larger batch or group of claims not reviewed by the auditor.&nbsp;</span></p> <p><span class="cls0">B. The entity conducting the audit shall not use the accounting practice of extrapolation in calculating recoupments or penalties for audits.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 137, &sect; 5, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-356.5. Retrospective application &ndash; Audits not covered by act.&nbsp;</span></p> <p><span class="cls0">A. The audit criteria set forth in the Pharmacy Audit Integrity Act shall apply only to audits of claims for services provided and claims submitted for payment after this act becomes law.&nbsp;</span></p> <p><span class="cls0">B. The Pharmacy Audit Integrity Act shall not apply to any audit, including but not limited to audits conducted by or on behalf of a state agency, which involves fraud, willful misrepresentation, abuse or Medicaid payments including, without limitation, investigative audits or any other statutory provision which authorizes investigations relating to insurance fraud.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 137, &sect; 6, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-361. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-362. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-363. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59364. Certification renewal - Continuing professional education requirement.&nbsp;</span></p> <p><span class="cls0">No annual renewal certificate shall be issued to a pharmacist until such pharmacist shall have submitted proof to the Board that he has participated in not less than fifteen (15) clock hours of continuing education obtained through the satisfactory completion of an accredited program of continuing professional education during the previous calendar year.&nbsp;</span></p> <p><span class="cls0">Laws 1973, c. 144, &sect; 4; Laws 1993, c. 199, &sect; 23, emerg. eff. May 24, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-365. Repealed by Laws 1993, c. 199, &sect; 25, emerg. eff. May 24, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-366. Alternative methods of meeting continuing education requirement - Inactive renewal certificate of licensure.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Pharmacy may grant to a pharmacist who meets all the necessary requirements for licensure, except the continuing education requirements, alternate methods of obtaining continuing education hours.&nbsp;</span></p> <p><span class="cls0">B. 1. Any pharmacist who does not meet the requirement for continuing education may obtain an inactive renewal certificate of licensure.&nbsp;</span></p> <p><span class="cls0">2. The holder of an inactive renewal certificate of licensure shall not engage in the practice of pharmacy in Oklahoma.&nbsp;</span></p> <p><span class="cls0">3. The holder of an inactive renewal certificate of licensure shall apply to the State Board of Pharmacy to be removed from the inactive status.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 144, &sect; 6. Amended by Laws 1976, c. 43, &sect; 1, emerg. eff. April 5, 1976; Laws 1993, c. 199, &sect; 24, emerg. eff. May 24, 1993; Laws 2009, c. 321, &sect; 25, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1 through 7 of this act shall be known and may be cited as the &ldquo;Utilization of Unused Prescription Medications Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 374, &sect; 1, emerg. eff. June 3, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Utilization of Unused Prescription Medications Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Assisted living center&rdquo; has the same meaning as such term is defined in Section 1-890.2 of Title 63 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Cancer drugs&rdquo; means any of several drugs that control or kill neoplastic cells, commonly referred to as &ldquo;cancer-fighting drugs&rdquo;; and includes, but is not limited to, drugs used in chemotherapy to destroy cancer cells;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Health care professional&rdquo; means any of the following persons licensed and authorized to prescribe and dispense drugs or to provide medical, dental, or other health-related diagnoses, care or treatment within the scope of their professional license:&nbsp;</span></p> <p class="cls2"><span class="cls12">a.&nbsp;&nbsp;<span class="cls13">a physician holding a current license to practice medicine pursuant to Chapter 11 or Chapter 14 of Title 59 of the Oklahoma Statutes,&nbsp;</span></span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;an advanced practice nurse licensed pursuant to Chapter 12 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a physician assistant licensed pursuant to Chapter 11 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a dentist licensed pursuant to Chapter 7 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;an optometrist licensed pursuant to Chapter 13 of Title 59 of the Oklahoma Statutes, and&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;a pharmacist licensed pursuant to Chapter 8 of Title 59 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Medically indigent&rdquo; means a person eligible to receive Medicaid or Medicare or a person who has no health insurance and who otherwise lacks reasonable means to purchase prescribed medications;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Charitable clinic&rdquo; means a charitable nonprofit corporation or a facility organized as a not-for-profit pursuant to the provisions of the Oklahoma General Corporation Act that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;holds a valid exemption from federal income taxation issued pursuant to Section 501(a) of the Internal Revenue Code (26 U.S.C., Section 501(a)),&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is listed as an exempt organization under 501(c) of the Internal Revenue Code (26 U.S.C., Section 501(c)),&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;provides on an outpatient basis for a period of less than twenty-four (24) consecutive hours to persons not residing or confined at such facility advice, counseling, diagnosis, treatment, surgery, care or services relating to the preservation or maintenance of health, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;has a licensed outpatient pharmacy; and&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Prescription drug&rdquo; means a drug which may be dispensed only upon prescription by a health care professional authorized by his or her licensing authority and which is approved for safety and effectiveness as a prescription drug under Section 505 or 507 of the Federal Food, Drug and Cosmetic Act (52 Stat. 1040 (1938), 21 U.S.C.A., Section 301).&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 374, &sect; 2, emerg. eff. June 3, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.3. Program for utilization of unused prescription drugs.&nbsp;</span></p> <p><span class="cls0">A. The Board of Pharmacy shall implement statewide a program consistent with public health and safety through which unused prescription drugs, other than prescription drugs defined as controlled dangerous substances in Section 2-101 of Title 63 of the Oklahoma Statutes, may be transferred from residential care homes, nursing facilities, assisted living centers, public intermediate care facilities for people with mental retardation (ICF/MR) or pharmaceutical manufacturers to pharmacies operated by a county. If no county pharmacy exists, or if a county pharmacy chooses not to participate, such unused prescription medications may be transferred to a pharmacy operated by a city-county health department or a pharmacy under contract with a city-county health department, a pharmacy operated by the Department of Mental Health and Substance Abuse Services or a charitable clinic for the purpose of distributing the unused prescription medications to Oklahoma residents who are medically indigent.&nbsp;</span></p> <p><span class="cls0">B. The Board of Pharmacy shall promulgate rules and establish procedures necessary to implement the program established by the Utilization of Unused Prescription Medications Act.&nbsp;</span></p> <p><span class="cls0">C. The Board of Pharmacy shall provide technical assistance to entities who may wish to participate in the program.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 281, &sect; 1, eff. Nov. 1, 2001. Amended by Laws 2002, c. 462, &sect; 3, eff. July 1, 2002; Laws 2003, c. 167, &sect; 1, emerg. eff. May 5, 2003; Laws 2004, c. 374, &sect; 3, emerg. eff. June 3, 2004. Renumbered from &sect; 1-1918.2 of Title 63 by Laws 2004, c. 374, &sect; 9, emerg. eff. June 3, 2004. Amended by Laws 2005, c. 285, &sect; 1, eff. Nov. 1, 2005; Laws 2006, c. 109, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-367.4. Criteria for accepting unused prescription drugs.&nbsp;</span></p> <p><span class="cls0">The following criteria shall be used in accepting unused prescription drugs for use under the Utilization of Unused Prescription Medications Act:&nbsp;</span></p> <p><span class="cls0">1. Only prescription drugs in their original sealed unit dose packaging or unused injectables shall be accepted and dispensed pursuant to the Utilization of Unused Prescription Medications Act;&nbsp;</span></p> <p><span class="cls0">2. The packaging must be unopened, except that cancer drugs packaged in single-unit doses may be accepted and dispensed when the outside packaging is opened if the single-unit-dose packaging has not been opened;&nbsp;</span></p> <p><span class="cls0">3. Expired prescription drugs shall not be accepted;&nbsp;</span></p> <p><span class="cls0">4. A prescription drug shall not be accepted or dispensed if the person accepting or dispensing the drug has reason to believe that the drug is adulterated;&nbsp;</span></p> <p><span class="cls0">5. No controlled dangerous substances shall be accepted; and&nbsp;</span></p> <p><span class="cls0">6. Subject to the limitation specified in this section, unused prescription drugs dispensed for purposes of a medical assistance program or drug product donation program may be accepted and dispensed under the Utilization of Unused Prescription Medications Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 374, &sect; 4, emerg. eff. June 3, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.5. Participation in program voluntary &ndash; Acts and obligations of participating organization &ndash; Government reimbursement not considered resale.&nbsp;</span></p> <p><span class="cls0">A. Participation in the Utilization of Unused Prescription Medications Act by pharmacies, nursing homes, assisted living centers, charitable clinics or prescription drug manufacturers shall be voluntary. Nothing in the Utilization of Unused Prescription Medications Act shall require any pharmacy, nursing home, assisted living center, charitable clinic or prescription drug manufacturer to participate in the program.&nbsp;</span></p> <p><span class="cls0">B. A pharmacy or charitable clinic which meets the eligibility requirements established in the Utilization of Unused Prescription Medications Act may:&nbsp;</span></p> <p><span class="cls0">1. Dispense prescription drugs donated under the Utilization of Unused Prescription Medications Act to persons who are medically indigent residents of Oklahoma as established in rules by the Board of Pharmacy; and&nbsp;</span></p> <p><span class="cls0">2. Charge persons receiving donated prescription drugs a handling fee established by rule by the Board of Pharmacy.&nbsp;</span></p> <p><span class="cls0">C. A pharmacy or charitable clinic which meets the eligibility requirements established and authorized by the Utilization of Unused Prescription Medications Act which accepts donated prescription drugs shall:&nbsp;</span></p> <p><span class="cls0">1. Comply with all applicable federal and state laws related to the storage and distribution of dangerous drugs;&nbsp;</span></p> <p><span class="cls0">2. Inspect all prescription drugs prior to dispensing the prescription drugs to determine that such drugs are not adulterated; and&nbsp;</span></p> <p><span class="cls0">3. Dispense prescription drugs only pursuant to a prescription issued by a health care professional.&nbsp;</span></p> <p><span class="cls0">D. Prescription drugs donated under the Utilization of Unused Prescription Medications Act shall not be resold.&nbsp;</span></p> <p><span class="cls0">E. For purposes of the Utilization of Unused Prescription Medications Act, reimbursement from governmental agencies to charitable clinics shall not be considered resale of prescription drugs.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 374, &sect; 5, emerg. eff. June 3, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.6. Liability of participating organizations and manufacturers &ndash; Bad faith or gross negligence.&nbsp;</span></p> <p><span class="cls0">A. For matters related only to the lawful donation, acceptance, or dispensing of prescription drugs under the Utilization of Unused Prescription Medications Act, the following persons and entities, in compliance with the Utilization of Unused Prescription Medications Act, in the absence of bad faith or gross negligence, shall not be subject to criminal or civil liability for injury other than death, or loss to person or property, or professional disciplinary action:&nbsp;</span></p> <p><span class="cls0">1. The Board of Pharmacy;&nbsp;</span></p> <p><span class="cls0">2. The Department of Mental Health and Substance Abuse Services;&nbsp;</span></p> <p><span class="cls0">3. Any prescription drug manufacturer, governmental entity, nursing home, or assisted living center donating prescription drugs under the Utilization of Unused Prescription Medications Act;&nbsp;</span></p> <p><span class="cls0">4. Any prescription drug manufacturer or its representative that directly donates prescription drugs in professional samples to a charitable clinic or a pharmacy under the Utilization of Unused Prescription Medications Act;&nbsp;</span></p> <p><span class="cls0">5. Any pharmacy, charitable clinic or health care professional that accepts or dispenses prescription drugs under the Utilization of Unused Prescription Medications Act; and&nbsp;</span></p> <p><span class="cls0">6. Any pharmacy, charitable clinic, city-county pharmacy or other state-contracted pharmacy that employs a health care professional who accepts or can legally dispense prescription drugs under the Utilization of Unused Prescription Medications Act and the Oklahoma Pharmacy Act.&nbsp;</span></p> <p><span class="cls0">B. For matters related to the donation, acceptance, or dispensing of a prescription drug manufactured by the prescription drug manufacturer that is donated by any entity under the Utilization of Unused Prescription Medications Act, a prescription drug manufacturer shall not, in the absence of bad faith or gross negligence, be subject to criminal or civil liability for injury other than for death, or loss to person or property including, but not limited to, liability for failure to transfer or communicate product or consumer information or the expiration date of the donated prescription drug.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 374, &sect; 6, emerg. eff. June 3, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.7. Promulgation of rules &ndash; Donation of unused prescription drugs.&nbsp;</span></p> <p><span class="cls0">A. The Board of Pharmacy shall promulgate emergency rules by December 1, 2004, to implement the Utilization of Unused Prescription Medications Act. Permanent rules shall be promulgated pursuant to the Administrative Procedures Act. Such rules shall include:&nbsp;</span></p> <p><span class="cls0">1. Eligibility criteria for pharmacies and charitable clinics authorized to receive and dispense donated prescription drugs under the Utilization of Unused Prescription Medications Act;&nbsp;</span></p> <p><span class="cls0">2. Establishment of a formulary which shall include all prescription drugs approved by the federal Food and Drug Administration;&nbsp;</span></p> <p><span class="cls0">3. Standards and procedures for transfer, acceptance, safe storage, security, and dispensing of donated prescription drugs;&nbsp;</span></p> <p><span class="cls0">4. A process for seeking input from the State Department of Health in establishing provisions which affect nursing homes and assisted living centers;&nbsp;</span></p> <p><span class="cls0">5. A process for seeking input from the Department of Mental Health and Substance Abuse Services in establishing provisions which affect mental health and substance abuse clients;&nbsp;</span></p> <p><span class="cls0">6. Standards and procedures for inspecting donated prescription drugs to ensure that the drugs are in compliance with the Utilization of Unused Prescription Medications Act and to ensure that, in the professional judgment of the pharmacist, the medications meet all federal and state standards for product integrity;&nbsp;</span></p> <p><span class="cls0">7. Procedures for destruction of medications that are donated which are controlled substances;&nbsp;</span></p> <p><span class="cls0">8. Procedures for verifying whether the pharmacy and responsible pharmacist participating in the program are licensed and in good standing with the Board of Pharmacy;&nbsp;</span></p> <p><span class="cls0">9. Establishment of standards for acceptance of unused prescription medications from assisted living centers; and&nbsp;</span></p> <p><span class="cls0">10. Any other standards and procedures the Board of Pharmacy deems appropriate or necessary to implement the provisions of the Utilization of Unused Prescription Medications Act.&nbsp;</span></p> <p><span class="cls0">B. In accordance with the rules and procedures of the program established pursuant to this section, a resident of a nursing facility or assisted living center, or the representative or guardian of a resident may donate unused prescription medications, other than prescription drugs defined as controlled dangerous substances by Section 2-101 of Title 63 of the Oklahoma Statutes, for dispensation to medically indigent persons.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 374, &sect; 7, emerg. eff. June 3, 2004. Amended by Laws 2005, c. 73, &sect; 1, emerg. eff. April 19, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-367.8. Maintenance of controlled dangerous substances in emergency kits by pharmacies - Definitions.&nbsp;</span></p> <p><span class="cls0">A. A pharmacy may maintain controlled dangerous substances in an emergency medication kit used at a facility. The controlled dangerous substances may be used only for the emergency medication needs of a resident at the facility. A pharmacy may maintain drugs in an emergency medication kit for any facility.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Pharmacy shall promulgate rules relating to emergency medication kits, including, but not limited to:&nbsp;</span></p> <p><span class="cls0">1. The amount and type of controlled dangerous substances that may be maintained in an emergency medication kit;&nbsp;</span></p> <p><span class="cls0">2. Procedures regarding the use of drugs from an emergency medication kit;&nbsp;</span></p> <p><span class="cls0">3. Recordkeeping requirements; and&nbsp;</span></p> <p><span class="cls0">4. Security requirements.&nbsp;</span></p> <p><span class="cls0">C. As used in this section, "facility" means a facility as defined by the Nursing Home Care Act or an assisted living center as defined by the Continuum of Care and Assisted Living Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 74, &sect; 1, eff. Nov. 1, 2009. Amended by Laws 2010, c. 247, &sect; 1, emerg. eff. May 10, 2010; Laws 2011, c. 7, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-368. Access to prescription drugs for low income Oklahomans.&nbsp;</span></p> <p><span class="cls0">A. 1. This act shall be known and may be cited as the &ldquo;Oklahoma Prescription Drug Discount Program Act of 2005&rdquo;.&nbsp;</span></p> <p><span class="cls0">2. Recognizing that many Oklahomans do not have health insurance coverage for prescription drugs, the Oklahoma Legislature hereby establishes provisions to increase access to prescription drugs for low income Oklahomans.&nbsp;</span></p> <p><span class="cls0">B. The Oklahoma Health Care Authority shall contract with a pharmacy benefit manager for the administration of a prescription drug discount program. Oklahoma incorporated entities having a strong working relationship with Oklahoma&rsquo;s pharmacies should be given preference when selecting the administrating entity to ensure Oklahoma pharmacy&rsquo;s participation and to ensure the success of the program. The prescription drug discount program will:&nbsp;</span></p> <p><span class="cls0">1. Enable persons without prescription drug coverage to be linked to appropriate manufacturer-sponsored prescription drug programs via the use of computer software;&nbsp;</span></p> <p><span class="cls0">2. Establish agreements with prescription drug manufacturers that outline available discounts and drugs, and in which prescription drug manufacturers agree to allow the Oklahoma Health Care Authority contracted pharmacy benefit manager to be the means testing agent for their programs;&nbsp;</span></p> <p><span class="cls0">3. Negotiate prescription drug discounts with manufacturers and utilize Medicaid reimbursement for pharmacy networks and implement a &ldquo;one-stop&rdquo; Oklahoma Prescription Drug Discount program for uninsured Oklahomans and their families. All negotiated manufacturer drug discounts shall be provided as a one-hundred-percent pass-through discount to the plan participant. The plan administrator will be required to provide the Oklahoma Health Care Authority full disclosure and transparency of financial relationships with manufacturers for this program, and will include right-to-audit provisions in all contracts with the Oklahoma Health Care Authority;&nbsp;</span></p> <p><span class="cls0">4. Ensure that one hundred percent (100%) of the savings from prescription drug manufacturers and pharmacies is passed on to the consumer;&nbsp;</span></p> <p><span class="cls0">5. Enroll persons into a prescription drug discount card program using specialized computer software that will allow the consumer to have access via a single application process to all participating prescription drug manufacturer discount programs;&nbsp;</span></p> <p><span class="cls0">6. Include outreach and advertising of the program in order to provide access to the program to potential consumers who do not have access to prescription drug coverage; and&nbsp;</span></p> <p><span class="cls0">7. Charge a basic enrollment fee to cover the administrative costs of the program; provided, however, this provision shall not apply to an applicant whose income is less than 150% of the Federal Poverty Level. Provided further, dispensing fees shall not exceed allowable Medicaid rates.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this act shall be construed to allow public disclosure of any proprietary pricing information as contained in contractual agreements between a pharmaceutical manufacturer and the Oklahoma Health Care Authority, or a pharmacy benefit manager under contract with the Oklahoma Health Care Authority to be the means testing agent for the program.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2005, c. 419, &sect; 1, eff. July 1, 2005.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-369. Emergency contraceptive prescription.&nbsp;</span></p> <p><span class="cls0">Plan B One-Step, or its generic equivalent, also known as the "morning-after" emergency contraceptive, shall not be available to women under the age of seventeen (17) without a prescription. Such emergency contraceptive shall be dispensed by pharmacists to women seventeen (17) years of age and older without a prescription.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 362, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-381. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-382. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-383. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-384. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-385. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-386. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-387. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-388. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-389. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-390. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-391. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-392. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-393. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-394. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-395. Repealed by Laws 1941, p. 243, &sect; 28, emerg. eff. May 20, 1941.&nbsp;</span></p> <p><span class="cls0">&sect;59-395.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 395.1 through 396.28 of this title, and Sections 24 through 26 of this act shall be known and may be cited as the "Funeral Services Licensing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 1, eff. Nov. 1, 1989. Amended by Laws 1999, c. 64, &sect; 1, eff. July 1, 1999; Laws 2003, c. 57, &sect; 1, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396. Oklahoma Funeral Board - Appointment - Term - Qualifications.&nbsp;</span></p> <p><span class="cls0">There is hereby re-created, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, the Oklahoma Funeral Board. Any reference in the statutes to the Oklahoma State Board of Embalmers and Funeral Directors shall be a reference to the Oklahoma Funeral Board. The Board shall consist of seven (7) persons, who shall be appointed by the Governor. The term of membership of each member of the Board shall be five (5) years from the expiration of the term of the member succeeded. Any member having served as a member of the Board shall be eligible for reappointment. Provided that, a member of the Board shall serve no more than two consecutive terms and any unexpired term that a member is appointed to shall not apply to this limit. The Governor shall appoint the necessary members to the Board upon vacancies and immediately prior to the expiration of the various terms. Upon request of the Governor, appointments of a licensed embalmer and funeral director member of the Board shall be made from a list of five qualified persons submitted by the Oklahoma Funeral Directors Association. An appointment to fill a vacancy shall be for the unexpired term. A member of the Board shall serve until a successor is appointed and qualified. No person shall be a member of the Board, unless, at the time of appointment, the person is of good moral character and a resident of this state. Five of the members shall have been actively engaged in the practice of embalming and funeral directing in this state for not less than seven (7) consecutive years immediately prior to the appointment of the person, shall have an active license as provided by the Funeral Services Licensing Act, shall keep the license effective, and remain a resident of this state during the entire time the person serves on the Board. Two of the members of the Board shall be chosen from the general public, one of whom shall, if possible, be a person licensed and actively engaged in the health care field, and shall not be licensed funeral directors or embalmers or have any interest, directly or indirectly, in any funeral establishment or any business dealing in funeral services, supplies or equipment. These two members shall be appointed to serve for five-year terms.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 235, &sect; 1, emerg. eff. May 20, 1941. Amended by Laws 1963, c. 117, &sect; 1, emerg. eff. May 31, 1963; Laws 1978, c. 96, &sect; 1, emerg. eff. March 29, 1978; Laws 1980, c. 312, &sect; 1, emerg. eff. June 17, 1980; Laws 1986, c. 30, &sect; 1, eff. July 1, 1986; Laws 1992, c. 3, &sect; 1; Laws 1998, c. 40, &sect; 1; Laws 2003, c. 57, &sect; 2, emerg. eff. April 10, 2003; Laws 2004, c. 28, &sect; 1; Laws 2010, c. 32, &sect; 1.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.1. Oath of office.&nbsp;</span></p> <p><span class="cls0">Members of said Board, before entering upon their duties, shall take and subscribe to the oath of office provided for state officers, and the same shall be filed in the office of the Secretary of State.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 235, &sect; 2, emerg. eff. May 20, 1941.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.1A. Removal of Board members.&nbsp;</span></p> <p><span class="cls0">The Governor shall remove from membership of the Oklahoma Funeral Board, at any time, any member of the Board for continued neglect of duty required by the Funeral Services Licensing Act, conduct involving moral turpitude or any violation of the provisions of Section 396.12c of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 242, &sect; 22, emerg. eff. May 20, 1941. Amended by Laws 2003, c. 57, &sect; 21, emerg. eff. April 10, 2003. Renumbered from &sect; 396.21 of this title by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.1B. Expenses of Board members - Executive director - Other personnel.&nbsp;</span></p> <p><span class="cls0">All of the members of the Oklahoma Funeral Board shall be reimbursed for travel expenses incident to attendance upon the business of the Board as provided in the State Travel Reimbursement Act. The Board is hereby authorized to employ an executive director at an annual salary to be set by the Board, payable monthly, and to rent and equip an office therefor in some city in the state to be selected by the Board. The Board shall not employ any of its members for a period of three (3) years following their expiration of term of office. The executive director shall keep such books, records, and perform such other lawful duties as are required by or placed upon the executive director by the Board, and shall be entitled to receive traveling expenses while in the performance of the duties as directed and prescribed by the Board. The executive director shall not accept any employment from any funeral home or wholesale house dealing in funeral supplies or equipment while acting as the executive director. The Board shall have the right and authority to employ necessary personnel to carry out the provisions of the Funeral Services Licensing Act. The expenses of the Board shall at no time exceed the monies available to the Fund of the Oklahoma Funeral Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws, 1941, p. 241, &sect; 19, emerg. eff. May 20, 1941. Amended by Laws 1945, p.195, &sect; 8, emerg. eff. April 28, 1945; Laws 1961, p. 456, &sect; 6, emerg. eff. July 11, 1961; Laws 1970, c. 311, &sect; 5, emerg. eff. April 27, 1970; Laws 1978, c. 96, &sect; 3, emerg. eff. March 29, 1978; Laws 1985, c. 178, &sect; 32, operative July 1, 1985; Laws 1999, c. 64, &sect; 15, eff. July 1, 1999; Laws 2003, c. 57, &sect; 19, emerg. eff. April 10, 2003. Renumbered from &sect; 396.18 of this title by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.1C. Executive director of Board - Powers and duties &ndash; Collection and disposition of funds.&nbsp;</span></p> <p><span class="cls0">The executive director of the Board shall keep and preserve all records of the Board, issue all necessary notices to the embalmers, funeral directors and apprentices of the state, and perform such other duties as may be imposed upon the executive director by the Board. The executive director is hereby authorized and empowered to collect, in the name and on behalf of the Board, the fees prescribed in the Funeral Services Licensing Act, and all fees so collected shall at the end of each month be deposited by the executive director with the State Treasurer. The State Treasurer shall place ten percent (10%) of the money so received in the general fund of the state, and the balance in a special fund to be known as the "Fund of the Oklahoma Funeral Board". Payment from the fund shall be upon warrants drawn by the State Treasurer against claims submitted by the Board to the Director of the Office of Management and Enterprise Services for approval and payment. All monies so received by the fund may be used by the Board in carrying out the provisions of the Funeral Services Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 240, &sect; 15, emerg. eff. May 20, 1941. Amended by Laws 1945, p. 194, &sect; 6, emerg. eff. April 28, 1945; Laws 1970, c. 311, &sect; 4, emerg. eff. April 27, 1970; Laws 1979, c. 47, &sect; 37, emerg. eff. April 9, 1979; Laws 1999, c. 64, &sect; 14, eff. July 1, 1999; Laws 2003, c. 57, &sect; 17, emerg. eff. April 10, 2003. Renumbered from &sect; 396.14 of this title by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003. Amended by Laws 2012, c. 304, &sect; 264.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-396.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Funeral Services Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. "Embalmer" means a person who disinfects or preserves dead human remains, entire or in part, by the use of chemical substances, fluids or gases in the remains, or by the introduction of same into the remains by vascular or hypodermic injection, or by direct application into organs or cavities;&nbsp;</span></p> <p><span class="cls0">2. "Funeral director" means a person who:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;is engaged in or conducts or represents themselves as being engaged in preparing for the burial or disposal and directing and supervising the burial or disposal of dead human remains,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is engaged in or conducts or represents themselves as being engaged in maintaining a funeral establishment for the preparation and the disposition, or for the care of dead human remains,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;uses, in connection with the name of the person or funeral establishment, the words "funeral director" or "undertaker" or "mortician" or any other title implying that the person is engaged as a funeral director,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;sells funeral service merchandise to the public, or&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;is responsible for the legal and ethical operation of a crematory;&nbsp;</span></p> <p><span class="cls0">3. "Funeral establishment" means a place of business used in the care and preparation for burial, commercial embalming, or transportation of dead human remains, or any place where any person or persons shall hold forth and be engaged in the profession of undertaking or funeral directing;&nbsp;</span></p> <p><span class="cls0">4. "Apprentice" means a person who is engaged in learning the practice of embalming or the practice of funeral directing, as the case may be, under the instruction and personal supervision of a duly licensed embalmer or a duly licensed funeral director of and in the State of Oklahoma, pursuant to the provisions of the Funeral Services Licensing Act, and who is duly registered as such with said Board;&nbsp;</span></p> <p><span class="cls0">5. "Board" means the Oklahoma Funeral Board;&nbsp;</span></p> <p><span class="cls0">6. "Directing a funeral" or "funeral directing" means directing funeral services from the time of the first call until final disposition or release to a common carrier or release to next of kin of the deceased or the designee of the next of kin;&nbsp;</span></p> <p><span class="cls0">7. "First call" means the beginning of the relationship and duty of the funeral director to take charge of dead human remains and have such remains prepared by embalming, cremation, or otherwise, for burial or disposition, provided all laws pertaining to public health in this state are complied with. First call does not include calls made by ambulance, when the person dispatching the ambulance does not know whether or not dead human remains are to be picked up;&nbsp;</span></p> <p><span class="cls0">8. "Personal supervision" means the physical presence of a licensed funeral director or embalmer at the specified time and place of the providing of acts of funeral service;&nbsp;</span></p> <p><span class="cls0">9. "Commercial embalming establishment" means a fixed place of business consisting of an equipped preparation room, and other rooms as necessary, for the specified purpose of performing preparation and shipping services of dead human remains to funeral establishments inside and outside this state;&nbsp;</span></p> <p><span class="cls0">10. "Funeral service merchandise or funeral services" means those products and services normally provided by funeral establishments and required to be listed on the General Price List of the Federal Trade Commission, 15 U.S.C., Section 57a(a), including, but not limited to, the sale of burial supplies and equipment, but excluding the sale by a cemetery of lands or interests therein, services incidental thereto, markers, memorials, monuments, equipment, crypts, niches or outer enclosures;&nbsp;</span></p> <p><span class="cls0">11. "Outer enclosure" means a grave liner, grave box, or grave vault;&nbsp;</span></p> <p><span class="cls0">12. "Funeral director in charge" means an individual licensed as both a funeral director and embalmer designated by a funeral service establishment, commercial embalming establishment, or crematory who is responsible for the legal and ethical operation of the establishment and is accountable to the Board;&nbsp;</span></p> <p><span class="cls0">13. "Authorizing agent" means a person legally entitled to order the cremation or final disposition of particular human remains pursuant to Section 1151 or 1158 of Title 21 of the Oklahoma Statutes; and&nbsp;</span></p> <p><span class="cls0">14. "Cremation" means the technical process, using heat and flame, that reduces human remains to bone fragments. The reduction takes place through heat and evaporation. Cremation shall include, but not be limited to, the processing and pulverization of the bone fragments.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 625, &sect; 3, emerg. eff. May 20, 1941. Amended by Laws 1963, c. 117, &sect; 2, emerg. eff. May 31, 1963; Laws 1989, c. 297, &sect; 2, eff. Nov. 1, 1989; Laws 1999, c. 64, &sect; 2, eff. July 1, 1999; Laws 2003, c. 57, &sect; 3, emerg. eff. April 10, 2003; Laws 2013, c. 97, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.2a. Board - Additional powers and duties.&nbsp;</span></p> <p><span class="cls0">In addition to any other powers and duties imposed by law, the Oklahoma Funeral Board shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Prescribe and promulgate rules necessary to effectuate the provisions of the Funeral Services Licensing Act, and to make orders as it may deem necessary or expedient in the performance of its duties;&nbsp;</span></p> <p><span class="cls0">2. Prepare, conduct and grade examinations, written or oral, of persons who apply for the issuance of licenses to them;&nbsp;</span></p> <p><span class="cls0">3. Determine the satisfactory passing score on such examinations and issue licenses to persons who pass the examinations or are otherwise entitled to licensure;&nbsp;</span></p> <p><span class="cls0">4. Determine eligibility for licenses and certificates of apprenticeship;&nbsp;</span></p> <p><span class="cls0">5. Issue licenses for funeral directors, embalmers, funeral establishments, commercial embalming establishments, and crematories;&nbsp;</span></p> <p><span class="cls0">6. Issue certificates of apprenticeship;&nbsp;</span></p> <p><span class="cls0">7. Upon good cause shown, as hereinafter provided, deny the issuance of a license or certificate of apprenticeship or suspend, revoke or refuse to renew licenses or certificates of apprenticeship, and upon proper showing, to reinstate them;&nbsp;</span></p> <p><span class="cls0">8. Review, affirm, reverse, vacate or modify its order with respect to any such denial, suspension, revocation or refusal to renew;&nbsp;</span></p> <p><span class="cls0">9. Establish and levy administrative penalties against any person or entity who violates any of the provisions of the Funeral Services Licensing Act or any rule promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">10. Obtain an office, secure facilities and employ, direct, discharge and define the duties and set the salaries of office personnel as deemed necessary by the Board;&nbsp;</span></p> <p><span class="cls0">11. Initiate disciplinary, prosecution and injunctive proceedings against any person or entity who violates any of the provisions of the Funeral Services Licensing Act or any rule promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">12. Investigate alleged violations of the Funeral Services Licensing Act or of the rules, orders or final orders of the Board;&nbsp;</span></p> <p><span class="cls0">13. Promulgate rules of conduct governing the practice of licensed funeral directors, embalmers, funeral establishments, and commercial embalming establishments and sale of funeral service merchandise;&nbsp;</span></p> <p><span class="cls0">14. Keep accurate and complete records of its proceedings and certify the same as may be appropriate;&nbsp;</span></p> <p><span class="cls0">15. Request prosecution by the district attorney or the Attorney General of this state of any person or any violation of the Funeral Services Licensing Act;&nbsp;</span></p> <p><span class="cls0">16. When it deems appropriate, confer with the Attorney General of this state or the assistants of the Attorney General in connection with all legal matters and questions;&nbsp;</span></p> <p><span class="cls0">17. Take such other action as may be reasonably necessary or appropriate to effectuate the Funeral Services Licensing Act;&nbsp;</span></p> <p><span class="cls0">18. Promulgate rules, issue licenses, and regulate crematories pursuant to the Funeral Services Licensing Act;&nbsp;</span></p> <p><span class="cls0">19. Issue temporary licenses to a funeral establishment when its facilities are destroyed or damaged in order that the funeral establishment can continue to operate. During the effective period of the temporary license, the Board may waive certain licensing requirements if the funeral establishment is making a good faith effort to rebuild or restore its operations in order to meet all licensing requirements; and&nbsp;</span></p> <p><span class="cls0">20. Promulgate rules for continuing education for licensees pursuant to Section 8 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 3, eff. Nov. 1, 1989. Amended by Laws 1999, c. 64, &sect; 3, eff. July 1, 1999; Laws 2003, c. 57, &sect; 4, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.3. Qualifications and examination of funeral directors and embalmers - Approved schools &ndash; Licenses.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Funeral Board shall determine the qualifications necessary to enable any person to practice as a funeral director or embalmer, and prescribe the requirements for a funeral establishment or commercial embalming establishment. The Board shall examine all applicants for licenses to practice as a funeral director or embalmer. The Board shall issue the proper licenses to applicants who successfully pass such examination and qualify pursuant to any additional requirements the Board may prescribe.&nbsp;</span></p> <p><span class="cls0">B. The minimum requirements for a license to practice funeral directing or embalming, or both, are as follows:&nbsp;</span></p> <p><span class="cls0">An applicant for a license to practice embalming shall be at least twenty (20) years of age, a legal resident of this state, a citizen or permanent resident of the United States, and of good moral character. In addition, an applicant shall have at least sixty (60) semester hours of study earned, measured in quarter or clock hours, from a regionally accredited college or university, shall be a graduate of a program of mortuary science accredited by the American Board of Funeral Service Education, and have served one (1) year as a registered apprentice. The applicant may serve as a registered apprentice prior to enrollment in an approved school of mortuary science, or subsequent to graduation from said school.&nbsp;</span></p> <p><span class="cls0">Curriculum of study for an embalmer and/or funeral director is a program of mortuary science which shall be that prescribed by the American Board of Funeral Service Education.&nbsp;</span></p> <p><span class="cls0">C. The Board shall issue the appropriate license to any qualified applicant whose application has been approved by the Board, and who has paid the fees required by Section 396.4 of this title, has passed the required examination with a general average of not less than seventy-five percent (75%) and has demonstrated to the Board proficiency as an embalmer or funeral director.&nbsp;</span></p> <p><span class="cls0">D. The Board shall maintain for public inspection a list of all accredited schools of embalming and mortuary science.&nbsp;</span></p> <p><span class="cls0">E. Each funeral director in charge as defined in Section 396.2 of this title shall have a current dual funeral director and embalmer license. A funeral director in charge of a funeral service establishment or crematory that does not have a current dual funeral director and embalmer license on the effective date of this act shall be considered to be grandfathered and may serve as funeral director in charge of any funeral service establishment or crematory in accordance with rules prescribed by the Board, but shall not serve as funeral director in charge of a commercial embalming establishment which shall require a current dual funeral director and embalmer license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 236, &sect; 4, emerg. eff. May 20, 1941. Amended by Laws 1945, p. 192, &sect; 1, emerg. eff. April 28, 1945; Laws 1961, p. 453, &sect; 1, emerg. eff. July 11, 1961; Laws 1963, c. 117, &sect; 3, emerg. eff. May 31, 1963; Laws 1970, c. 311, &sect; 1, emerg. eff. April 27, 1970; Laws 1983, c. 163, &sect; 1; Laws 1989, c. 297, &sect; 4, eff. Nov. 1, 1989; Laws 1999, c. 64, &sect; 4, eff. July 1, 1999; Laws 2003, c. 57, &sect; 5, emerg. eff. April 10, 2003; Laws 2013, c. 97, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.3a. Persons and businesses required to be licensed.&nbsp;</span></p> <p><span class="cls0">The following persons, professions and businesses shall be required to be licensed pursuant to the Funeral Services Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. Any person engaged or who may engage in:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the practice or profession of funeral directing or embalming,&nbsp;</span></p> <p class="cls2"><span class="cls12">b.&nbsp;&nbsp;<span class="cls13">maintaining the business of a funeral establishment or commercial embalming establishment,&nbsp;</span></span></p> <p class="cls2"><span class="cls12">c.&nbsp;&nbsp;<span class="cls13">the sale of any funeral service merchandise, or&nbsp;</span></span></p> <p class="cls2"><span class="cls12">d.&nbsp;&nbsp;<span class="cls13">providing funeral services; and&nbsp;</span></span></p> <p><span class="cls0">2. Any funeral establishment or commercial embalming establishment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 5, eff. Nov. 1, 1989. Amended by Laws 1999, c. 64, &sect; 5, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59396.4. Fees.&nbsp;</span></p> <p><span class="cls0">A. Until the Oklahoma Funeral Board sets fees pursuant to subsection B of this section, the following shall be the fees charged for the licenses, registrations, and examinations required by the Funeral Services Licensing Act:&nbsp;</span></p> <p><span class="cls0">Funeral Director License or Renewal &nbsp;&nbsp;$75.00 &nbsp;</span></p> <p><span class="cls0">Embalmer License or Renewal&nbsp;&nbsp;$75.00 &nbsp;</span></p> <p><span class="cls0">Registration for Funeral Director/Embalmer Apprentice&nbsp;&nbsp;$150.00 &nbsp;</span></p> <p><span class="cls0">Extension of Funeral Director/Embalmer Apprentice&nbsp;&nbsp;&nbsp;&nbsp; $150.00 &nbsp;</span></p> <p><span class="cls0">Embalmer Examination&nbsp;&nbsp;$100.00 &nbsp;</span></p> <p><span class="cls0">Funeral Director Examination&nbsp;&nbsp;$100.00 &nbsp;</span></p> <p><span class="cls0">State Law Examination&nbsp;&nbsp;$100.00 &nbsp;</span></p> <p><span class="cls0">Funeral Establishment License or Renewal&nbsp;&nbsp;$250.00 &nbsp;</span></p> <p><span class="cls0">Commercial Embalming Establishment License or Renewal&nbsp;&nbsp; $250.00 &nbsp;</span></p> <p><span class="cls0">Reciprocal License for Funeral Director or Embalmer&nbsp;&nbsp; $150.00 &nbsp;</span></p> <p class="cls7"><span class="cls0">Change of Funeral Director in Charge&nbsp;&nbsp;$150.00 &nbsp;</span></p> <p class="cls7"><span class="cls0">Crematory License&nbsp;&nbsp;$250.00 &nbsp;</span></p> <p><span class="cls0">B. The Oklahoma Funeral Board shall set the fees by rule for those activities listed in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">C. Fees for funeral director, embalmer, and state law examinations shall be paid prior to the scheduled examination. An examination fee shall not be refundable.&nbsp;</span></p> <p><span class="cls0">D. The Oklahoma Funeral Board is authorized to determine and fix special administrative service fees. Each such fee shall not be in excess of Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">E. If any renewal fee required by this section is not paid on or before December 31 of each year, the amount of the fee shall be doubled and if the fee is not paid on or before April 30 of the subsequent year, the licensee shall be in default and the license shall terminate automatically.&nbsp;</span></p> <p><span class="cls0">F. All examinations of the Oklahoma Funeral Board shall be exempt from the Oklahoma Open Records Act in order to maintain the integrity of the examination process. Copies of completed examinations shall only be released upon receipt of a court order from a court of competent jurisdiction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 236, &sect; 5, emerg. eff. May 20, 1941. Amended by Laws 1945, p. 193, &sect; 2, emerg. eff. April 28, 1945; Laws 1961, p. 455, &sect; 2, emerg. eff. July 11, 1961; Laws 1970, c. 311, &sect; 2, emerg. eff. April 27, 1970; Laws 1978, c. 96, &sect; 2, emerg. eff. March 29, 1978; Laws 1983, c. 163, &sect; 2; Laws 1989, c. 297, &sect; 6, eff. Nov. 1, 1989; Laws 1990, c. 195, &sect; 2, emerg. eff. May 10, 1990; Laws 1999, c. 64, &sect; 6, eff. July 1, 1999; Laws 2003, c. 57, &sect; 6, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.5. Expiration of license Renewal.&nbsp;</span></p> <p><span class="cls0">All licenses issued by the Board shall expire on the 31st day of December of each year. The Board shall issue a renewal for such license without further examination upon the payment of a renewal fee as required by Section 396.4 of this title. A funeral director or embalmer who fails to apply for a renewal license for a period of three (3) years or more, shall be reinstated by taking a written and oral examination, as required by the Board, and by paying a fee of Twentyfive Dollars ($25.00) and the current years' dues.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 237, &sect; 6, emerg. eff. May 20, 1941. Amended by Laws 1965, c. 374, &sect; 1, emerg. eff. June 28, 1965; Laws 1983, c. 163, &sect; 3.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.5a. Inactive military service list Not subject to renewal fees Reinstatement on discharge.&nbsp;</span></p> <p><span class="cls0">All funeral directors and/or embalmers regularly licensed in this state, who are or become members of the armed forces of the United States, shall upon proper notification to the executive director of the Oklahoma Funeral Board be placed upon the inactive military service list to be kept by the executive director and shall not be subject to the payment of renewal fees upon their licenses as funeral directors and/or embalmers until they have been discharged from the military service of the United States and desire to practice their profession in this state. Upon the discharge of licensees from military service, they shall be reinstated as active funeral directors and/or embalmers upon the payment of the then current year's license fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1943, p. 134, &sect; 1, emerg. eff. April 12, 1943. Amended by Laws 2003, c. 57, &sect; 7, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.5b. Continuing education courses.&nbsp;</span></p> <p><span class="cls0">A. Beginning July 1, 2006, as a condition of renewal or reactivation of a license, each licensee shall submit to the Oklahoma Funeral Board evidence of the completion of clock hours of continuing education courses approved by the Board within the twelve (12) months immediately preceding the term for which the license is issued. The number of hours, or its equivalent, required for each licensed term shall be determined by the Board and promulgated by rule. Each licensee shall be required to complete and include as part of the continuing education provision a certain number of required subjects as provided by rule.&nbsp;</span></p> <p><span class="cls0">B. The continuing education courses required by this section shall be satisfied by courses approved by the Board or the Academy of Professional Funeral Service Practice.&nbsp;</span></p> <p><span class="cls0">C. The Board shall maintain a listing of courses approved by the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board shall not issue an active renewal license or reactivate a license unless the continuing education requirement set forth in this section is satisfied within the prescribed time period.&nbsp;</span></p> <p><span class="cls0">E. The provisions of this section shall not apply:&nbsp;</span></p> <p><span class="cls0">1. During the period a licensee is on inactive status;&nbsp;</span></p> <p><span class="cls0">2. To a nonresident licensee licensed in this state if the licensee is not engaged in funeral service or embalming practice in Oklahoma; and&nbsp;</span></p> <p><span class="cls0">3. To classes of licensees exempted by rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 57, &sect; 8, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.6. License required - Employment of licensed embalmer &ndash; Display of license or certificate.&nbsp;</span></p> <p><span class="cls0">A. No person shall operate a funeral establishment, commercial embalming establishment, or crematory, engage in the sale of any funeral service merchandise to the public, provide funeral services, carry on the business or profession of embalming or funeral directing or perform any of the functions, duties, or powers prescribed for funeral directors or embalmers pursuant to the provisions of the Funeral Services Licensing Act unless the person has obtained the license specified by rules promulgated pursuant to the Funeral Services Licensing Act and has otherwise complied with the provisions of the Funeral Services Licensing Act. The license shall be nontransferable and nonnegotiable.&nbsp;</span></p> <p><span class="cls0">B. A license shall not be issued to any person for the operation of a funeral or embalming establishment which does not employ an embalmer licensed pursuant to the provisions of Section 396.3 of this title. An individual who supervises a funeral or embalming establishment shall be licensed pursuant to the provisions of Section 396.3 of this title.&nbsp;</span></p> <p><span class="cls0">C. The holder of any license or certificate issued pursuant to the Funeral Services Licensing Act, or any rules promulgated pursuant thereto, shall have the license or certificate displayed conspicuously in the place of business of the holder.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 237, &sect; 7, emerg. eff. May 20, 1941. Amended by Laws 1983, c. 163, &sect; 4; Laws 1989, c. 297, &sect; 7, eff. Nov. 1, 1989; Laws 1999, c. 64, &sect; 7, eff. July 1, 1999; Laws 2003, c. 57, &sect; 9, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.7. Repealed by Laws 1961, p. 457, &sect; 1.&nbsp;</span></p> <p><span class="cls0">&sect;59-396.8. Reciprocity.&nbsp;</span></p> <p><span class="cls0">A. The Board shall have the power to issue reciprocal licenses to applicants licensed in other states which have equal or like educational requirements as required by this state or the Board.&nbsp;</span></p> <p><span class="cls0">B. A license as an embalmer or funeral director shall be issued without examination to an out-of-state resident intending to become a resident of this state, who submits to the Board satisfactory evidence that said applicant has met all the requirements of the Funeral Services Licensing Act and pays the fees required by Section 396.4 of this title.&nbsp;</span></p> <p><span class="cls0">C. The Board may issue an appropriate license without further apprenticeship to a resident of a state which does not have the same educational requirements necessary for reciprocity with this state, if said applicant:&nbsp;</span></p> <p><span class="cls0">1. Has a current license to practice as an embalmer or funeral director in the state of residence of the person;&nbsp;</span></p> <p><span class="cls0">2. Has been an active embalmer or funeral director practicing in the state of residence of the person for at least five (5) years;&nbsp;</span></p> <p><span class="cls0">3. Has never been convicted of a felony and has never been convicted of a misdemeanor related to funeral service;&nbsp;</span></p> <p><span class="cls0">4. Has never had said license revoked or suspended;&nbsp;</span></p> <p><span class="cls0">5. Is not currently facing disciplinary action;&nbsp;</span></p> <p><span class="cls0">6. Intends to practice in this state;&nbsp;</span></p> <p><span class="cls0">7. Has filed such documents as are required by the Board;&nbsp;</span></p> <p><span class="cls0">8. Has paid the fees as required by Section 396.4 of this title;&nbsp;</span></p> <p><span class="cls0">9. Is a citizen or permanent resident of the United States;&nbsp;</span></p> <p><span class="cls0">10. Is a graduate of an accredited program of mortuary science;&nbsp;</span></p> <p><span class="cls0">11. Has passed the National Board Examination or State Board Examination; and&nbsp;</span></p> <p><span class="cls0">12. Has passed the Oklahoma State Law Examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 237, &sect; 9, emerg. eff. May 20, 1941. Amended by Laws 1943, p. 133, &sect; 1, emerg. eff. March 5, 1943; Laws 1945, p. 193, &sect; 3, emerg. eff. April 28, 1945; Laws 1983, c. 163, &sect; 5; Laws 1999, c. 64, &sect; 8, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-396.8a. Repealed by Laws 1945, p. 193, &sect; 4.&nbsp;</span></p> <p><span class="cls0">&sect;59-396.9. Repealed by Laws 1983, p. 163, &sect; 7 and Laws 1983, c. 245, &sect; 5, operative Sept. 1, 1983.&nbsp;</span></p> <p><span class="cls0">&sect;59396.10. Application Rules of Board Publication of changes in rules.&nbsp;</span></p> <p><span class="cls0">Any person desiring to engage in the profession or business of embalming or funeral directing or both, as defined herein, shall make application, be required to show all preliminary requisites, comply with the rules of the Board, and take all examinations as shall be deemed necessary by the Board in its rules. The Board shall publish in its rules the subject to be covered in the examination and the standards to be attained thereon. Changes in the rules shall be published pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 238, &sect; 11, emerg. eff. May 20, 1941. Amended by Laws 2003, c. 57, &sect; 10, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.11. Apprenticeship - Application - Certificate - Rules.&nbsp;</span></p> <p><span class="cls0">A. The term for an apprenticeship in embalming and the term for an apprenticeship in funeral directing may be served concurrently. Applications for an apprenticeship in funeral directing or embalming shall be made to the Board in writing on a form and in a manner prescribed by the Board. The Board shall issue a certificate of apprenticeship to any person applying for said certificate who submits to the Board satisfactory evidence that said person is seventeen (17) years of age or older, of good moral character, and a graduate of an accredited high school or has earned a G.E.D. credential. The application shall be accompanied by a registration fee as required by Section 396.4 of this title.&nbsp;</span></p> <p><span class="cls0">B. The Board shall prescribe and enforce such rules as necessary to qualify apprentice applicants as embalmers or funeral directors. A license to practice embalming or funeral directing shall not be issued until said applicant has complied with the rules of the Board, and said applicant has embalmed at least twentyfive dead human bodies for burial or shipment during apprenticeship.&nbsp;</span></p> <p><span class="cls0">C. The certificate of apprenticeship shall expire one (1) year from the date of issuance but may be renewed by the Board for four additional one-year periods.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 238, &sect; 12, emerg. eff. May 20, 1941. Amended by Laws 1961, p. 455, &sect; 4, emerg. eff. July 11, 1961; Laws 1983, c. 163, &sect; 6; Laws 1999, c. 64, &sect; 9, eff. July 1, 1999; Laws 2002, c. 161, &sect; 1, eff. Nov. 1, 2002; Laws 2003, c. 57, &sect; 11, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.12. Funeral establishment required to be licensed &ndash; Display of license - Inspection of premises - Sanitary rules &ndash; Commercial embalming establishments.&nbsp;</span></p> <p><span class="cls0">A. Any place where a person shall hold forth by word or act that the person is engaged in the profession of undertaking or funeral directing shall be deemed as a funeral establishment and shall be licensed as such pursuant to the provisions of the Funeral Services Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. A funeral establishment shall not do business in a location that is not licensed as a funeral establishment, shall not advertise a service that is available from an unlicensed location, and shall advertise itself by the name that the establishment is licensed as pursuant to the Funeral Services Licensing Act.&nbsp;</span></p> <p><span class="cls0">C. Every funeral establishment, commercial embalming establishment, and crematory shall be operated by a funeral director in charge. Each establishment license shall be conspicuously displayed at the location.&nbsp;</span></p> <p><span class="cls0">D. The Oklahoma Funeral Board shall have the power to inspect the premises in which funeral directing is conducted or where embalming or cremation is practiced or where an applicant proposed to practice, and the Board is hereby empowered to prescribe and endorse rules for reasonable sanitation of such establishments, including necessary drainage, ventilation, and necessary and suitable instruments for the business or profession of embalming and funeral directing.&nbsp;</span></p> <p><span class="cls0">E. Any place where a person shall hold forth by word or act that such person is engaged in preparing and shipping of dead human remains to funeral establishments inside and outside this state shall be deemed a commercial embalming establishment and shall be licensed as such pursuant to the provisions of the Funeral Services Licensing Act. &nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 238, &sect; 13, emerg. eff. May 20, 1941. Amended by Laws 1945, p. 193, &sect; 5, emerg. eff. April 28, 1945; Laws 1961, p. 455, &sect; 5, emerg. eff. July 11, 1961; Laws 1970, c. 311, &sect; 3, emerg. eff. April 27, 1970; Laws 1989, c. 297, &sect; 8, eff. Nov. 1, 1989; Laws 1999, c. 64, &sect; 10, eff. July 1, 1999; Laws 2003, c. 57, &sect; 12, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.12a. Embalming to be performed by licensed embalmer or apprentice - Holding out as funeral director, embalmer, etc. without license prohibited.&nbsp;</span></p> <p><span class="cls0">A. No person shall place any chemical substance, fluid or gas on or in dead human remains who is not a licensed embalmer. This prohibition shall not apply to a registered apprentice, working under the supervision of a licensed embalmer and shall not apply to medical students or their teachers in statemaintained medical schools in this state.&nbsp;</span></p> <p><span class="cls0">B. No person shall act or represent themselves as a funeral director, embalmer, apprentice, provide funeral services or merchandise or operate a funeral establishment or a commercial embalming establishment without a current license or registration issued pursuant to the Funeral Services Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 9, eff. Nov. 1, 1989. Amended by Laws 1999, c. 64, &sect; 11, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-396.12b. Conducting funeral, persons authorized - Embalming, persons authorized - Transfer or removal of remains.&nbsp;</span></p> <p><span class="cls0">A. Each funeral conducted within this state shall be under the personal supervision of a duly licensed funeral director who holds a valid license from the Oklahoma Funeral Board. A registered apprentice may assist in conducting funerals. To conduct a funeral shall require the personal supervision of a licensed funeral director from the time of the first call until interment is completed. A funeral director conducting a funeral in this state shall ensure that the casket or other container holding the deceased human remains shall not incur any damage other than that which is normally incurred in the burial or final disposition of human remains.&nbsp;</span></p> <p><span class="cls0">B. The embalming of dead human remains shall require the presence and the direct supervision of a duly licensed embalmer, however, a licensed registered apprentice embalmer may perform the embalming of a dead human provided said registered apprentice embalmer is under the direct supervision of a duly licensed embalmer.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this section regarding the conduct of funerals or personal supervision of a licensed director, a registered apprentice embalmer, or licensed embalmer, shall apply to persons related to the deceased by blood or marriage. Further, nothing in this section shall apply or in any manner interfere with the duties of any state officer or any employee of a local state institution.&nbsp;</span></p> <p><span class="cls0">D. Dead human remains shall be picked up on first call only under the direction and supervision of a licensed funeral director or embalmer. Dead human remains may be picked up or transferred without the personal supervision of a funeral director or embalmer; provided however, any inadvertent contact with family members or other persons shall be restricted to identifying the employer to the person, arranging an appointment with the employer for any person who indicates a desire to make funeral arrangements for the deceased and making any disclosure to the person that is required by any federal or state regulation. A funeral director or embalmer who directs the removal or transfer of dead human remains without providing personal supervision shall be held strictly accountable for compliance with the requirements of the Funeral Services Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 10, eff. Nov. 1, 1989. Amended by Laws 2003, c. 57, &sect; 13, emerg. eff. April 10, 2003; Laws 2013, c. 97, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.12c. Refusal to issue or renew, revocation or suspension of license - Grounds.&nbsp;</span></p> <p><span class="cls0">After notice and hearing pursuant to Article II of the Administrative Procedures Act, the Oklahoma Funeral Board may refuse to issue or renew, or may revoke or suspend, any license or registration for any one or combination of the following:&nbsp;</span></p> <p><span class="cls0">1. Conviction of a felony shown by a certified copy of the record of the court of conviction;&nbsp;</span></p> <p><span class="cls0">2. Conviction of a misdemeanor involving funeral services;&nbsp;</span></p> <p><span class="cls0">3. Gross malpractice or gross incompetency, which shall be determined by the Board;&nbsp;</span></p> <p><span class="cls0">4. False or misleading advertising as a funeral director or embalmer;&nbsp;</span></p> <p><span class="cls0">5. Violation of any of the provisions of the Funeral Services Licensing Act or any violation of Sections 201 through 231 of Title 8 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">6. Fraud or misrepresentation in obtaining a license;&nbsp;</span></p> <p><span class="cls0">7. Using any casket or part thereof which has previously been used as a receptacle for, or in connection with, the burial or other disposition of dead human remains, unless the disclosure is made to the purchaser;&nbsp;</span></p> <p><span class="cls0">8. Violation of any rules of the Board in administering the purposes of the Funeral Services Licensing Act;&nbsp;</span></p> <p><span class="cls0">9. Use of intoxicating liquor sufficient to produce drunkenness in public, or habitual addiction to the use of habit-forming drugs or either;&nbsp;</span></p> <p><span class="cls0">10. Solicitation of business, either personally or by an agent, from a dying individual or the relatives of a dead or individual with a terminal condition, as defined by the Oklahoma Rights of the Terminally Ill or Persistently Unconscious Act, other than through general advertising;&nbsp;</span></p> <p><span class="cls0">11. Refusing to properly release a dead human body to the custody of the person entitled to custody;&nbsp;</span></p> <p><span class="cls0">12. Violating applicable state laws relating to the failure to file a death certificate, cremation permit, or prearrangement or prefinancing of a funeral;&nbsp;</span></p> <p><span class="cls0">13. Failing to obtain other necessary permits as required by law in a timely manner;&nbsp;</span></p> <p><span class="cls0">14. Failing to comply with the Funeral Rules of the Federal Trade Commission, 15 U.S.C., Section 57a(a);&nbsp;</span></p> <p><span class="cls0">15. Failing to comply with any applicable provisions of the Funeral Services Licensing Act at the time of issuance or renewal;&nbsp;</span></p> <p><span class="cls0">16. Improper issuance or renewal of a license or registration;&nbsp;</span></p> <p><span class="cls0">17. Violating the provisions of subsection B of Section 396.12 of this title regarding advertisement of services at locations not licensed by the Board;&nbsp;</span></p> <p><span class="cls0">18. The abuse of a corpse whereby a person knowingly and willfully signs a certificate as having embalmed, cremated, or prepared a dead human body for disposition when, in fact, the services were not performed as indicated;&nbsp;</span></p> <p><span class="cls0">19. Simultaneous cremating of more than one human dead body without express written approval of the authorizing agent; &nbsp;</span></p> <p><span class="cls0">20. Cremating human remains without the permit required by Section 1-329.1 of Title 63 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">21. Intentional interference with an investigation by the Board or failure to allow access to funeral records during an investigation or to produce records for an investigation; or&nbsp;</span></p> <p><span class="cls0">22. Failure to properly discharge financial obligations as established by rule of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 11, eff. Nov. 1, 1989. Amended by Laws 1999, c. 64, &sect; 12, eff. July 1, 1999; Laws 2003, c. 57, &sect; 14, emerg. eff. April 10, 2003; Laws 2013, c. 97, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.12d. Violations Penalties Liabilities.&nbsp;</span></p> <p><span class="cls0">Any person who violates any of the provisions of the Funeral Services Licensing Act or rule or regulation promulgated or order issued pursuant thereto, after notice and hearing pursuant to Article II of the Administrative Procedures Act, shall be subject to any of the following penalties and liabilities authorized by the Funeral Services Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. License or certificate of apprenticeship revocation, denial, suspension or nonrenewal;&nbsp;</span></p> <p><span class="cls0">2. Administrative fines;&nbsp;</span></p> <p><span class="cls0">3. Injunctive proceedings; and&nbsp;</span></p> <p><span class="cls0">4. Other disciplinary action.&nbsp;</span></p> <p><span class="cls0">Further, such person shall be subject to criminal penalties pursuant to the provisions of Section 396.24 of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 12, eff. Nov. 1, 1989.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.12e. Administrative penalty and costs - Surrender of license in lieu of penalty.&nbsp;</span></p> <p><span class="cls0">A. Any person or entity who has been determined by the Oklahoma Funeral Board to have violated any provision of the Funeral Services Licensing Act or any rule or order issued pursuant thereto may be liable for an administrative penalty. The maximum administrative penalty shall not exceed Ten Thousand Dollars ($10,000.00) for any related series of violations.&nbsp;</span></p> <p><span class="cls0">B. The Board shall be authorized, at its discretion, to take action as the nature of the violation requires. The Board shall have the authority to impose on the licensee, or certificate holder, as a condition of any adverse disciplinary action, the payment of costs expended by the Board in investigating and prosecuting the violation. The costs may include but are not limited to staff time, salary and travel expenses, witness fees and attorney fees, and shall be considered part of the order of the Board.&nbsp;</span></p> <p><span class="cls0">C. The amount of the penalty shall be assessed by the Board pursuant to the provisions of subsection A of this section, after notice and hearing. In determining the amount of the penalty, the Board shall include, but not be limited to, consideration of the nature, circumstances and gravity of the violation and, with respect to the person or entity found to have committed the violation, the degree of culpability, the effect on ability of the person or entity to continue to do business and any show of good faith in attempting to achieve compliance with the provisions of the Funeral Services Licensing Act. The Board shall make a report of any action to any entity deemed appropriate for transmittal of the public record but shall in no cause be held liable for the content of the reported action or be made a party to any civil liability action taken as a result of the discipline imposed by the Board. All monies collected from the administrative penalties shall be deposited with the State Treasurer and by the State Treasurer placed in the "Fund of the Oklahoma Funeral Board", created pursuant to Section 17 of this act.&nbsp;</span></p> <p><span class="cls0">D. Any license or certificate of apprenticeship holder may elect to surrender the license or certificate of apprenticeship of the person in lieu of said penalty but shall be forever barred from obtaining a reissuance of said license or certificate of apprenticeship.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 13, eff. Nov. 1, 1989. Amended by Laws 1999, c. 64, &sect; 13, eff. July 1, 1999; Laws 2003, c. 57, &sect; 15, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.12f. Complaints Investigation Hearing Emergencies Orders Appeal Service of instruments.&nbsp;</span></p> <p><span class="cls0">A. Complaints against any person for alleged violations of the Funeral Services Licensing Act or of any of the rules issued pursuant thereto shall be in writing, signed by the complainant and filed with the executive director of the Oklahoma Funeral Board. In addition to the general public, any member or employee of the Board, or the executive director of the Oklahoma Funeral Board, may sign a complaint for any violation of which the executive director has knowledge. All complaints shall name the person complained of, and shall state the time and place of the alleged violations and the facts of which the complainant has knowledge. Upon receiving a complaint, the Board shall examine the complaint, and determine whether there is a reasonable cause to believe the charges to be true.&nbsp;</span></p> <p><span class="cls0">B. If upon inspection, investigation or complaint, or whenever the Board determines that there are reasonable grounds to believe that a violation of the Funeral Services Licensing Act or of any rule promulgated pursuant thereto has occurred, the Board shall give written notice to the alleged violator specifying the cause of complaint. The notice shall require that the matters complained of be corrected immediately or that the alleged violator appear before the Board at a time and place specified in the notice and answer the charges. The notice shall be delivered to the alleged violator in accordance with the provisions of subsection E of this section.&nbsp;</span></p> <p><span class="cls0">C. The Board shall afford the alleged violator an opportunity for a fair hearing in accordance with the provisions of subsection F of this section not less than fifteen (15) days after receipt of the notice provided for in subsection B of this section. On the basis of the evidence produced at the hearing, the Board shall make findings of fact and conclusions of law and enter an order thereon. The Board shall give written notice of the order to the alleged violator and to any other persons who appeared at the hearing and made written request for notice of the order. If the hearing is held before a hearing officer as provided for in subsection F of this section, the hearing officer shall transmit the record of the hearing together with recommendations for findings of fact and conclusions of law to the Board which shall thereupon enter its order. The Board may enter its order on the basis of such record or, before issuing its order, require additional hearings or further evidence to be presented. The order of the Board shall become final and binding on all parties unless appealed to the district court pursuant to Article II of the Administrative Procedures Act, within thirty (30) days after notice has been sent to the parties.&nbsp;</span></p> <p><span class="cls0">D. Whenever the Board finds that as a result of a violation of the Funeral Services Licensing Act or any rule promulgated thereto an emergency exists requiring immediate action to protect the public health or welfare, the Board may without notice or hearing issue an order stating the existence of an emergency and requiring that action be taken as it deems necessary to meet the emergency. The order shall be effective immediately. Any person to whom an order is directed shall comply with the order immediately but on application to the Board shall be afforded a hearing within ten (10) days of receipt of the notice. On the basis of a hearing, the Board shall continue the order in effect, revoke it or modify it. Any person aggrieved by an order continued after the hearing provided for in this subsection may appeal to the district court of the county in which the person resides, or in which the business of the person is located, within thirty (30) days of the Board's action. The appeal when docketed shall have priority over all cases pending on the docket, except criminal cases.&nbsp;</span></p> <p><span class="cls0">E. Except as otherwise expressly provided by law, any notice, order or other instrument issued by or pursuant to authority of the Board may be served on any person affected thereby personally, by publication or by mailing a copy of the notice, order or other instrument by registered mail directed to the person affected at his lastknown post office address as shown by the files or records of the Board. Proof of service shall be made as in the case of service of a summons or by publication in a civil action or may be made by the affidavit of the person who did the mailing. Proof of service shall be filed in the office of the Board.&nbsp;</span></p> <p><span class="cls0">Every certificate or affidavit of service made and filed as provided for in this subsection shall be prima facie evidence of the facts therein stated. A certified copy thereof shall have like force and effect.&nbsp;</span></p> <p><span class="cls0">F. The hearings authorized by this section may be conducted by the Board. The Board may designate hearing officers who shall have the power and authority to conduct hearings in the name of the Board at any time and place. The hearings shall be conducted in conformity with and records made thereof pursuant to Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">G. All records on complaints filed against any licensee pursuant to the Funeral Services Licensing Act shall be exempt from the Oklahoma Open Records Act unless the Board gave written notice of the complaint pursuant to subsection B of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 297, &sect; 14, eff. Nov. 1, 1989. Amended by Laws 2003, c. 57, &sect; 16, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.13. Repealed by Laws 1989, p. 297, &sect; 36, eff. Nov. 1, 1989.&nbsp;</span></p> <p><span class="cls0">&sect;59-396.14. Renumbered as &sect; 396.1C of this title by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-396.15. Repealed by Laws 2003, c. 57, &sect; 30, emerg. eff. April 10, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59396.16. Records of Board Contents Public inspection.&nbsp;</span></p> <p><span class="cls0">The Board shall keep a record of its proceedings, and its acts relating to the issuance, refusal, renewal, suspensions and revocation of licenses. This record shall contain the name, place of business, and residence of each registered embalmer and funeral director and registered apprentice, and the date and number of his certificate of registration. This record shall be open to public inspection.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 241, &sect; 17, emerg. eff. May 20, 1941.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59396.17. Board Officers Rules.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Funeral Board shall have the power to select from its own members a president and a vice-president and to make, adopt, promulgate and enforce reasonable rules for the:&nbsp;</span></p> <p><span class="cls0">1. Transaction of its business;&nbsp;</span></p> <p><span class="cls0">2. Sanitary management of funeral homes;&nbsp;</span></p> <p><span class="cls0">3. Work of embalmers and apprentices;&nbsp;</span></p> <p><span class="cls0">4. Management of the Board's affairs;&nbsp;</span></p> <p><span class="cls0">5. Betterment and promotion of the educational standards of the profession of embalming and the standards of service and practice to be followed in the profession of embalming and funeral directing in this state; and&nbsp;</span></p> <p><span class="cls0">6. Carrying into effect of any of the provisions of the Funeral Services Licensing Act, as the Board may deem expedient, just and reasonable and consistent with the laws of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 241, &sect; 18, emerg. eff. May 20, 1941. Amended by Laws 1945, p. 195, &sect; 7, emerg. eff. April 28, 1945; Laws 1989, c. 297, &sect; 15, eff. Nov. 1, 1989; Laws 2003, c. 57, &sect; 18, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.18. Renumbered as &sect; 396.1B of this title by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59396.19. Act inapplicable when.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall apply to or in any manner interfere with the duties of any officer of local or state institutions, nor shall this act apply to any person simply furnishing a burial receptacle for the dead and burying the dead who were related to such person by blood or marriage, but not embalming or directing funerals.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 242, &sect; 20, emerg. eff. May 20, 1941.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59396.20. Suspicion of crime Embalming body without permission unlawful.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful to embalm a dead human body when any fact within the knowledge or brought to the attention of the embalmer is sufficient to arouse suspicion of crime in connection with the cause of death of the deceased, until permission of the Chief Medical Examiner has been first obtained.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 242, &sect; 21, emerg. eff. May 20, 1941. Amended by Laws 2003, c. 57, &sect; 20, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.21. Renumbered as &sect; 396.1A of this title by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59396.22. Meetings of Board.&nbsp;</span></p> <p><span class="cls0">Meetings of the Board shall be held at least twice a year at such places as may be designated by the Board. Three members of the Board shall constitute a quorum.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 242, &sect; 23, emerg. eff. May 20, 1941.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.23. Schools Privileges.&nbsp;</span></p> <p><span class="cls0">Schools for teaching embalming shall have extended to them the same privileges as to the use of bodies for dissection while teaching as those granted in this state to medical colleges; provided, that such bodies must be obtained through the State Board of Health.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 242, &sect; 24, emerg. eff. May 20, 1941.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59396.24. Violations Penalties.&nbsp;</span></p> <p><span class="cls0">Any person, firm, association or corporation who violates any of the provisions of the Funeral Services Licensing Act shall be deemed guilty of a misdemeanor, and, upon conviction thereof, be punished by a fine of not more than Five Thousand Dollars ($5,000.00) or by imprisonment for not more than one (1) year, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 242, &sect; 25, emerg. eff. May 20, 1941. Amended by Laws 1970, c. 311, &sect; 6, emerg. eff. April 27, 1970; Laws 1989, c. 297, &sect; 16, eff. Nov. 1, 1989.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-396.25. Repealed by Laws 2002, c. 460, &sect; 47, eff. Nov. 1, 2002.&nbsp;</span></p> <p><span class="cls0">&sect;59396.26. Partial invalidity.&nbsp;</span></p> <p><span class="cls0">If any section of this act shall be declared unconstitutional for any reason, the remainder of this act shall not be affected thereby.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 243, &sect; 27, emerg. eff. May 20, 1941.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59396.27. Risk of transmission of communicable disease Precautions.&nbsp;</span></p> <p><span class="cls0">In handling and preparing dead human remains for final disposition, any person who comes in direct contact with an unembalmed dead human body or who enters a room where dead human bodies are being embalmed shall exercise all reasonable precautions to minimize the risk of transmitting any communicable disease from the body in accordance with federal regulations regarding the control of infectious diseases and occupational and workplace health and safety.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 153, &sect; 4, eff. Jan. 1, 1989. Amended by Laws 2003, c. 57, &sect; 22, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.28. Funeral directors and embalmers from other states &ndash; Temporary permit.&nbsp;</span></p> <p><span class="cls0">In case of a catastrophe as declared by the executive director of the Board, funeral directors and embalmers from other states may be allowed to practice in this state. A temporary permit may be issued to those persons, and the permit shall allow the persons to practice for a length of time as determined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 64, &sect; 16, eff. July 1, 1999. Amended by Laws 2003, c. 57, &sect; 23, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.29. Cremation &ndash; Intermingling &ndash; Liability for final disposition or cremation &ndash; Identification system &ndash; Disposition of unclaimed remains &ndash; Military veteran.&nbsp;</span></p> <p><span class="cls0">A. The person charged by law with the duty of burying the body of a deceased person may discharge such duty by causing the body to be cremated as authorized and provided for in the following sections of this article, but the body of a deceased person shall not be disposed of by cremation, or other similar means, within the State of Oklahoma, except in a crematory duly licensed as provided for herein, and then only under a special permit for cremation issued in accordance with the provisions hereof.&nbsp;</span></p> <p><span class="cls0">B. Upon the completion of each cremation, and insofar as is practicable, all of the recoverable residue of the cremation process shall be removed from the crematory and placed in a separate container so that the residue may not be commingled with the cremated remains of other persons. Cremated remains of a dead human shall not be divided or separated without the prior written consent of the authorizing agent.&nbsp;</span></p> <p><span class="cls0">C. A funeral director or funeral establishment that has received express written authorization for final disposition or cremation from the authorizing agent shall not be liable if the final disposition or cremation is performed in accordance with the provisions of the Funeral Services Licensing Act. The funeral director or funeral establishment shall not be liable for following in a reasonable fashion the instructions of any persons who falsely represent themselves as the proper authorizing agents.&nbsp;</span></p> <p><span class="cls0">D. Absent the receipt of a court order or other suitable confirmation of resolution, a funeral director or funeral establishment shall not be liable for refusing to accept human remains for final disposition or cremation if the funeral director or other agent of the funeral establishment:&nbsp;</span></p> <p><span class="cls0">1. Is aware of any dispute concerning the final disposition or cremation of the human remains; or&nbsp;</span></p> <p><span class="cls0">2. Has a reasonable basis for questioning any of the representations made by the authorizing agent.&nbsp;</span></p> <p><span class="cls0">E. Each funeral establishment which offers or performs cremations shall maintain an identification system that ensures the ability of the funeral establishment to identify the human remains in its possession throughout all phases of the cremation process. Upon completion of the cremation process, the crematory operator shall attest to the identity of the cremated remains and the date, time, and place the cremation process occurred on a form prescribed by rule of the Oklahoma Funeral Board. The form shall accompany the human remains in all phases of transportation, cremation, and return of the cremated remains.&nbsp;</span></p> <p><span class="cls0">F. The authorizing agent is responsible for the disposition of the cremated remains. If, after sixty (60) calendar days from the date of cremation, the authorizing agent or the representative of the agent has not specified the ultimate disposition or claimed the cremated remains, the funeral establishment in possession of the cremated remains may dispose of the cremated remains in a dignified and humane manner in accordance with any state, county, or municipal laws or provisions regarding the disposition of cremated remains, except as provided in subsection G of this section. A record of this disposition shall be made and kept by the entity making the disposition. Upon the disposition of unclaimed cremated remains in accordance with this subsection, the funeral establishment and entity which disposed the cremated remains shall be discharged from any legal obligation or liability concerning the disposition of the cremated remains.&nbsp;</span></p> <p><span class="cls0">G. If the authorizing agent determines that the unclaimed cremated remains are those of a military veteran, the funeral establishment may transfer the remains to a charitable organization approved by the Military Department of the State of Oklahoma for the purpose of providing a dignified and honorable funeral for the veteran at a veterans cemetery. The charitable organization shall be listed as an exempt organization under Section 501(c) of the Internal Revenue Code, 26 U.S.C., Section 501(c). Upon the transfer of the veteran&rsquo;s remains to the charitable organization, the funeral establishment shall be discharged from any legal obligation or liability concerning the disposition of the cremated remains. &nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 325, art. 3, &sect; 328, operative July 1, 1963. Amended by Laws 2003, c. 57, &sect; 24, emerg. eff. April 10, 2003. Renumbered from &sect; 1-328 of Title 63 by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003. Amended by Laws 2010, c. 127, &sect; 2, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-396.30. Licenses &ndash; Requirements &ndash; Records and reports &ndash; Compliance with state and federal health and environmental laws &ndash; Inspections.&nbsp;</span></p> <p><span class="cls0">A. No person shall dispose of the body of any deceased person by cremation or other similar means, within this state, without first having obtained from the Oklahoma Funeral Board an annual license to operate a crematory.&nbsp;</span></p> <p><span class="cls0">B. Application for an annual license shall be made to the executive director of the Board upon forms prescribed and furnished by the executive director, shall give the location of the crematory, and any other information as the executive director shall require, and shall be accompanied by the crematory license fee pursuant to Section 396.4 of this title. A crematory shall not be licensed separately from a funeral or commercial embalming establishment but shall be licensed in conjunction with and operated by a funeral service or commercial embalming establishment. Annual licenses shall expire on December 31 each year, shall specify the name or names of the owners of the crematory and the location thereof, the funeral director in charge, and shall not be transferable either as to the ownership of the crematory, the funeral director in charge or as to the location thereof. The first annual license issued for any crematory at any location shall not be issued by the executive director until the executive director has been satisfied:&nbsp;</span></p> <p><span class="cls0">1. That the crematory is, or will be, so constructed as to be capable of reducing the body of a deceased person to a residue which shall not weigh more than five percent (5%) of the weight of the body immediately after death; and&nbsp;</span></p> <p><span class="cls0">2. That the crematory has at least one operable crematory for cremation.&nbsp;</span></p> <p><span class="cls0">The requirement of paragraph 1 of this subsection may, but need not, be waived by the executive director for any subsequent annual license issued for the same crematory.&nbsp;</span></p> <p><span class="cls0">C. All funeral establishments performing cremations shall have a licensed funeral director in charge.&nbsp;</span></p> <p><span class="cls0">D. Each funeral establishment performing cremation services shall keep records as required by the Board to assure compliance with all laws relating to the disposition of dead human remains and shall file annually with the Board a report in the form prescribed by the Board describing the operations of the licensee, including the number of cremations performed, the disposition thereof, and any other information that the Board may require by rule.&nbsp;</span></p> <p><span class="cls0">E. A funeral establishment performing cremation services shall be subject to all local, state, and federal health and environmental requirements and shall obtain all necessary licenses and permits from the Oklahoma Funeral Board, and the appropriate federal and state health and environmental authorities.&nbsp;</span></p> <p><span class="cls0">F. Crematories licensed by the Board on the effective date of this act shall be exempt from the provisions of subsections C, D and E of this section.&nbsp;</span></p> <p><span class="cls0">G. All crematories shall be subject to inspection, at all reasonable times, by the Board or its duly authorized agents or employees.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 325, art. 3, &sect; 331, operative July 1, 1963. Amended by Laws 2001, c. 75, &sect; 2, eff. Nov. 1, 2001; Laws 2003, c. 57, &sect; 25, emerg. eff. April 10, 2003. Renumbered from &sect; 1-331 of Title 63 by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003. Amended by Laws 2013, c. 97, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.31. Rules for licensing, inspection, and regulation of crematories.&nbsp;</span></p> <p><span class="cls0">The Oklahoma State Board of Embalmers and Funeral Directors is authorized, pursuant to the Administrative Procedures Act, to adopt and promulgate rules necessary for the licensing, inspection, and regulation of crematories.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 75, &sect; 3, eff. Nov. 1, 2001. Renumbered from &sect; 1-331.1 of Title 63 by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.32. Residue of cremated body.&nbsp;</span></p> <p><span class="cls0">The residue resulting from the cremation of the body of a deceased person may be transported in this state in any manner, without any permit therefor, and may be disposed of in any manner desired or directed by the person or persons charged by law with the duty of burying the body.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 325, art. 3, &sect; 332, operative July 1, 1963. Renumbered from &sect; 1-332 of Title 63 by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-396.33. Cremation without license and permit a felony.&nbsp;</span></p> <p><span class="cls0">Disposing of the body of a deceased person by cremation or other similar means, within the State of Oklahoma, except in a crematory duly licensed as provided for in Section 25 of this act and under a special permit for cremation issued in accordance with the provisions of Section 1-329.1 of Title 63 of the Oklahoma Statutes, is hereby declared to be a felony.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 325, art. 3, &sect; 333, operative July 1, 1963. Amended by Laws 1997, c. 133, &sect; 521, eff. July 1, 1999; Laws 2003, c. 57, &sect; 26, emerg. eff. April 10, 2003. Renumbered from &sect; 1-333 of Title 63 by Laws 2003, c. 57, &sect; 31, emerg. eff. April 10, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex. Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 521 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59475.1. Registration as engineer or land surveyor Privilege.&nbsp;</span></p> <p><span class="cls0">In order to safeguard life, health and property, and to promote the public welfare, the practice of engineering and the practice of land surveying in this state are hereby declared to be subject to regulation in the public interest. It shall be unlawful to practice or to offer to practice engineering or land surveying in this state, as defined in the provisions of Section 475.1 et seq. of this title, or to use in connection with any name or otherwise assume or advertise any title or description tending to convey the impression that any person is an engineer, professional engineer, land surveyor or professional land surveyor, unless such person has been duly licensed under the provisions of Section 475.1 et seq. of this title. The practice of engineering or land surveying shall be deemed a privilege granted by the state through the State Board of Licensure for Professional Engineers and Land Surveyors, based on the qualifications of the individual as evidenced by a certificate of licensure, which shall not be transferable.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 1, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 1; Laws 1992, c. 165, &sect; 1, eff. July 1, 1992; Laws 2005, c. 115, &sect; 1, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in Section 475.1 et seq. of this title:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Engineer&rdquo; means a person who, by reason of special knowledge and use of the mathematical, physical and engineering sciences and the principles and methods of engineering analysis and design, acquired by engineering education and engineering experience, is qualified, after meeting the requirements of Section 475.1 et seq. of this title and the regulations issued by the Board pursuant thereto, to engage in the practice of engineering;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Professional engineer&rdquo; means a person who has been duly licensed as a professional engineer as provided in Section 475.1 et seq. of this title and the regulations issued by the Board pursuant thereto;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Engineer intern&rdquo; means a person who complies with the requirements for education and experience and has passed an examination in the fundamental engineering subjects, as provided in Section 475.1 et seq. of this title and the regulations issued by the Board pursuant thereto;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Practice of engineering&rdquo; means any service or creative work, the adequate performance of which requires engineering education, training and experience in the application of special knowledge of the mathematical, physical and engineering sciences to such services or creative work as consultation, investigation, evaluation, planning and design of engineering works and systems, planning the engineering use of land and water, teaching of advanced engineering subjects or courses related thereto, engineering research, engineering surveys, engineering studies, and the inspection or review of construction for the purposes of assuring compliance with drawings and specifications; any of which embraces such services or work, either public or private, in connection with any utilities, structures, buildings, machines, equipment, processes, work systems, projects, communication systems, transportation systems and industrial or consumer products or equipment of a mechanical, electrical, chemical, environmental, hydraulic, pneumatic, thermal, control system or communications nature, insofar as they involve safeguarding life, health or property, and including such other professional services as may be necessary to the design review and integration of a multidiscipline work, planning, progress and completion of any engineering services.&nbsp;</span></p> <p><span class="cls0">Design review and integration includes the design review and integration of those technical submissions prepared by others, including as appropriate and without limitation, engineers, architects, landscape architects, land surveyors, and other professionals working under the direction of the engineer. The definition of design review and integration by engineers does not restrict the services other licensed professional disciplines are authorized to offer or perform by statute or regulation.&nbsp;</span></p> <p><span class="cls0">Engineering surveys include all survey activities required to support the sound conception, planning, design, construction, maintenance and operation of engineered projects, but exclude the surveying of real property for the establishment of land boundaries, rights-of-way, easements and the dependent or independent surveys or resurveys of the public land survey system.&nbsp;</span></p> <p><span class="cls0">A person or entity shall be construed to practice or offer to practice engineering, within the meaning and intent of Section 475.1 et seq. of this title who does any of the following: practices any branch of the profession of engineering; by verbal claim, sign, advertisement, letterhead, card or in any other way represents such person to be a professional engineer, through the use of some other title implies that any person is a professional engineer or is licensed or qualified under Section 475.1 et seq. of this title; or who represents qualifications or ability to perform or who does practice engineering;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Professional land surveyor&rdquo; or &ldquo;land surveyor&rdquo; means a person who has been duly licensed as a professional land surveyor pursuant to Section 475.1 et seq. of this title and the regulations issued by the Board pursuant thereto; and is a person who, by reason of special knowledge in the technique of measuring land and use of the basic principles of mathematics, the related physical and applied sciences and the relevant requirements of law for adequate evidence and all requisite to surveying of real property, acquired by education and experience, is qualified to engage in the practice of land surveying;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Land surveyor intern&rdquo; means a person who complies with the requirements for education and experience, and has passed an examination in the fundamental land surveying subjects, as provided in Section 475.1 et seq. of this title and regulations issued by the Board pursuant thereto;&nbsp;</span></p> <p class="cls2"><span class="cls0">7.&nbsp;&nbsp;a.&nbsp;&nbsp;&ldquo;Practice of land surveying&rdquo; means any service or work, the adequate performance of which involves the application of special knowledge of the principles of mathematics, methods of measurement, and the law for the determination and preservation of land boundaries. &ldquo;Practice of land surveying&rdquo; includes, without limitation:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;restoration and rehabilitation of corners and boundaries in the United States Public Land Survey System or the subdivision thereof,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;obtaining and evaluating evidence for the accurate determination of land boundaries,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;determination of the areas and elevations of land parcels for a survey,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;monumenting the subdivision of land parcels into smaller parcels and the preparation of the descriptions in connection therewith,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;measuring and platting underground mine workings,&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;preparation of the control portions of geographic information systems and land information systems,&nbsp;</span></p> <p class="cls3"><span class="cls0">(7)&nbsp;&nbsp;establishment, restoration, and rehabilitation of land survey monuments and bench marks,&nbsp;</span></p> <p class="cls3"><span class="cls0">(8)&nbsp;&nbsp;preparation of land survey plats, condominium plats, monument records, and survey reports,&nbsp;</span></p> <p class="cls3"><span class="cls0">(9)&nbsp;&nbsp;surveying, monumenting, and platting of easements, and rights-of-way,&nbsp;</span></p> <p class="cls3"><span class="cls0">(10)&nbsp;&nbsp;measuring, locating, or establishing lines, angles, elevations, natural and man-made features in the air, on the surface of the earth, within underground workings, and on the beds of bodies of water for the purpose of determining areas and volumes for a survey,&nbsp;</span></p> <p class="cls3"><span class="cls0">(11)&nbsp;&nbsp;geodetic surveying, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(12)&nbsp;&nbsp;any other activities incidental to and necessary for the adequate performance of the services described in this paragraph.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;A person or entity shall be construed to practice or offer to practice land surveying, within the meaning and intent of Section 475.1 et seq. of this title who does any one of the following: practices any branch of the profession of land surveying; by verbal claim, sign, advertisement, letterhead, card or in any other way represents such person to be a professional land surveyor or through the use of some other title implies that such person or entity is a professional land surveyor or that such person is registered, licensed, or qualified under Section 475.1 et seq. of this title; represents qualifications or ability to perform; or who does practice land surveying.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;A person shall not be construed to practice or offer to practice land surveying, within the meaning and intent of Section 475.1 et seq. of this title, who merely acts as an agent of a purchaser of land surveying services. Agents of a purchaser of land surveying services include, but are not limited to, real estate agents and brokers, title companies, attorneys providing title examination services, and persons who or firms that coordinate the acquisition and use of land surveying services. The coordination of land surveying services includes, but is not limited to; sales and marketing of services, discussion of requirements of land surveys, contracting to furnish land surveys, review of land surveys, the requesting of revisions of land surveys, and making any and all modifications to surveys with the written consent of the land surveyor, and furnishing final revised copies to the land surveyor showing all revisions, the distribution of land surveys, and receiving payment for such services. These actions do not constitute the practice of land surveying, and do not violate any part of Section 475.1 through 475.22a of this title or the Bylaws and Rules of the Board;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Board&rdquo; means the State Board of Licensure for Professional Engineers and Land Surveyors;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Responsible charge&rdquo; means direct control and personal supervision of engineering work or land surveying;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Rules of professional conduct for professional engineers and land surveyors&rdquo; means those rules promulgated by the Board;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Firm&rdquo; means any form of business entity, a private practitioner employing other licensed engineers, surveyors or licensed design professionals, or any person or entity using one or more fictitious names;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Direct control&rdquo; and &ldquo;personal supervision&rdquo; whether used separately or together mean active and personal management of the firm&rsquo;s personnel and practice to maintain charge of, and concurrent direction over, engineering or land surveying decisions and the instruments of professional services to which the licensee affixes the seal, signature, and date; and&nbsp;</span></p> <p><span class="cls0">13. &ldquo;Core curriculum&rdquo; means the Board-approved land surveying courses adopted by Board policy, developed to ensure that land surveyor applicants meet the minimum educational requirements for licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 2, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 2; Laws 1992, c. 165, &sect; 2, eff. July 1, 1992; Laws 1999, c. 74, &sect; 1, eff. Nov. 1, 1999; Laws 2005, c. 115, &sect; 2, eff. Nov. 1, 2005; Laws 2006, c. 58, &sect; 1, eff. July 1, 2006; Laws 2008, c. 312, &sect; 1, eff. Nov. 1, 2008; Laws 2012, c. 139, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.3. State Board of Licensure for Professional Engineers and Land Surveyors.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Licensure for Professional Engineers and Land Surveyors is hereby re-created, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, whose duty it shall be to administer the provisions of Section 475.1 et seq. of this title. The Board shall consist of four professional engineers and two professional land surveyors, at least one of whom is not a professional engineer, all of whom shall be appointed by the Governor, with the advice and consent of the Senate. The Governor shall also appoint one lay member. The engineers and land surveyors shall be appointed by the Governor preferably from a list of nominees submitted by the respective professional engineering or land surveying societies of this state, and shall have the qualifications required by Section 475.4 of this title.&nbsp;</span></p> <p><span class="cls0">B. Each member of the Board shall file with the Secretary of State a written oath or affirmation for the faithful discharge of official duties.&nbsp;</span></p> <p><span class="cls0">C. Appointments to the Board shall be in such manner and for such period of time so that no two terms, with the exception of the lay member, shall expire in the same year. On the expiration of the term of any member, except the lay member, the Governor shall in the manner herein provided appoint for a term of six (6) years a professional engineer or professional land surveyor having the qualifications required in Section 475.4 of this title. The lay member of the Board shall be appointed by the Governor to a term coterminous with that of the Governor. The lay member shall serve at the pleasure of the Governor. Provided, the lay member may continue to serve after the expiration of the member's term until such time as a successor is appointed. Members may be reappointed to succeed themselves. Each member may hold office until the expiration of the term for which appointed or until a successor has been duly appointed and has qualified. In the event of a vacancy on the Board due to resignation, death or for any cause resulting in an unexpired term, if not filled within three (3) months, the Board may appoint a provisional member to serve in the interim until the Governor acts.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 3, emerg. eff. April 26, 1968. Amended by Laws 1980, c. 287, &sect; 1, eff. July 1, 1980; Laws 1982, c. 297, &sect; 3; Laws 1986, c. 31, &sect; 1, eff. July 1, 1986; Laws 1992, c. 4, &sect; 1; Laws 1992, c. 165, &sect; 3, eff. July 1, 1992; Laws 1998, c. 37, &sect; 1; Laws 2004, c. 26, &sect; 1; Laws 2005, c. 115, &sect; 3, eff. Nov. 1, 2005; Laws 2010, c. 33, &sect; 1.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59475.4. Qualifications of Board members.&nbsp;</span></p> <p><span class="cls0">Each engineer member of the Board shall be a citizen of the United States and resident of this state. The member shall have been engaged in the lawful practice of engineering for at least ten (10) years. The member shall have been in responsible charge of engineering projects for at least five (5) years and shall be a licensed professional engineer in this state. Each land surveyor member of the Board shall be a citizen of the United States and a resident of this state. The member shall have been engaged in the lawful practice of land surveying as a land surveyor for at least ten (10) years. The member shall have been in responsible charge of land surveying projects for at least five (5) years and shall be a licensed professional land surveyor in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 4, emerg. eff. April 26, 1968. Amended by Laws 1980, c. 287, &sect; 2, eff. July 1, 1980; Laws 1982, c. 297, &sect; 4; Laws 1992, c. 165, &sect; 4, eff. July 1, 1992; Laws 2005, c. 115, &sect; 4, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59475.6. Removal of Board members Vacancies.&nbsp;</span></p> <p><span class="cls0">The Governor may remove any member of the Board for misconduct, incompetence, neglect of duty or any sufficient cause, in the manner prescribed by law for removal of state officials. Vacancies in the membership of the Board shall be filled for the unexpired term by appointment by the Governor as provided in Section 475.3 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 6, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 6; Laws 2005, c. 115, &sect; 5, eff. Nov. 1, 2005.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59475.7. Meetings Officers Quorum.&nbsp;</span></p> <p><span class="cls0">The Board shall hold at least four regular meetings each year. Special meetings may be held as the bylaws of the Board provide. The Board shall elect or appoint annually the following officers: Chair, Vice Chair, and Secretary. A quorum of the Board shall consist of a majority of the full Board that includes at least one professional land surveyor member.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 7, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 7; Laws 1992, c. 165, &sect; 5, eff. July 1, 1992; Laws 2005, c. 115, &sect; 6, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.8. Powers and authority of Board.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Licensure for Professional Engineers and Land Surveyors shall have the power to adopt and amend all bylaws and rules of procedure, not inconsistent with the Constitution and laws of this state or Section 475.1 et seq. of this title, including the adoption and promulgation of Rules of Professional Conduct for Professional Engineers and Land Surveyors, which may be reasonably necessary for the proper performance of its duties and the regulation of its proceedings, meetings, records, examinations and the conduct thereof. These actions by the Board shall be binding upon persons licensed under Section 475.1 et seq. of this title and shall be applicable to firms holding a certificate of authorization. The Board shall adopt and have an official seal, which shall be affixed to each certificate issued. The Board shall have the further power and authority to:&nbsp;</span></p> <p><span class="cls0">1. Establish and amend minimum standards for the practice of engineering and land surveying;&nbsp;</span></p> <p><span class="cls0">2. Establish continuing education requirements for renewal of professional engineering and professional land surveyor licenses;&nbsp;</span></p> <p><span class="cls0">3. Promulgate rules concerning the ethical marketing of professional engineering and land surveying services; and&nbsp;</span></p> <p><span class="cls0">4. Upon good cause shown, as hereinafter provided, deny the issuance, restoration or renewal of, or place on probation for a period of time and subject to such conditions as the Board may specify, a certificate of licensure or certificate of authorization or suspend, revoke or refuse to renew certificates of licensure or certificates of authorization previously issued, and upon proper showing to review, affirm, reverse, vacate or modify its orders with respect to such denial, suspension, revocation or refusal to renew.&nbsp;</span></p> <p><span class="cls0">B. The Board is hereby authorized to levy administrative penalties against any person or entity who or which violates any of the provisions of Section 475.1 et seq. of this title or any rule or regulation promulgated pursuant thereto. The Board is hereby authorized to initiate disciplinary, prosecutorial and injunctive proceedings against any person or entity who or which has violated any of the provisions of Section 475.1 et seq. of this title or any rule or regulation of the Board promulgated pursuant thereto. The Board shall investigate alleged violations of the provisions of Section 475.1 et seq. of this title or of the rules or regulations, orders or final decisions of the Board.&nbsp;</span></p> <p><span class="cls0">C. The Board is hereby authorized to acquire by purchase, lease, gift, solicitation of gift or by any other lawful means, and maintain, use and operate real property and improvements; contract for the maintenance, use, and operation of or lease of any and all real property and improvements; lease or sublease any part of real property and improvements acquired pursuant to this section to public entities, private entities, or private persons, on any terms and for any consideration deemed appropriate by the Board, subject to restrictions in purchase or lease documents relating to property acquired; provided, all contracts for real property and improvements shall be subject to the provisions of Section 63 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">D. In carrying into effect the provisions of Section 475.1 et seq. of this title, the Board, under the hand of its Chair, Vice Chair, or Executive Director and the seal of the Board, may subpoena witnesses and compel their attendance, and may also require the submission of books, papers, documents or other pertinent data, in any disciplinary matters, or in any case wherever a violation of Section 475.1 et seq. of this title is alleged. Upon failure or refusal to comply with any such order of the Board, or upon failure to honor its subpoena, as herein provided, the Board may apply to a court of proper jurisdiction for an order to enforce compliance with same.&nbsp;</span></p> <p><span class="cls0">E. The Board is hereby authorized in the name of the state to apply for relief by injunction in the established manner provided in cases of civil procedure, without bond, to enforce the provisions of Section 475.1 et seq. of this title, or to restrain any violation thereof. In such proceedings, it shall not be necessary to allege or prove either that an adequate remedy at law does not exist or that substantial or irreparable damage would result from the continued violation thereof. The members of the Board shall not be personally liable under this proceeding.&nbsp;</span></p> <p><span class="cls0">F. The Board may subject an applicant for licensure or a licensee to such examinations as it deems necessary to determine the applicant's or licensee&rsquo;s qualifications. The Board may dispose of a formal complaint against a licensee for a violation of Section 475.1 et seq. of this title by an order that a licensee shall complete the examinations as the Board deems necessary to determine the qualifications of the licensee, and upon the initial failure or refusal to successfully complete the examination, within the time ordered, place conditions on the license of the licensee to practice and order other remedies until competence is demonstrated.&nbsp;</span></p> <p><span class="cls0">G. No action or other legal proceedings for damages shall be instituted against the Board or against any Board member or employee of the Board for any act done in good faith and in the intended performance of any power granted under Section 475.1 et seq. of this title or for any neglect or default in the performance or exercise in good faith of any such duty or power.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 8, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 8; Laws 1992, c. 165, &sect; 6, eff. July 1, 1992; Laws 2005, c. 115, &sect; 7, eff. Nov. 1, 2005; Laws 2010, c. 337, &sect; 1, emerg. eff. June 6, 2010; Laws 2012, c. 139, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.9. Professional Engineers and Land Surveyors Fund - Expenditures - Audits.&nbsp;</span></p> <p><span class="cls0">A. The Executive Director of the State Board of Licensure for Professional Engineers and Land Surveyors shall be responsible for accounting for all monies derived under the provisions of Section 475.1 et seq. of this title. This fund shall be known as the "Professional Engineers and Land Surveyors Fund", and shall be deposited with the State Treasurer, and shall be paid out only upon requisitions submitted by the Secretary or Executive Director. All monies in this fund are hereby specifically appropriated for the use of the Board, and at the end of each fiscal year the Board shall pay into the General Revenue Fund of the state an amount equal to ten percent (10%) of all licensure and certification fees in compliance with Section 211 of Title 62 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. The Board shall obtain an office, secure such facilities, and employ, direct, discharge and define the duties and salaries of an Executive Director, Principal Assistant, Director of Enforcement, Board Investigator and such clerical or other assistants as are necessary for the proper performance of its work. The Board shall make expenditures from the fund created in subsection A of this section for any purpose which, in the opinion of the Board, is reasonably necessary for the proper performance of its duties under Section 475.1 et seq. of this title, including examination administration fees, the expenses of the Board's delegates to meetings of and membership fees to the National Council of Examiners for Engineering and Surveying, meaning the national nonprofit organization composed of engineering and land surveying licensing boards commonly called NCEES, and any of its subdivisions, as provided in the State Travel Reimbursement Act, Section 500.1 et seq. of Title 74 of the Oklahoma Statutes. Under no circumstances shall the total amount of warrants issued in payment of the expenses and compensation provided for in Section 475.1 et seq. of this title exceed the amount of monies in the fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 9, emerg. eff. April 26, 1968. Amended by Laws 1980, c. 159, &sect; 11, emerg. eff. April 2, 1980; Laws 1982, c. 297, &sect; 9; Laws 1992, c. 165, &sect; 7, eff. July 1, 1992; Laws 2005, c. 115, &sect; 8, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 2, eff. Nov. 1, 2008; Laws 2010, c. 413, &sect; 17, eff. July 1, 2010; Laws 2012, c. 139, &sect; 3.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.10. Record of proceedings and applications - Evidentiary use - Annual reports - Confidentiality.&nbsp;</span></p> <p><span class="cls0">A. The Board shall keep a record of its proceedings and of all applications for licensure, which record shall show:&nbsp;</span></p> <p><span class="cls0">1. The name, date of birth and lastknown address of each applicant;&nbsp;</span></p> <p><span class="cls0">2. The date of application;&nbsp;</span></p> <p><span class="cls0">3. The place of business of the applicant;&nbsp;</span></p> <p><span class="cls0">4. The education, experience and other qualifications of the applicant;&nbsp;</span></p> <p><span class="cls0">5. The type of examination required;&nbsp;</span></p> <p><span class="cls0">6. Whether or not the applicant was rejected;&nbsp;</span></p> <p><span class="cls0">7. Whether or not a certificate of licensure was granted;&nbsp;</span></p> <p><span class="cls0">8. The date of the action of the Board; and&nbsp;</span></p> <p><span class="cls0">9. Such other information as may be deemed necessary by the Board.&nbsp;</span></p> <p><span class="cls0">B. The record of the Board shall be prima facie evidence of the proceedings of the Board and a transcript thereof, duly certified by the Secretary under seal, shall be admissible as evidence with the same force and effect as if the original were produced.&nbsp;</span></p> <p><span class="cls0">C. The Board shall submit, upon request from the Governor, a report of its transactions of the preceding year, including a complete statement of the receipts and expenditures of the Board, attested by affidavits of its Chairman and its Secretary.&nbsp;</span></p> <p><span class="cls0">D. Board records and papers of the following class may be kept confidential by the Board: examination materials, file records of examination problem solutions, exam scores, letters of inquiry and reference concerning applicants, transcripts of college courses and grades, investigation files, closed complaints, information otherwise protected by law and all other matters of like confidential nature.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 10, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 10; Laws 1992, c. 165, &sect; 8, eff. July 1, 1992; Laws 2005, c. 115, &sect; 9, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59475.11. Rosters.&nbsp;</span></p> <p><span class="cls0">Complete rosters showing the names and lastknown addresses of all professional engineers and professional land surveyors shall be maintained and made available to the licensees and the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 11, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 11; Laws 1992, c. 165, &sect; 9, eff. July 1, 1992; Laws 2005, c. 115, &sect; 10, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.12. Qualifications for licensure or certification.&nbsp;</span></p> <p><span class="cls0">A. Engineer&nbsp;</span></p> <p><span class="cls0">To be eligible for consideration for licensure as a professional engineer, or certification as an engineer intern, an applicant must be of good character and reputation and shall submit five references with application for licensure as a professional engineer, three of which shall be professional engineers having personal knowledge of the applicant's engineering experience, or, in the case of an application for certification as an engineer intern, by three character references.&nbsp;</span></p> <p><span class="cls0">One of the following shall be considered as minimum evidence satisfactory to the Board that the applicant is qualified for licensure as a professional engineer, or for certification as an engineer intern, respectively:&nbsp;</span></p> <p><span class="cls0">1. As a professional engineer:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Licensure by Comity or Endorsement A person holding a certificate of registration or licensure to engage in the practice of engineering issued by a proper authority of a jurisdiction or possession of the United States or the District of Columbia, based on requirements that do not conflict with the provisions of Section 475.1 et seq. of this title and possessing credentials that are, in the judgment of the Board, of a standard not lower than that specified in the applicable licensure act in effect in this state at the time such certificate was issued, may, upon application, be licensed without further examination except as required to present evidence of knowledge of statutes, rules and design requirements unique to this state.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Graduation, Experience and Examination A graduate of an engineering program of four (4) years or more approved by the Board as being of satisfactory standing, and following the date of degree, a specific record of an additional four (4) years or more of progressive experience on engineering projects of a grade and character which indicates to the Board that the applicant may be competent to practice engineering, who has also passed a Board-approved NCEES examination in the fundamentals of engineering as provided in subparagraph a of paragraph 2 of this subsection, shall be admitted to a Board-approved NCEES examination in the principles and practice of engineering. Upon passing such examinations, as well as an examination in knowledge of statutes, rules and design requirements unique to this state, the applicant shall be granted a certificate of licensure to practice engineering in this state, if otherwise qualified. The Board may waive the fundamentals of engineering examination requirement for the issuance of a license if the applicant possesses sufficient progressive experience on engineering projects to indicate to the Board that the applicant may be competent to practice engineering. The Board shall evaluate all elements of the application, according to Board rules, to assess waiver requests.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Alternative Graduation, Experience and Education A graduate of an engineering or related science program of four (4) years or more, other than the ones approved by the Board and following the date of degree, a specific record of six (6) years or more of progressive experience on engineering projects of a character and grade which indicates to the Board that the applicant may be competent to practice engineering who has also passed a Board-approved NCEES examination in the fundamentals of engineering as provided in subparagraph b of paragraph 2 of this subsection, shall be admitted to a Board-approved NCEES examination in the principles and practice of engineering. Upon passing such examination, as well as an examination in knowledge of statutes, rules and design requirements unique to this state, the applicant shall be granted a certificate of licensure to practice engineering in this state, if otherwise qualified. The Board may waive the fundamentals of engineering examination requirement for the issuance of a license if the applicant possesses sufficient progressive experience on engineering projects to indicate to the Board that the applicant may be competent to practice engineering. The Board shall evaluate all elements of the application, according to Board rules, to assess waiver requests.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;A four-year degree in a science not considered a related science degree by the Board must be followed by a Masters Degree in engineering from an institution with a comparable EAC/ABET accredited undergraduate engineering program before being considered for approval as a related science degree by the Board. Foreign degrees not determined by the Board to be substantially equivalent to an EAC/ABET accredited engineering degree may be considered following a degree evaluation by an evaluation service approved by the Board. The maximum equivalency granted for all foreign degrees, except those determined to be substantially equivalent to an EAC/ABET accredited engineering degree, shall be that of a related science degree.&nbsp;</span></p> <p><span class="cls0">2. As an engineer intern:&nbsp;</span></p> <p><span class="cls0">The following shall be considered as minimum evidence that the applicant is qualified for certification as an engineer intern:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Graduation and Examination - A graduate of an engineering program of four (4) years or more approved by the Board, or an applicant who has completed ninety (90) semester hours or more of academic requirements for graduation, shall be admitted to a Board-approved NCEES examination in the fundamentals of engineering. Upon passing such examination and providing proof of graduation, the applicant shall be certified or enrolled as an engineer intern, if otherwise qualified.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Alternative Graduation, Experience and Examination - A graduate of an engineering or related science curriculum of four (4) years or more, other than the ones approved by the Board or an applicant who has completed ninety (90) semester hours or more of academic requirements for graduation, shall be admitted to a Board-approved NCEES examination in the fundamentals of engineering. Upon passing such examination, providing proof of graduation and providing proof of a specific record of one (1) year or more of progressive engineering experience in engineering projects of a grade and character satisfactory to the Board, the applicant shall be certified or enrolled as an engineer intern, if otherwise qualified.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;A four-year degree in a science not considered a related science degree by the Board must be followed by a Masters Degree in engineering from an institution with a comparable EAC/ABET accredited undergraduate engineering program before being considered for approval as a related science degree by the Board. Foreign degrees not determined by the Board to be substantially equivalent to an EAC/ABET accredited engineering degree may be considered following a degree evaluation by an evaluation service approved by the Board. The maximum equivalency granted for all foreign degrees, except those determined to be substantially equivalent to an EAC/ABET accredited engineering degree, shall be that of a related science degree.&nbsp;</span></p> <p><span class="cls0">B. Land Surveyor&nbsp;</span></p> <p><span class="cls0">To be eligible for consideration for licensure as a professional land surveyor or certification as a land surveyor intern, an applicant must be of good character and reputation and shall submit five references with application for licensure as a professional land surveyor, three of which shall be licensed land surveyors having personal knowledge of the applicant's land surveying experience; or in the case of an applicant for certification as a land surveyor intern, by three character references.&nbsp;</span></p> <p><span class="cls0">The evaluation of a professional land surveyor applicant's qualifications shall include consideration of the applicant's education, technical and land surveying experience, and recommendations by references.&nbsp;</span></p> <p><span class="cls0">One of the following shall be considered as minimum evidence satisfactory to the Board that the applicant is qualified for licensure as a professional land surveyor or for certification as a land surveyor intern, respectively.&nbsp;</span></p> <p><span class="cls0">1. As a land surveyor:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Licensure by Comity or Endorsement A person holding a certificate of licensure to engage in the practice of land surveying issued by a proper authority of a jurisdiction or possession of the United States or the District of Columbia, based on comparable qualifications satisfactory to the Board, will be given comity consideration. However, the person may be required to take such examinations as the Board deems necessary to determine the person's qualifications, but in any event, the person shall be required to pass a written examination of such duration as established by the Board, which shall include questions on laws, procedures and practices pertaining to land surveying in this state.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Graduation, Experience and Examination -&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;A graduate of a surveying program of four (4) years or more approved by the Board and a specific record of four (4) years or more of progressive combined office and field experience satisfactory to the Board on land surveying projects of a grade and character which indicates to the Board that the applicant may be competent to practice land surveying, of which no less than two (2) years experience must be following the date of the degree, who has also passed a Board-approved NCEES examination in the fundamentals of surveying as provided in subparagraph a of paragraph 2 of this subsection, shall be admitted to a Board-approved NCEES examination in the principles and practice of surveying and a Board-approved Oklahoma Law and Surveying examination. Upon passing such examinations, the applicant shall be granted a certificate of licensure to practice land surveying in this state, if otherwise qualified.&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;A graduate of a surveying program of two (2) years or more approved by the Board and a specific record of six (6) years or more of progressive combined office and field experience satisfactory to the Board on land surveying projects of a grade and character which indicates to the Board that the applicant may be competent to practice land surveying and who has also passed a Board-approved NCEES examination in the fundamentals of surveying as provided in subparagraph a of paragraph 2 of this subsection shall be admitted to a Board-approved NCEES examination in the principles and practice of surveying and a Board-approved Oklahoma Law and Surveying examination. Upon passing such examination, the applicant shall be granted a certificate of licensure to practice land surveying in this state, if otherwise qualified. &nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Alternative Graduation, Experience and Examination -&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;A graduate of other academic programs of two (2) years or more, approved by the Board, which shall include the Board-approved core curriculum in surveying and a specific record of six (6) years or more of progressive combined office and field experience satisfactory to the Board on land surveying projects of a grade and character which indicates to the Board that the applicant may be competent to practice land surveying who has passed a Board-approved NCEES examination in the fundamentals of surveying, as provided in division (1) of subparagraph b of paragraph 2 of this subsection shall be admitted to a Board-approved NCEES examination in the principles and practice of surveying and a Board-approved Oklahoma Law and Surveying examination. Upon passing such examination, the applicant shall be granted a certificate of licensure to practice land surveying in this state, if otherwise qualified. &nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;An applicant who provides proof of completion of sixty (60) credit hours, approved by the Board, which shall include the Board-approved core curriculum in surveying, and a specific record of six (6) years or more of progressive combined office and field experience satisfactory to the Board on land surveying projects of a grade and character which indicates to the Board that the applicant may be competent to practice land surveying, who has also passed a Board-approved NCEES examination in the fundamentals of surveying as provided in division (2) of subparagraph b of paragraph 2 of this subsection, shall be admitted to a Board-approved examination in the principles and practice of surveying and a Board-approved Oklahoma Law and Surveying examination. Upon passing such examinations, the applicant shall be granted a certificate of licensure to practice land surveying in this state, if otherwise qualified. &nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;Long Established Practice and Examination - An applicant with a specific record of nine (9) years or more of practice in land surveying of a grade and character satisfactory to the Board which indicates to the Board that the applicant may be competent to practice land surveying shall be admitted to a Board-approved NCEES examination in the fundamentals of land surveying, and, if passed, then shall be admitted to a Board-approved NCEES examination in the principles and practice of surveying and a Board-approved Oklahoma Law and Surveying examination. Upon passing such examinations, the applicant shall be granted a certificate of licensure to practice land surveying in this state, if otherwise qualified. Provided, after July 1, 2014, &ldquo;Long Established Practice and Examination&rdquo;, as specified in this paragraph, shall not be considered by the Board as minimum evidence that an applicant is qualified for licensure as a professional land surveyor.&nbsp;</span></p> <p><span class="cls0">2. As a land surveyor intern:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Graduation and Examination -&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;A graduate of a surveying program of four (4) years or more approved by the Board, or an applicant who has completed sixty (60) semester hours or more of academic requirements for graduation, shall be admitted to a Board-approved NCEES examination in the fundamentals of surveying. Upon passing such examination and providing proof of graduation, the applicant shall be certified or enrolled as a land surveyor intern, if otherwise qualified.&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;A graduate of a surveying program of two (2) years or more approved by the Board or an applicant who has completed forty-five (45) semester hours or more of academic requirements for graduation from a two-year surveying program approved by the Board shall be admitted to a Board-approved NCEES examination in the fundamentals of surveying. Upon passing such examination and providing proof of graduation, the applicant shall be certified or enrolled as a land surveyor intern, if otherwise qualified. &nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Alternative Graduation, Experience and Examination -&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;A graduate of other academic programs of two (2) years or more approved by the Board, which shall include the Board-approved core curriculum in surveying, or an applicant who has completed forty-five (45) semester hours or more of academic requirements for graduation, including twenty-one (21) semester hours or more of the core curriculum, from another academic program of two (2) years or more approved by the Board, shall be admitted to a Board-approved NCEES examination in the fundamentals of surveying. Upon passing such examination, providing proof of graduation and providing proof of a specific record of one (1) year or more of progressive experience satisfactory to the Board on land surveying projects of a grade and character which indicates to the Board that the applicant may be competent to practice land surveying, the applicant shall be certified or enrolled as a land surveyor intern, if otherwise qualified. &nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;An applicant who provides proof of completion of sixty (60) credit hours approved by the Board, which shall include the Board-approved core curriculum in surveying, or an applicant who has completed forty-five (45) semester hours or more of academic requirements for graduation, including twenty-one (21) semester hours or more of the core curriculum, shall be admitted to a Board-approved NCEES examination in the fundamentals of surveying. Upon passing such examination and providing proof of a specific record of one (1) year or more of progressive experience satisfactory to the Board on land surveying projects of a grade and character which indicates to the Board that the applicant may be competent to practice land surveying, the applicant shall be certified or enrolled as a land surveyor intern, if otherwise qualified. &nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 12, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 12; Laws 1992, c. 165, &sect; 10, eff. July 1, 1992; Laws 2005, c. 115, &sect; 11, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 4, eff. Nov. 1, 2008; Laws 2012, c. 139, &sect; 4.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.13. Application form - Certified council record in lieu of form - Fees.&nbsp;</span></p> <p><span class="cls0">A. 1. Application for licensure as a professional engineer or professional land surveyor or certification as an engineer intern or land surveyor intern shall be on a form prescribed and furnished by the Board. It shall contain statements made under oath, showing the applicant's education and a detailed summary of technical and engineering or land surveying experience and shall include the names and complete mailing addresses of the references, none of whom may be members of the Board.&nbsp;</span></p> <p><span class="cls0">2. The Board may accept the certified information contained in a valid council record issued by the National Council of Examiners for Engineering and Surveying for professional engineer or professional land surveyor applicants in lieu of the same information that is required on the form prescribed and furnished by the Board.&nbsp;</span></p> <p><span class="cls0">B. 1. The application fees shall be established by Board rules.&nbsp;</span></p> <p><span class="cls0">2. The certification fee for a firm shall be established by Board rules.&nbsp;</span></p> <p><span class="cls0">3. Should the Board deny the issuance of a certificate of licensure to any applicant, including the application of a firm for a certificate of authorization, the fee shall be retained as an application fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 13, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 13; Laws 1992, c. 165, &sect; 11, eff. July 1, 1992; Laws 2005, c. 115, &sect; 12, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 5, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.14. Examinations.&nbsp;</span></p> <p><span class="cls0">A. The examination shall be held at such times and places as the Board directs.&nbsp;</span></p> <p><span class="cls0">B. Examinations may be taken only after the applicant has met other minimum requirements as set forth in Section 475.12 of this title, and has been authorized to seek admission through NCEES or approved by the Board for admission to one or more of the following examinations:&nbsp;</span></p> <p><span class="cls0">1. Fundamentals of Engineering;&nbsp;</span></p> <p><span class="cls0">2. Principles and Practice of Engineering;&nbsp;</span></p> <p><span class="cls0">3. Fundamentals of Surveying;&nbsp;</span></p> <p><span class="cls0">4. Principles and Practice of Surveying;&nbsp;</span></p> <p><span class="cls0">5. Oklahoma Law and Surveying; and&nbsp;</span></p> <p><span class="cls0">6. Oklahoma Law and Engineering.&nbsp;</span></p> <p><span class="cls0">C. A candidate failing an examination may apply for the next available examination, as prescribed by NCEES policies and procedures, which may be granted upon payment of an application fee established by the Board if applicable.&nbsp;</span></p> <p><span class="cls0">D. The applicant shall pay all fees established by the Board for examination documents and grading. The required fees shall be paid by the applicant in advance of the examination.&nbsp;</span></p> <p><span class="cls0">E. The Board may prepare and adopt specifications for the examinations in engineering and land surveying. They shall be made available to the public and to any person interested in being licensed as a professional engineer or as a professional land surveyor.&nbsp;</span></p> <p><span class="cls0">F. For any examination that is administered by NCEES using computer-based testing, a candidate shall only be administered the examination during a specified time period as frequently as prescribed by NCEES policies and procedures.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 14, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 14; Laws 1992, c. 165, &sect; 12, eff. July 1, 1992; Laws 2005, c. 115, &sect; 13, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 6, eff. Nov. 1, 2008; Laws 2012, c. 139, &sect; 5.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.15. Certificate of licensure - Seal - Intern certificate.&nbsp;</span></p> <p><span class="cls0">A. The Board shall issue to any applicant who, in the opinion of the Board, has met the requirements of Section 475.1 et seq. of this title, a certificate of licensure giving the licensee proper authority to practice in this state. The certificate of licensure for a professional engineer shall carry the designation "Professional Engineer" and for a professional land surveyor, "Professional Land Surveyor". It shall give the full name of the licensee with the licensure number and shall be signed by the Chair and the Secretary under the seal of the Board.&nbsp;</span></p> <p><span class="cls0">B. This certificate shall be prima facie evidence that the person named thereon is entitled to all rights, privileges and responsibilities of a professional engineer or professional land surveyor, while the certificate remains unrevoked and unexpired.&nbsp;</span></p> <p><span class="cls0">C. Each licensee hereunder may, upon licensure, obtain a seal, the design and use of which are described in Board rules. It shall be unlawful for a licensee to affix, or permit his or her seal or signature to be affixed, to any document after the expiration or revocation of a license, or for the purpose of aiding or abetting any other person to evade or attempt to evade any provision of Section 475.1 et seq. of this title. Whenever the seal is applied, the document must be signed by the licensee thereby certifying that he or she is competent in the subject matter and was in responsible charge of the work product. Documents must be sealed and signed in accordance with the Board rules whenever presented to a client, a user or any public or governmental agency. Whenever the seal is applied, the signature of the licensee and date of signature shall be placed adjacent to or across the seal. Drawings, reports or documents that are signed using a digital or electronic signature must be done in a manner that is in direct control and personal supervision of the professional engineer or professional land surveyor and must conform to the specifications in the Board rules regarding digital or electronic signatures. A professional engineer, land surveyor or firm shall retain a hard copy or electronic copy of all technical submissions produced for a minimum of ten (10) years following the date of preparation.&nbsp;</span></p> <p><span class="cls0">D. The Board shall issue to any applicant who, in the opinion of the Board, has met the requirements of Section 475.1 et seq. of this title, a certificate as an engineer intern or land surveyor intern which indicates that his or her name has been recorded as such in the Board office. The engineer intern or land surveyor intern certificate does not authorize the holder to practice as a professional engineer or professional land surveyor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 15, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 15; Laws 1992, c. 165, &sect; 13, eff. July 1, 1992; Laws 2005, c. 115, &sect; 14, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 7, eff. Nov. 1, 2008; Laws 2012, c. 139, &sect; 6.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59475.16. Term of certificate &ndash; Notice of expiration date - Renewal.&nbsp;</span></p> <p><span class="cls0">A. The Board shall issue certificates of licensure and certificates of authorization for firms for a term of twentyfour (24) months.&nbsp;</span></p> <p><span class="cls0">B. It shall be the duty of the Executive Director to notify every person licensed under Section 475.1 et seq. of this title, and every firm holding a certificate of authorization under Section 475.1 et seq. of this title, of the date of the expiration of said certificate of licensure or certificate of authorization, and the amount of the fee required for its renewal. Such notice shall be mailed to the licensee or firm at the lastknown address as shown in the records of the Board at least one (1) month in advance of the date of the expiration of the certificate.&nbsp;</span></p> <p><span class="cls0">C. Renewal may be affected at any time prior to or during the month of expiration by the payment of a fee as established by the Board. Renewal of an expired certificate may be affected under rules promulgated by the Board regarding requirements for reexamination and penalty fees.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 16, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 16; Laws 1992, c. 165, &sect; 14, eff. July 1, 1992; Laws 2005, c. 115, &sect; 15, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59475.17. Lost or destroyed certificates Replacement.&nbsp;</span></p> <p><span class="cls0">A new certificate of licensure or certificate of authorization, to replace any certificate lost, destroyed or mutilated, may be issued, subject to the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 17, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 17; Laws 2005, c. 115, &sect; 16, eff. Nov. 1, 2005.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.18. Disciplinary actions - Grounds - Rules of Professional Conduct.&nbsp;</span></p> <p><span class="cls0">A. As provided in subsections A and B of Section 475.8 of this title, the Board shall have the power to deny, place on probation, suspend, revoke or refuse to issue a certificate or license, or fine, reprimand, issue orders, levy administrative fines or seek other penalties, if a person or entity is found guilty of:&nbsp;</span></p> <p><span class="cls0">1. The practice of any fraud or deceit in obtaining or attempting to obtain or renew a certificate of licensure, or a certificate of authorization or in taking the examinations administered by the Board or its authorized representatives;&nbsp;</span></p> <p><span class="cls0">2. Any fraud, misrepresentation, gross negligence, incompetence, misconduct or dishonest practice, in the practice of engineering or land surveying;&nbsp;</span></p> <p><span class="cls0">3. Conviction of or entry of a plea of guilty or nolo contendere to any crime under the laws of the United States, or any state or territory thereof, which is a felony, whether related to practice or not; and conviction of or entry of a plea of guilty or nolo contendere to any crime, whether a felony, misdemeanor, or otherwise, an essential element of which is dishonesty or which is related to the practice of engineering or land surveying;&nbsp;</span></p> <p><span class="cls0">4. Failure to comply with any of the provisions of Section 475.1 et seq. of this title or any of the rules or regulations pertaining thereto;&nbsp;</span></p> <p><span class="cls0">5. Violation of the laws or rules of another state, territory, the District of Columbia, a foreign country, the United States government, or any other governmental agency, if at least one of the violations is the same or substantially equivalent to those contained in this section;&nbsp;</span></p> <p><span class="cls0">6. Failure, within thirty (30) days, to provide information requested by the Board as a result of a formal or informal complaint to the Board which would indicate a violation of Section 475.1 et seq. of this title;&nbsp;</span></p> <p><span class="cls0">7. Knowingly making false statements or signing false statements, certificates or affidavits;&nbsp;</span></p> <p><span class="cls0">8. Aiding or assisting another person or entity in violating any provision of Section 475.1 et seq. of this title or the rules or regulations pertaining thereto;&nbsp;</span></p> <p><span class="cls0">9. Violation of any terms imposed by the Board, or using a seal or practicing engineering or land surveying while the professional engineer's license or land surveyor's license is suspended, revoked, nonrenewed, retired or inactive;&nbsp;</span></p> <p><span class="cls0">10. Signing, affixing the professional engineer's or land surveyor's seal, or permitting the professional engineer's or land surveyor's seal or signature to be affixed to any specifications, reports, drawings, plans, design information, construction documents, calculations, other documents, or revisions thereof, which have not been prepared by, or under the direct control and personal supervision of the professional engineer or land surveyor in responsible charge;&nbsp;</span></p> <p><span class="cls0">11. Engaging in dishonorable, unethical or unprofessional conduct of a character likely to deceive, defraud or harm the public;&nbsp;</span></p> <p><span class="cls0">12. Providing false testimony or information to the Board;&nbsp;</span></p> <p><span class="cls0">13. Habitual intoxication or addiction to the use of alcohol or to the illegal use of a controlled dangerous substance;&nbsp;</span></p> <p><span class="cls0">14. Performing engineering or surveying services outside any of the licensee&rsquo;s areas of competence; and&nbsp;</span></p> <p><span class="cls0">15. Violating the Oklahoma Minimum Standards for the Practice of Land Surveying.&nbsp;</span></p> <p><span class="cls0">B. The Board shall prepare and adopt Rules of Professional Conduct for Professional Engineers and Land Surveyors as provided for in Section 475.8 of this title, which shall be made available in writing to every licensee and applicant for licensure under Section 475.1 et seq. of this title. The Board may revise and amend these Rules of Professional Conduct for Professional Engineers and Land Surveyors from time to time and shall notify each licensee, in writing, of such revisions or amendments.&nbsp;</span></p> <p><span class="cls0">C. Principals of a firm who do not obtain a certificate or authorization as required by Section 475.1 et seq. of this title may be subject to disciplinary action of individual licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 18, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 18; Laws 1992, c. 165, &sect; 15, eff. July 1, 1992; Laws 2005, c. 115, &sect; 17, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 8, eff. Nov. 1, 2008; Laws 2012, c. 139, &sect; 7.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-475.19. Allegations of violations - Notice and hearing - Appeal.&nbsp;</span></p> <p><span class="cls0">A. Any person may bring allegations of violations of Section 475.1 et seq. of this title against any person, licensee, or against any firm. All allegations shall be timely investigated by the Board and, unless determined unfounded or trivial by the Board, or unless settled by mutual accord, shall be filed as formal complaints by the Board.&nbsp;</span></p> <p><span class="cls0">B. The time and place for said hearing shall be fixed by the Board, and a copy of the charges, together with a notice of the time and place of hearing, shall be personally served on or mailed to the lastknown address of such person, licensee, or entity, at least thirty (30) days before the date fixed for the hearing. At any hearing, the accused shall have the right to appear in person or by counsel, or both, to crossexamine witnesses in their defense, and to produce evidence and witnesses in their own defense. If the accused fails or refuses to appear, the Board may proceed to hear and determine the validity of the charges.&nbsp;</span></p> <p><span class="cls0">C. If, after such hearing, a majority of the Board vote in favor of sustaining any one or more of the charges, the Board shall reprimand, fine for each count or separate offense, levy administrative penalties pursuant to Section 475.20 of this title, place on probation for a period of time and subject to such conditions as the Board may specify, refuse to issue, restore, renew, suspend or revoke the individual's certificate of licensure, or the firm's certificate of authorization.&nbsp;</span></p> <p><span class="cls0">D. Any person, licensee, or firm, aggrieved by any action of the Board in levying a fine, denying, suspending, refusing to issue, restore or renew or revoking the certificate of licensure of the person, or its certificate of authorization, may appeal therefrom to the proper court under normal civil procedures.&nbsp;</span></p> <p><span class="cls0">E. The Board may, upon petition of an individual licensee or firm holding a certificate of authorization, reissue a certificate of licensure or authorization, provided that a majority of the members of the Board vote in favor of such issuance.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 19 , emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 19; Laws 1992, c. 165, &sect; 16, eff. July 1, 1992; Laws 2005, c. 115, &sect; 18, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.20. Criminal and administrative penalties - Legal counsel.&nbsp;</span></p> <p><span class="cls0">A. Criminal penalties:&nbsp;</span></p> <p><span class="cls0">Any person or entity who practices, or offers to practice, engineering or land surveying in this state without being licensed by the State Board of Professional Engineers and Land Surveyors in accordance with the provisions of Section 475.1 et seq. of this title, or any person or entity using or employing the words "engineer" or "engineering" or "land surveyor" or "land surveying" or any modification or derivative thereof in its name or form of business or activity except as authorized in Section 475.1 et seq. of this title, or any person presenting or attempting to use the certificate of licensure or the seal of another, or any person who shall give false or forged evidence of any kind to the Board or to any member thereof in obtaining or attempting to obtain a certificate of licensure, or any person who shall falsely impersonate any other licensee of like or different name, or any person who shall attempt to use an expired, suspended, revoked, or nonexistent certificate of licensure, or who shall practice or offer to practice when not qualified, or any person who falsely claims to be registered or licensed under Section 475.1 et seq. of this title, or any person who shall violate any of the provisions of Section 475.1 et seq. of this title, shall be guilty of a misdemeanor, punishable by a fine of not less than Two Hundred Fifty Dollars ($250.00), nor more than Two Thousand Dollars ($2,000.00).&nbsp;</span></p> <p><span class="cls0">B. Administrative penalties:&nbsp;</span></p> <p><span class="cls0">1. Any person or entity who has been determined by the Board to have violated any provision of Section 475.1 et seq. of this title, or any rule, regulation or order issued pursuant to such provisions, may be liable for an administrative penalty of not less than Two Hundred Fifty Dollars ($250.00) nor more than Ten Thousand Dollars ($10,000.00) for each separate violation.&nbsp;</span></p> <p><span class="cls0">2. The amount of the penalty shall be assessed by the Board pursuant to the provisions of subsection 1 of this section, after notice and hearing. In determining the amount of the penalty, the Board shall include, but not be limited to, consideration of the nature, circumstances and gravity of the violation, and with respect to the person or entity found to have committed the violation, the degree of culpability, the effect on ability of the person or entity to continue to do business and any show of good faith in attempting to achieve compliance with the provisions of Section 475.1 et seq. of this title. All monies collected from administrative penalties shall be deposited with the State Treasurer and placed in the "Professional Engineers and Land Surveyors Fund".&nbsp;</span></p> <p><span class="cls0">3. Any certificate of licensure or certificate of authorization holder may elect to surrender the certificate of licensure or certificate of authorization in lieu of an administrative action, but shall be permanently barred from obtaining a reissuance of the certificate of registration or certificate of authorization.&nbsp;</span></p> <p><span class="cls0">C. Legal Counsel:&nbsp;</span></p> <p><span class="cls0">The Attorney General of this state or an assistant shall act as legal advisor to the Board and render such legal assistance as may be necessary in carrying out the provisions of Section 475.1 et seq. of this title. The Board may employ counsel and necessary assistance to aid in the enforcement of such provisions, and the compensation and expenses therefor shall be paid from funds of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 20, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 20; Laws 1992, c. 165, &sect; 17, eff. July 1, 1992; Laws 1997, c. 133, &sect; 508, eff. July 1, 1999; Laws 1999, c. 74, &sect; 2, eff. Nov. 1, 1999; Laws 2005, c. 115, &sect; 19, eff. Nov. 1, 2005; Laws 2008, c. 312, &sect; 10, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex. Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 508 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.21. Condition for practice of engineering or land surveying by firm.&nbsp;</span></p> <p><span class="cls0">A. The practice of or offer to practice engineering or land surveying by firms authorized under Section 475.1 et seq. of this title, or by more than one person acting individually through a firm, is permitted provided:&nbsp;</span></p> <p><span class="cls0">1. The person(s) in responsible charge of such practice and all personnel who act in behalf of said firm in professional engineering and land surveying matters in this state are licensed under Section 475.1 et seq. of this title; and&nbsp;</span></p> <p><span class="cls0">2. Said firm has been issued a certificate of authorization by the Board.&nbsp;</span></p> <p><span class="cls0">B. An engineering or land surveying firm desiring a certificate of authorization shall file with the Board an application, using a form provided by the Board, and provide all the information required by the Board. The Board shall prescribe a form to be filed with the renewal fee and which shall be updated within thirty (30) days of the time any information contained on the form is changed or differs for any reason. If, in the Board's judgment, the information contained on the form warrants such action, the Board shall issue a certificate of authorization for said firm to practice engineering and/or land surveying.&nbsp;</span></p> <p><span class="cls0">No such firm shall be relieved of responsibility for the conduct or acts of its agents, employees, officers or partners by reason of its compliance with the provisions of this section. No individual practicing engineering or land surveying, pursuant to the provisions of Section 475.1 et seq. of this title, shall be relieved of responsibility for engineering or land surveying services performed by reason of employment or other relationship with a firm holding a certificate of authorization.&nbsp;</span></p> <p><span class="cls0">C. The Secretary of State shall not issue a certificate of incorporation to an applicant or a registration as a foreign firm to a firm which includes among the objectives for which it is established any of the words "Engineer", "Engineering", "Surveyor", "Land Surveying" or any modification or derivation thereof unless the Board(s) of Licensure for these professions has issued for said applicant a certificate of authorization or a letter indicating the eligibility of such applicant to receive such a certificate. The firm applying shall supply such certificate or letter from the Board with its application for incorporation or registration.&nbsp;</span></p> <p><span class="cls0">D. The Secretary of State shall decline to register any trade name or service mark which includes such words, as set forth in subsection C of this section, or modifications or derivatives thereof in its firm name or logotype except those firms holding certificates of authorization issued under the provisions of this section.&nbsp;</span></p> <p><span class="cls0">E. The certificate of authorization shall be renewed as hereinbefore provided in Section 475.16 of this title.&nbsp;</span></p> <p><span class="cls0">F. An engineer or land surveyor designated in responsible charge of the professional activities of a firm for the purposes of this section shall be a full-time employee of the firm. A licensee who performs only part-time, occasional, or consulting services for a firm shall not qualify as a person designated in responsible charge.&nbsp;</span></p> <p><span class="cls0">G. Out-of-state firms authorized to perform engineering services in Oklahoma may have one or more branch offices located in Oklahoma only if the firm has a professional engineer designated responsible and in charge of the firm's professional practice in this state. The professional engineer designated for this purpose shall be required to spend a majority of normal business hours at one or more branch offices located in Oklahoma and be duly licensed as a professional engineer in this state. The professional engineer designated shall be responsible for:&nbsp;</span></p> <p><span class="cls0">1. Maintaining the firm's certificate of authorization;&nbsp;</span></p> <p><span class="cls0">2. Overall administrative supervision of the firm's licensed and subordinate personnel who provide the engineering work in this state; and&nbsp;</span></p> <p><span class="cls0">3. The institution of and adherence to policies of the firm that shall be in accordance with the Rules of Professional Conduct.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 21, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 21; Laws 1992, c. 165, &sect; 18, eff. July 1, 1992; Laws 2005, c. 115, &sect; 20, eff. Nov. 1, 2005; Laws 2012, c. 139, &sect; 8.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.22. Exceptions.&nbsp;</span></p> <p><span class="cls0">Section 475.1 et seq. of this title shall not be construed to prevent:&nbsp;</span></p> <p><span class="cls0">1. Other Professions. The practice of any other legally recognized profession;&nbsp;</span></p> <p><span class="cls0">2. Temporary Permit:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Professional engineer. The practice or offer to practice engineering by a person not a resident of or having no established place of business in this state is allowed; provided, such person is legally qualified by licensure to practice engineering, as defined in Section 475.2 of this title, in the applicant&rsquo;s own state or country and who has made application for licensure to this Board. Such person shall make application for temporary permit to the Board, in writing, and after payment of a temporary permit fee may be granted a written permit to perform a particular job for a definite period of time, to expire the earliest of the issuance of a license by this Board, the rejection of the application for licensure or a time limit stated in the temporary permit; provided, however, no right to practice engineering shall accrue to such applicant by reason of a temporary permit for any works not set forth in said permit, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Professional land surveyor. The practice of land surveying under a temporary permit by a person licensed as a land surveyor in another state is not considered to be in the best interest of the public and therefore shall not be granted;&nbsp;</span></p> <p><span class="cls0">3. Employees and subordinates. The work of an employee or a subordinate of a person holding a certificate of licensure under Section 475.1 et seq. of this title, or an employee of a person practicing lawfully under paragraph 2 of this section is allowed; provided, such work does not include final engineering or land surveying designs or decisions and is done under the direct supervision of and verified by a person holding a certificate of licensure under Section 475.1 et seq. of this title or a person practicing lawfully under paragraph 2 of this section; and&nbsp;</span></p> <p><span class="cls0">4. Material Takeoff. Providing a list of material derived from measuring and interpreting a set of blueprints or plans, otherwise known as a &ldquo;material takeoff&rdquo; or advising a person on such a &ldquo;material takeoff&rdquo; shall not constitute the practice of engineering.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1968, c. 245, &sect; 22, emerg. eff. April 26, 1968. Amended by Laws 1982, c. 297, &sect; 22; Laws 1992, c. 165, &sect; 19, eff. July 1, 1992; Laws 2005, c. 115, &sect; 21, eff. Nov. 1, 2005; Laws 2010, c. 337, &sect; 2, emerg. eff. June 6, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59475.22a. Land surveying documents Conditions of filing.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for the registrar of deeds or the county clerk of any county or proper public authority to file any map, plat, survey or other documents within the definition of land surveying which do not have impressed thereon and affixed thereto the personal signature and seal of a professional land surveyor by whom or under whose direct supervision the map, plat, survey or other documents were prepared.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 297, &sect; 23. Amended by Laws 1992, c. 165, &sect; 20, eff. July 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-475.22b. Repealed by Laws 1992, c. 165, &sect; 21, eff. July 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-480. Short title - Intent - Definitions.&nbsp;</span></p> <p><span class="cls0">Sections 481 through 518 of Title 59 of the Oklahoma Statutes shall be known and may be cited as the "Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act". It is the intent that this act shall apply only to allopathic and surgical practices and to exclude any other healing practices. Allopathy is a method of treatment practiced by recipients of the degree of Doctor of Medicine, but specifically excluding homeopathy. The terms medicine, physician and drug(s) used herein are limited to allopathic practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 1, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-481. State Board of Medical Licensure and Supervision - Members.&nbsp;</span></p> <p><span class="cls0">A State Board of Medical Licensure and Supervision hereinafter referred to as the "Board", is hereby re-created, to continue until July 1, 2019, in accordance with the provisions of the Oklahoma Sunset Law. The Board shall be composed of seven (7) allopathic physicians licensed to practice medicine in this state and represent the public and two (2) lay members. The physician members of the Board shall be graduates of legally chartered medical schools recognized by the Oklahoma State Regents for Higher Education or the Liaison Council on Medical Education. The physician members shall have actively practiced as licensed physicians continuously in this state for the three (3) years immediately preceding their appointment to the Board. All members of the Board shall be residents of this state and shall be appointed by the Governor as provided for in Section 482 of this title. All present members of the Board shall continue to serve for the remainder of their current terms.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 102, &sect; 1, emerg. eff. March 31, 1923. Amended by Laws 1925, c. 63, p. 95, &sect; 1, emerg. eff. April 6, 1925; Laws 1943, p. 135, &sect; 4, emerg. eff. March 24, 1943; Laws 1965, c. 264, &sect; 1, emerg. eff. June 23, 1965; Laws 1983, c. 159, &sect; 1, operative July 1, 1983; Laws 1987, c. 118, &sect; 5, operative July 1, 1987; Laws 1988, c. 225, &sect; 9; Laws 1993, c. 280, &sect; 1; Laws 1994, c. 323, &sect; 2, eff. July 1, 1994; Laws 1997, c. 33, &sect; 1; Laws 1998, c. 324, &sect; 1, emerg. eff. May 28, 1998; Laws 2003, c. 10, &sect; 1; Laws 2009, c. 17, &sect; 1; Laws 2013, c. 349, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59481.1. Statutory references.&nbsp;</span></p> <p><span class="cls0">Whenever in the Statutes reference is made to the State Board of Medical Examiners, it shall mean hereafter the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 118, &sect; 6, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-482. Tenure - Appointment list - Persons ineligible.&nbsp;</span></p> <p><span class="cls0">Physician members of the State Board of Medical Licensure and Supervision shall be appointed for terms of seven (7) years. The lay members of the Board shall serve terms coterminous with that of the Governor and until a qualified successor has been duly appointed and shall serve at the pleasure of the Governor. No member shall be appointed to serve more than two complete consecutive terms. Each physician member shall hold office until the expiration of the term for which appointed or until a qualified successor has been duly appointed. An appointment shall be made by the Governor within ninety (90) days after the expiration of the term of any member or the occurrence of a vacancy on the Board due to resignation, death, or any cause resulting in an unexpired term. The appointment of allopathic physicians shall be made from a list of three names submitted to the Governor by the Oklahoma State Medical Association. The Association may submit names of members or nonmembers of the Association. No member of the Board shall be a stockholder in or full-time salaried or full-time geographic member of the faculty or board of trustees of any medical school.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 102, &sect; 2, emerg. eff. March 31, 1923. Amended by Laws 1925, c. 63, p. 95, &sect; 2, emerg. eff. April 6, 1925; Laws 1943, p. 135, &sect; 5, emerg. eff. March 24, 1943; Laws 1965, c. 264, &sect; 2, emerg. eff. June 23, 1965; Laws 1983, c. 159, &sect; 2, operative July 1, 1983; Laws 1987, c. 118, &sect; 7, operative July 1, 1987; Laws 1993, c. 280, &sect; 2; Laws 1994, c. 323, &sect; 3, eff. July 1, 1994; Laws 1998, c. 324, &sect; 2, emerg. eff. May 28, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-483. Repealed by Laws 1980, c. 68, &sect; 1, emerg. eff. April 10, 1980.&nbsp;</span></p> <p><span class="cls0">&sect;59-484. Oath.&nbsp;</span></p> <p><span class="cls0">Each member of said Board shall, before entering upon the duties of office, take the constitutional oath of office, and shall, in addition, make oath that he or she is qualified under the terms of this act to hold such office.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 103, &sect; 4, emerg. eff. March 31, 1923. Amended by Laws 1994, c. 323, &sect; 4, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-485. Organization - Officers.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision shall elect a president and a vice-president each year. If either office becomes vacant during that year, an election to fill the vacancy shall be held at the next regularly scheduled meeting of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 103, &sect; 5, emerg. eff. March 31, 1923. Amended by Laws 1943, p. 136, &sect; 7, emerg. eff. March 24, 1943; Laws 1965, c. 264, &sect; 4, emerg. eff. June 23, 1965; Laws 1987, c. 118, &sect; 8, operative July 1, 1987; Laws 1994, c. 323, &sect; 5, eff. July 1, 1994; Laws 1995, c. 211, &sect; 1, eff. Nov. 1, 1995; Laws 1998, c. 324, &sect; 3, emerg. eff. May 28, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-486. Repealed by Laws 1980, c. 159, &sect; 40, emerg. eff. April 2, 1980.&nbsp;</span></p> <p><span class="cls0">&sect;59-487. Secretary - Duties.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision may appoint the secretary to serve as Medical Advisor to the Board and the Board staff. The Board may hire the secretary as an employee of the Board at such hours of employment and compensation as determined by the Board. The Board may hire a licensed allopathic physician to serve as the secretary-medical advisor to the Board and its staff. This position shall be in the exempt unclassified service, as provided for in subsection B of Section 840-5.5 of Title 74 of the Oklahoma Statutes. The secretary shall not be a member of the Board and shall not vote on Board actions.&nbsp;</span></p> <p><span class="cls0">B. The secretary of the Board shall preserve a true record of the official proceedings of the meetings of the Board. He or she shall also preserve a record of physicians licensed, applying for such license or applying for reinstatement of such license in this state showing:&nbsp;</span></p> <p><span class="cls0">1. Age;&nbsp;</span></p> <p><span class="cls0">2. Ethnic origin;&nbsp;</span></p> <p><span class="cls0">3. Sex;&nbsp;</span></p> <p><span class="cls0">4. Place of practice and residence;&nbsp;</span></p> <p><span class="cls0">5. The time spent in premedical and medical study, together with the names of the schools attended, and the date of graduation therefrom, with the degrees granted;&nbsp;</span></p> <p><span class="cls0">6. The grades made in examination for license or grades filed in application therefor; and&nbsp;</span></p> <p><span class="cls0">7. A record of the final disposition of each application for licensure.&nbsp;</span></p> <p><span class="cls0">The secretary of the Board shall, on or before the first day of May in each year, transmit an official copy of said register for the preceding calendar year, to the Secretary of State for permanent record, a certified copy of which shall be admitted as evidence in all courts of the state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 103, &sect; 7, emerg. eff. March 31, 1923. Amended by Laws 1994, c. 323, &sect; 6, eff. July 1, 1994; Laws 1995, c. 211, &sect; 2, eff. Nov. 1, 1995; Laws 2009, c. 11, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-488. Meetings of Board - Determining qualifications of applicants.&nbsp;</span></p> <p><span class="cls0">A. The Board may hold regular meetings at times to be fixed by the president and secretary of the Board in accordance with the provisions of the Oklahoma Open Meeting Act. In addition, the president and secretary may call such special and other meetings in accordance with the provisions of the Oklahoma Open Meeting Act. A majority of the members of the Board shall constitute a quorum for the transaction of business but a less number may adjourn from time to time until a quorum is present.&nbsp;</span></p> <p><span class="cls0">B. No meeting as provided for in subsection A of this section shall be required for the determination of the qualifications of an applicant for a certificate issued pursuant to the provisions of Section 495 of this title. Each member of the Board authorized to vote on licensure may review the qualifications of the applicant during times other than when a regular or special meeting is held, to determine the sufficiency of said qualifications. Each member shall notify the secretary of his findings, in writing. The provisions of this subsection shall not be construed to prohibit the Board from reviewing the qualifications of an applicant for licensure during any regular or special meeting of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 103, &sect; 8, emerg. eff. March 31, 1923. Amended by Laws 1925, c. 63, p. 95, &sect; 3, emerg. eff. April 6, 1925; Laws 1935, p. 56, &sect; 1, emerg. eff. May 13, 1935; Laws 1943, p. 136, &sect; 8, emerg. eff. March 24, 1943; Laws 1984, c. 75, &sect; 1, emerg. eff. April 3, 1984; Laws 1987, c. 118, &sect; 9, operative July 1, 1987; Laws 1994, c. 323, &sect; 7, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-489. Rules - Fees - Increasing or changing educational requirements.&nbsp;</span></p> <p><span class="cls0">The Board shall from time to time adopt such rules as may be necessary to carry into effect the provisions of this act, and shall have authority to establish fees not otherwise provided for in this act; and from time to time, as the courses of instruction in medical colleges, under the contemplation of this act, are increased or changed, the Board is hereby directed in like manner to increase or change its educational requirements for license to practice medicine within the state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 104, &sect; 9, emerg. eff. March 31, 1923. Amended by Laws 1987, c. 118, &sect; 10, operative July 1, 1987; Laws 1994, c. 323, &sect; 8, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-489.1. Repealed by Laws 1987, c. 118, &sect; 60, operative July 1, 1987.&nbsp;</span></p> <p><span class="cls0">&sect;59-490. Administration of oaths - Evidence and witnesses.&nbsp;</span></p> <p><span class="cls0">Any member of the Board shall have the authority to administer oaths in all matters pertaining to the affairs of the Board and to take evidence and compel the attendance of witnesses on questions pertaining to the enforcement of this act. The trial examiner of the Board shall have the authority to compel the attendance of witnesses.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 104, &sect; 10, emerg. eff. March 31, 1923. Amended by Laws 1987, c. 118, &sect; 11, operative July 1, 1987; Laws 1994, c. 323, &sect; 9, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-491. Practicing without a license - Penalties.&nbsp;</span></p> <p><span class="cls0">A. 1. Every person before practicing medicine and surgery or any of the branches or departments of medicine and surgery, within the meaning of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, the Oklahoma Osteopathic Medicine Act, or the Oklahoma Interventional Pain Management and Treatment Act, within this state, must be in legal possession of the unrevoked license or certificate issued pursuant to the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act.&nbsp;</span></p> <p><span class="cls0">2. Any person practicing in such manner within this state, who is not in the legal possession of a license or certificate, shall, upon conviction, be guilty of a felony, punishable by a fine in an amount not less than One Thousand Dollars ($1,000.00) nor more than Ten Thousand Dollars ($10,000.00), or by imprisonment in the county jail for a term of not more than one (1) year or imprisonment in the custody of the Department of Corrections for a term of not more than four (4) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">3. Each day a person is in violation of any provision of this subsection shall constitute a separate criminal offense and, in addition, the district attorney may file a separate charge of medical battery for each person who is injured as a result of treatment or surgery performed in violation of this subsection.&nbsp;</span></p> <p><span class="cls0">4. Any person who practices medicine and surgery or any of the branches or departments thereof without first complying with the provisions of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, the Oklahoma Osteopathic Medicine Act, or the Oklahoma Interventional Pain Management and Treatment Act shall, in addition to the other penalties provided therein, receive no compensation for such medical and surgical or branches or departments thereof services.&nbsp;</span></p> <p><span class="cls0">B. 1. If a license has been revoked or suspended pursuant to the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act or the Oklahoma Osteopathic Medicine Act whether for disciplinary reasons or for failure to renew the license, the State Board of Medical Licensure and Supervision may, subject to rules promulgated by the Board, assess and collect an administrative fine not to exceed Five Thousand Dollars ($5,000.00) for each day after revocation or suspension whether for disciplinary reasons or for failure to renew such license that the person practices medicine and surgery or any of the branches or departments thereof within this state.&nbsp;</span></p> <p><span class="cls0">2. The Board may impose administrative penalties against any person who violates any of the provisions of the Oklahoma Interventional Pain Management and Treatment Act or any rule promulgated pursuant thereto. The Board is authorized to initiate disciplinary and injunctive proceedings against any person who has violated any of the provisions of the Oklahoma Interventional Pain Management and Treatment Act or any rule of the Board promulgated pursuant thereto. The Board is authorized in the name of the state to apply for relief by injunction in the established manner provided in cases of civil procedure, without bond, to enforce the provisions of the Oklahoma Interventional Pain Management and Treatment Act, or to restrain any violation thereof. The members of the Board shall not be personally liable for proceeding under this section.&nbsp;</span></p> <p><span class="cls0">3. Fines assessed shall be in addition to any criminal penalty provided pursuant to subsection A of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 104, &sect; 11, emerg. eff. March 31, 1923. Amended by Laws 1994, c. 323, &sect; 10, eff. July 1, 1994; Laws 2001, c. 115, &sect; 1, emerg. eff. April 18, 2001; Laws 2004, c. 523, &sect; 3, emerg. eff. June 9, 2004; Laws 2008, c. 358, &sect; 2, eff. Nov. 1, 2008; Laws 2010, c. 67, &sect; 2, emerg. eff. April 9, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-491.1. Repealed by Laws 1996, c. 6, &sect; 2, eff. Sept. 1, 1996.&nbsp;</span></p> <p><span class="cls0">&sect;59-492. Designation of physicians - Employment by hospitals - Practice of medicine defined - Services rendered by trained assistants - Persons practicing nonallopathic healing.&nbsp;</span></p> <p><span class="cls0">A. Every person shall be regarded as practicing allopathic medicine within the meaning and provisions of this act, who shall append to his or her name the letters "M.D.", "Physician" or any other title, letters or designation which represent that such person is a physician, or who shall for a fee or any form of compensation diagnose and/or treat disease, injury or deformity of persons in this state by any allopathic legend drugs, surgery, manual, or mechanical treatment unless otherwise authorized by law.&nbsp;</span></p> <p><span class="cls0">B. A hospital or related institution as such terms are defined in Section 1-701 of Title 63 of the Oklahoma Statutes, which has the principal purpose or function of providing hospital or medical care, including but not limited to any corporation, association, trust, or other organization organized and operated for such purpose, may employ one or more persons who are duly licensed to practice medicine in this state without being regarded as itself practicing medicine within the meaning and provisions of this section. The employment by the hospital or related institution of any person who is duly licensed to practice medicine in this state shall not, in and of itself, be considered as an act of unprofessional conduct by the person so employed. Nothing provided herein shall eliminate, limit, or restrict the liability for any act or failure to act of any hospital, any hospital's employees, or persons duly licensed to practice medicine.&nbsp;</span></p> <p><span class="cls0">C. The definition of the practice of medicine and surgery shall include, but is not limited to:&nbsp;</span></p> <p><span class="cls0">1. Advertising, holding out to the public, or representing in any manner that one is authorized to practice medicine and surgery in this state;&nbsp;</span></p> <p><span class="cls0">2. Any offer or attempt to prescribe, order, give, or administer any drug or medicine and surgery for the use of any other person, except as otherwise authorized by law;&nbsp;</span></p> <p class="cls2"><span class="cls0">3.&nbsp;&nbsp;a.&nbsp;&nbsp;Any offer or attempt, except as otherwise authorized by law, to prevent, diagnose, correct, or treat in any manner or by any means, methods, devises, or instrumentalities except for manual manipulation any disease, illness, pain, wound, fracture, infirmity, defect, or abnormal physical or mental condition of any person, including the management of pregnancy and parturition, except as otherwise authorized by law.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Except as provided in subsection D of this section, performance by a person within or outside of this state, through an ongoing regular arrangement, of diagnostic or treatment services, including but not limited to, stroke prevention and treatment, through electronic communications for any patient whose condition is being diagnosed or treated within this state by a physician duly licensed and practicing in this state. A person who performs any of the functions covered by this subparagraph submits himself or herself to the jurisdiction of the courts of this state for the purposes of any cause of action resulting from the functions performed.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Nothing in the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act shall be construed to affect or give jurisdiction to the Board over any person other than medical doctors or persons holding themselves out as medical doctors;&nbsp;</span></p> <p><span class="cls0">4. Any offer or attempt to perform any surgical operation upon any person, except as otherwise authorized by law; and&nbsp;</span></p> <p><span class="cls0">5. The use of the title Doctor of Medicine, Physician, Surgeon, Physician and Surgeon, Dr., M.D. or any combination thereof in the conduct of any occupation or profession pertaining to the prevention, diagnosis, or treatment of human disease or condition unless, where appropriate, such a designation additionally contains the description of another branch of the healing arts for which one holds a valid license in this state.&nbsp;</span></p> <p><span class="cls0">D. The practice of medicine and surgery, as defined in this section, shall not include:&nbsp;</span></p> <p><span class="cls0">1. A student while engaged in training in a medical school approved by the Board or while engaged in graduate medical training under the supervision of the medical staff of a hospital or other health care facility approved by the state medical board for such training, except that a student engaged in graduate medical training shall hold a license issued by the Board for such training;&nbsp;</span></p> <p><span class="cls0">2. Any person who provides medical treatment in cases of emergency where no fee or other consideration is contemplated, charged or received;&nbsp;</span></p> <p><span class="cls0">3. A commissioned medical officer of the armed forces of the United States or medical officer of the United States Public Health Service or the Department of Veterans Affairs of the United States in the discharge of official duties and/or within federally controlled facilities; and provided that such person shall be fully licensed to practice medicine and surgery in one or more jurisdictions of the United States; provided further that such person who holds a medical license in this state shall be subject to the provisions of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act;&nbsp;</span></p> <p><span class="cls0">4. Any person licensed under any other act when properly practicing in the healing art for which that person is duly licensed;&nbsp;</span></p> <p><span class="cls0">5. The practice of those who endeavor to prevent or cure disease or suffering by spiritual means or prayer;&nbsp;</span></p> <p><span class="cls0">6. Any person administering a domestic or family remedy to a member of such person's own family;&nbsp;</span></p> <p><span class="cls0">7. Any person licensed to practice medicine and surgery in another state or territory of the United States who renders emergency medical treatment or briefly provides critical medical service at the specific lawful direction of a medical institution or federal agency that assumes full responsibility for that treatment or service and is approved by the Board;&nbsp;</span></p> <p><span class="cls0">8. Any person who is licensed to practice medicine and surgery in another state or territory of the United States whose sole purpose and activity is limited to brief actual consultation with a specific physician who is licensed to practice medicine and surgery by the Board, other than a person with a special or restricted license; or&nbsp;</span></p> <p><span class="cls0">9. The practice of any other person as licensed by appropriate agencies of this state, provided that such duties are consistent with the accepted standards of the person's profession and the person does not represent himself or herself as a Doctor of Medicine, Physician, Surgeon, Physician and Surgeon, Dr., M.D., or any combination thereof.&nbsp;</span></p> <p><span class="cls0">E. Nothing in the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act shall prohibit:&nbsp;</span></p> <p><span class="cls0">1. The service rendered by a physician's unlicensed trained assistant, if such service is rendered under the supervision and control of a licensed physician pursuant to Board rules, provided such rules are not in conflict with the provisions of any other healing arts licensure act or rules promulgated pursuant to such act; or&nbsp;</span></p> <p><span class="cls0">2. The service of any other person duly licensed or certified by the state to practice the healing arts.&nbsp;</span></p> <p><span class="cls0">F. Nothing in the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act shall prohibit services rendered by any person not licensed by the Board and practicing any nonallopathic healing practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 104, &sect; 12, emerg. eff. March 31, 1923. Amended by Laws 1965, c. 399, &sect; 1, emerg. eff. July 5, 1965; Laws 1974, c. 305, &sect; 2, emerg. eff. May 29, 1974; Laws 1987, c. 118, &sect; 12, operative July 1, 1987; Laws 1990, c. 91, &sect; 1, emerg. eff. April 18, 1990; Laws 1993, c. 230, &sect; 25, eff. July 1, 1993; Laws 1994, c. 323, &sect; 12, eff. July 1, 1994; Laws 1996, c. 147, &sect; 1, eff. Nov. 1, 1996; Laws 1998, c. 324, &sect; 4, emerg. eff. May 28, 1998; Laws 1999, c. 23, &sect; 1, eff. Nov. 1, 1999; Laws 2000, c. 52, &sect; 4, emerg. eff. April 14, 2000; Laws 2009, c. 148, &sect; 4, eff. Nov. 1, 2009; Laws 2009, c. 261, &sect; 2, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-492.1. Application forms - Requirements for practicing medicine - Agent or representative of applicant.&nbsp;</span></p> <p><span class="cls0">A. The Board shall create such application forms as are necessary for the licensure of applicants to practice medicine and surgery in this state.&nbsp;</span></p> <p><span class="cls0">B. No person shall be licensed to practice medicine and surgery in this state except upon a finding by the Board that such person has fully complied with all applicable licensure requirements of this act, is of good moral character, and has produced satisfactory evidence to the Board of the ability of the applicant to practice medicine and surgery with reasonable skill and safety.&nbsp;</span></p> <p><span class="cls0">C. Except as specifically may be waived by the Board, the Board shall not engage in any application process with any agent or representative of the applicant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 13, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-493. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-493.1. Contents of application - Requirements for licensure.&nbsp;</span></p> <p><span class="cls0">A. An applicant to practice medicine and surgery in this state shall provide to the State Board of Medical Licensure and Supervision and attest to the following information and documentation in a manner required by the Board:&nbsp;</span></p> <p><span class="cls0">1. The applicant's full name and all aliases or other names ever used, current address, social security number and date and place of birth;&nbsp;</span></p> <p><span class="cls0">2. A signed and notarized photograph of the applicant, taken within the previous twelve (12) months;&nbsp;</span></p> <p><span class="cls0">3. Originals of all documents and credentials required by the Board, or notarized photocopies or other verification acceptable to the Board of such documents and credentials;&nbsp;</span></p> <p><span class="cls0">4. A list of all jurisdictions, United States or foreign, in which the applicant is licensed or has applied for licensure to practice medicine and surgery or is authorized or has applied for authorization to practice medicine and surgery;&nbsp;</span></p> <p><span class="cls0">5. A list of all jurisdictions, United States or foreign, in which the applicant has been denied licensure or authorization to practice medicine and surgery or has voluntarily surrendered a license or an authorization to practice medicine and surgery;&nbsp;</span></p> <p><span class="cls0">6. A list of all sanctions, judgments, awards, settlements, or convictions against the applicant in any jurisdiction, United States or foreign, that would constitute grounds for disciplinary action under this act or the Board's rules;&nbsp;</span></p> <p><span class="cls0">7. A detailed educational history, including places, institutions, dates, and program descriptions, of all his or her education, including all college, preprofessional, professional, and professional graduate education;&nbsp;</span></p> <p><span class="cls0">8. A detailed chronological life history from age eighteen (18) years to the present, including places and dates of residence, employment, and military service (United States or foreign) and all professional degrees or licenses or certificates now or ever held; and&nbsp;</span></p> <p><span class="cls0">9. Any other information or documentation specifically requested by the Board that is related to the applicant's ability to practice medicine and surgery.&nbsp;</span></p> <p><span class="cls0">B. The applicant shall possess a valid degree of Doctor of Medicine from a medical college or school located in the United States, its territories or possessions, or Canada that was approved by the Board or by a private nonprofit accrediting body approved by the Board at the time the degree was conferred. The application shall be considered by the Board based upon the product and process of the medical education and training.&nbsp;</span></p> <p><span class="cls0">C. The applicant shall have satisfactorily completed twelve (12) months of progressive postgraduate medical training approved by the Board or by a private nonprofit accrediting body approved by the Board in an institution in the United States, its territories or possessions, or in programs in Canada, England, Scotland, Ireland, Australia or New Zealand approved by the Board or by a private nonprofit accrediting body approved by the Board.&nbsp;</span></p> <p><span class="cls0">D. The applicant shall submit a history from the Administration of the Medical School from which the applicant graduated of any suspension, probation, or disciplinary action taken against the applicant while a student at that institution.&nbsp;</span></p> <p><span class="cls0">E. The applicant shall have passed medical licensing examination(s) satisfactory to the Board.&nbsp;</span></p> <p><span class="cls0">F. The applicant shall have demonstrated a familiarity with all appropriate statutes and rules and regulations of this state and the federal government relating to the practice of medicine and surgery.&nbsp;</span></p> <p><span class="cls0">G. The applicant shall be physically, mentally, professionally, and morally capable of practicing medicine and surgery in a manner reasonably acceptable to the Board and in accordance with federal law and shall be required to submit to a physical, mental, or professional competency examination or a drug dependency evaluation if deemed necessary by the Board.&nbsp;</span></p> <p><span class="cls0">H. The applicant shall not have committed or been found guilty by a competent authority, United States or foreign, of any conduct that would constitute grounds for disciplinary action under this act or rules of the Board. The Board may modify this restriction for cause.&nbsp;</span></p> <p><span class="cls0">I. Upon request by the Board, the applicant shall make a personal appearance before the Board or a representative thereof for interview, examination, or review of credentials. At the discretion of the Board, the applicant shall be required to present his or her original medical education credentials for inspection during the personal appearance.&nbsp;</span></p> <p><span class="cls0">J. The applicant shall be held responsible for verifying to the satisfaction of the Board the identity of the applicant and the validity of all credentials required for his or her medical licensure. The Board may review and verify medical credentials and screen applicant records through recognized national physician information services.&nbsp;</span></p> <p><span class="cls0">K. The applicant shall have paid all fees and completed and attested to the accuracy of all application and information forms required by the Board.&nbsp;</span></p> <p><span class="cls0">L. Grounds for the denial of a license shall include:&nbsp;</span></p> <p><span class="cls0">1. Use of false or fraudulent information by an applicant;&nbsp;</span></p> <p><span class="cls0">2. Suspension or revocation of a license in another state unless the license has been reinstated in that state;&nbsp;</span></p> <p><span class="cls0">3. Refusal of licensure in another state other than for examination failure; and&nbsp;</span></p> <p><span class="cls0">4. Multiple examination failures.&nbsp;</span></p> <p><span class="cls0">M. The Board shall not deny a license to a person otherwise qualified to practice allopathic medicine within the meaning of this act solely because the person's practice or a therapy is experimental or nontraditional.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 14, eff. July 1, 1994. Amended by Laws 1998, c. 324, &sect; 5, emerg. eff. May 28, 1998; Laws 2002, c. 213, &sect; 1, emerg. eff. May 8, 2002; Laws 2013, c. 280, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-493.2. Foreign applicants - Requirements for licensure.&nbsp;</span></p> <p><span class="cls0">A. Foreign applicants shall meet all requirements for licensure as provided in Sections 492.1 and 493.1 of this title.&nbsp;</span></p> <p><span class="cls0">B. 1. A foreign applicant shall possess the degree of Doctor of Medicine or a Board-approved equivalent based on satisfactory completion of educational programs from a foreign medical school as evidenced by recognized national and international resources available to the Board.&nbsp;</span></p> <p><span class="cls0">2. In the event the foreign medical school utilized clerkships in the United States, its territories or possessions, such clerkships shall have been performed in hospitals and schools that have programs accredited by the Accreditation Council for Graduate Medical Education (ACGME).&nbsp;</span></p> <p><span class="cls0">C. A foreign applicant shall have a command of the English language that is satisfactory to the State Board of Medical Licensure and Supervision, demonstrated by the passage of an oral English competency examination.&nbsp;</span></p> <p><span class="cls0">D. The Board may promulgate rules requiring all foreign applicants to satisfactorily complete at least twelve (12) months and up to twenty-four (24) months of Board-approved progressive graduate medical training as determined necessary by the Board for the protection of the public health, safety and welfare.&nbsp;</span></p> <p><span class="cls0">E. All credentials, diplomas and other required documentation in a foreign language submitted to the Board by such applicants shall be accompanied by notarized English translations.&nbsp;</span></p> <p><span class="cls0">F. Foreign applicants shall provide satisfactory evidence of having met the requirements for permanent residence or temporary nonimmigrant status as set forth by the United States Immigration and Naturalization Service.&nbsp;</span></p> <p><span class="cls0">G. Foreign applicants shall provide a certified copy of the Educational Commission for Foreign Medical Graduates (ECFMG) Certificate to the Board at such time and in such manner as required by the Board. The Board may waive the requirement for an Educational Commission for Foreign Medical Graduates Certificate by rule for good cause shown.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 15, eff. July 1, 1994. Amended by Laws 2002, c. 213, &sect; 2, emerg. eff. May 8, 2002; Laws 2004, c. 523, &sect; 4, emerg. eff. June 9, 2004; Laws 2009, c. 261, &sect; 4, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-493.3. Licensure by endorsement - Temporary and special licensure.&nbsp;</span></p> <p><span class="cls0">A. Endorsement of licensed applicants: The State Board of Medical Licensure and Supervision may issue a license by endorsement to an applicant who:&nbsp;</span></p> <p><span class="cls0">1. Has complied with all current medical licensure requirements except those for examination; and&nbsp;</span></p> <p><span class="cls0">2. Has passed a medical licensure examination given in English in another state, the District of Columbia, a territory or possession of the United States, or Canada, or has passed the National Boards Examination administered by the National Board of Medical Examiners, provided the Board determines that such examination was equivalent to the Board's examination used at the time of application.&nbsp;</span></p> <p><span class="cls0">B. Notwithstanding any other provision of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, the Board may require applicants for full and unrestricted medical licensure by endorsement, who have not been formally tested by another state or territory of the United States or any Canadian medical licensure jurisdiction, a Board-approved medical certification agency, or a Board-approved medical specialty board within a specific period of time before application to pass a written and/or oral medical examination approved by the Board.&nbsp;</span></p> <p><span class="cls0">C. The Board may authorize the secretary to issue a temporary medical license for the intervals between Board meetings. A temporary license shall be granted only when the secretary is satisfied as to the qualifications of the applicant to be licensed under the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act but where such qualifications have not been verified to the Board. A temporary license shall:&nbsp;</span></p> <p><span class="cls0">1. Be granted only to an applicant demonstrably qualified for a full and unrestricted medical license under the requirements set by the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act and the rules of the Board; and&nbsp;</span></p> <p><span class="cls0">2. Automatically terminate on the date of the next Board meeting at which the applicant may be considered for a full and unrestricted medical license.&nbsp;</span></p> <p><span class="cls0">D. The Board may establish rules authorizing the issuance of conditional, restricted, or otherwise circumscribed licenses, or issuance of licenses under terms of agreement, for all licenses under its legislative jurisdiction as are necessary for the public health, safety, and welfare.&nbsp;</span></p> <p><span class="cls0">E. The Board may issue a temporary license to any of the professions under the jurisdiction of the Board based on defined qualifications set by each advisory committee of the profession.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 16, eff. July 1, 1994. Amended by Laws 1995, c. 211, &sect; 3, eff. Nov. 1, 1995; Laws 1998, c. 324, &sect; 6, emerg. eff. May 28, 1998; Laws 2009, c. 261, &sect; 5, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-493.4. Special licenses.&nbsp;</span></p> <p><span class="cls0">A. No person who is granted a special license or a special training license shall practice outside the limitations of the license.&nbsp;</span></p> <p><span class="cls0">B. To be eligible for special or special training licensure, the applicant shall have completed all the requirements for full and unrestricted medical licensure except graduate education and/or licensing examination or other requirements relative to the basis for the special license or special training license.&nbsp;</span></p> <p><span class="cls0">C. By rule, the State Board of Medical Licensure and Supervision shall establish restrictions for special and special training licensure to assure that the holder will practice only under appropriate circumstances as set by the Board.&nbsp;</span></p> <p><span class="cls0">D. A special license or special training license shall be renewable annually upon the approval of the Board and upon the evaluation of performance in the special circumstances upon which the special license or special training license was granted.&nbsp;</span></p> <p><span class="cls0">E. The issuance of a special license or a special training license shall not be construed to imply that a full and unrestricted medical license will be issued at a future date.&nbsp;</span></p> <p><span class="cls0">F. All other provisions of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act shall apply to holders of special licenses or special training licenses.&nbsp;</span></p> <p><span class="cls0">G. This section shall not limit the authority of any state agency or educational institution in this state which employs a special or special training licensed physician to impose additional practice limitations upon such physician.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 17, eff. July 1, 1994. Amended by Laws 2004, c. 523, &sect; 5, emerg. eff. June 9, 2004; Laws 2008, c. 149, &sect; 2, emerg. eff. May 12, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-493.5. Special volunteer license.&nbsp;</span></p> <p><span class="cls0">A. 1. There is established a special volunteer license for eligible volunteers from a medically related field who are retired from active practice or actively licensed in another state and practicing in that state and wish to donate their expertise for the care and treatment of indigent and needy persons of this state.&nbsp;</span></p> <p><span class="cls0">2. For purposes of this section:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;&ldquo;eligible volunteer&rdquo; means a physician, physician assistant, nurse, dentist, optometrist or pharmacist, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;&ldquo;nurse&rdquo; means an advanced practice nurse, advanced registered nurse practitioner, registered nurse, or licensed practical nurse.&nbsp;</span></p> <p><span class="cls0">3. The special volunteer license shall be:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;issued by the State Board of Medical Licensure and Supervision to eligible physicians and physician assistants, by the Board of Osteopathic Examiners to eligible physicians, by the Oklahoma Board of Nursing to eligible nurses, the Board of Dentistry to eligible dentists, the Board of Examiners in Optometry to eligible optometrists, and by the Board of Pharmacy to eligible pharmacists,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;issued without the payment of an application fee, license fee or renewal fee,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;issued or renewed without any continuing education requirements in this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;issued for a period of time to be determined by the applicable board, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;renewable upon approval of the applicable Board.&nbsp;</span></p> <p><span class="cls0">B. An eligible volunteer shall meet the following requirements before obtaining a special volunteer license:&nbsp;</span></p> <p><span class="cls0">1. Completion of a special volunteer license application, including, as applicable, documentation of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the medical school graduation of the physician,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the completion of a physician assistant program by a physician assistant,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the completion of the basic professional curricula of a school of nursing by the nurse,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the dental school graduation of the dentist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;the optometry school graduation of the optometrist, or&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;the school or college of pharmacy graduation of a pharmacist, and&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;the relevant practice history of the applicant;&nbsp;</span></p> <p><span class="cls0">2. Documentation or electronic verification that the eligible volunteer has been previously issued a full and unrestricted license to practice in Oklahoma or in another state of the United States and written acknowledgment that he or she has never been the subject of any professional disciplinary action in any jurisdiction;&nbsp;</span></p> <p><span class="cls0">3. Written acknowledgement that the practice of the eligible volunteer under the special volunteer license will be exclusively and totally devoted to providing care to needy and indigent persons in Oklahoma or to providing care under the Oklahoma Medical Reserve Corps; and&nbsp;</span></p> <p><span class="cls0">4. Written acknowledgement that the eligible volunteer shall not receive or have the expectation to receive any payment or compensation, either direct or indirect, for any services rendered in this state under the special volunteer license. The only exception to the indirect compensation provision is for those out-of-state physicians, physician assistants, nurses, dentists, optometrists or pharmacists that participate in the free care given by means of Telemedicine through the Shriners Hospitals for Children national network.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 138, &sect; 1, eff. Nov. 1, 2003. Amended by Laws 2004, c. 313, &sect; 17, emerg. eff. May 19, 2004; Laws 2004, c. 523, &sect; 24, emerg. eff. June 9, 2004; Laws 2007, c. 133, &sect; 3, eff. Nov. 1, 2007; Laws 2009, c. 255, &sect; 1, eff. Nov. 1, 2009; Laws 2010, c. 247, &sect; 2, emerg. eff. May 10, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2009, c. 247, &sect; 1 repealed by Laws 2010, c. 2, &sect; 29, emerg. eff. March 3, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-494. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-494.1. Medical licensure examinations.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision shall offer a medical licensure examination as necessary to test the qualifications of applicants.&nbsp;</span></p> <p><span class="cls0">1. Except as otherwise provided, no person shall receive a license to practice medicine and surgery in this state unless he or she passes or has passed all required examinations satisfactory to the Board.&nbsp;</span></p> <p><span class="cls0">2. The Board shall approve the preparation and administration of any examination, in English, that it deems necessary to determine an applicant's ability to practice medicine and surgery with reasonable skill and safety.&nbsp;</span></p> <p><span class="cls0">3. Examinations shall be reviewed and scored in a way to ensure the anonymity of applicants.&nbsp;</span></p> <p><span class="cls0">4. Examinations shall be conducted at least semiannually, provided that there is an applicant.&nbsp;</span></p> <p><span class="cls0">5. The Board shall specify the minimum score required to pass any examination. The required passing score shall be specified prior to the administration of any examination.&nbsp;</span></p> <p><span class="cls0">6. Applicants shall be required to pass all examinations with a score as set by rule, within a specific period of time after initial application. Specific requirements for the satisfactory completion of further medical education shall be established by the Board for those applicants seeking to be examined after the specified period of time after initial application.&nbsp;</span></p> <p><span class="cls0">7. The Board may limit the number of times an applicant may take an examination before the satisfactory completion of further medical education is required of an applicant, provided that this limitation may be waived by the Board for good cause.&nbsp;</span></p> <p><span class="cls0">8. Fees for any examination shall be paid by an applicant prior to the examination and no later than a date set by the Board.&nbsp;</span></p> <p><span class="cls0">B. To apply for an examination, an applicant shall provide the Board and attest to the following information and documentation no later than a date set by the Board:&nbsp;</span></p> <p><span class="cls0">1. His or her full name and all aliases or other names ever used, current address, social security number, and date and place of birth;&nbsp;</span></p> <p><span class="cls0">2. A signed and notarized photograph of the applicant, taken within the previous twelve (12) months;&nbsp;</span></p> <p><span class="cls0">3. Originals of all documents and credentials required by the Board, or notarized photocopies or other verification acceptable to the Board of such documents and credentials;&nbsp;</span></p> <p><span class="cls0">4. A list of all jurisdictions, United States or foreign, in which the applicant is licensed or has applied for licensure to practice medicine and surgery or is authorized or has applied for authorization to practice medicine and surgery;&nbsp;</span></p> <p><span class="cls0">5. A list of all jurisdictions, United States or foreign, in which the applicant has been denied licensure or authorization to practice medicine and surgery or has voluntarily surrendered a license or an authorization to practice medicine and surgery;&nbsp;</span></p> <p><span class="cls0">6. A list of all sanctions, judgments, awards, settlements, or convictions against the applicant in any jurisdiction, United States or foreign, that would constitute grounds for disciplinary action under this act or the Board's rules;&nbsp;</span></p> <p><span class="cls0">7. A detailed educational history, including places, institutions, dates, and program descriptions, of the applicant's education including all college, preprofessional, professional, and professional graduate education;&nbsp;</span></p> <p><span class="cls0">8. A detailed chronological life history from age eighteen (18) to present, including places and dates of residence, employment, and military service (United States or foreign); and&nbsp;</span></p> <p><span class="cls0">9. Any other information or documentation specifically requested by the Board that is related to the applicant's eligibility to sit for the examination.&nbsp;</span></p> <p><span class="cls0">C. No person shall subvert or attempt to subvert the security of any medical licensure examination. The Board shall establish procedures to ensure the security and validity of all medical licensure examinations.&nbsp;</span></p> <p><span class="cls0">Any individual found by the Board to have engaged in conduct that subverts or attempts to subvert the medical licensing examination process may have his or her scores on the licensing examination withheld and/or declared invalid, be disqualified from the practice of medicine and surgery, and/or be subject to the imposition of other appropriate sanctions. The Board shall notify the Federation of State Medical Boards of the United States of any such action.&nbsp;</span></p> <p><span class="cls0">Conduct that subverts or attempts to subvert the medical licensing examination process shall include, but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Conduct that violates the security of the examination materials, such as removal from the examination room of any of the examination materials; reproduction or reconstruction of any portion of the licensure examination; aid by any means in the reproduction or reconstruction of any portion of the licensure examination; sale, distribution, purchase, receipt, or unauthorized possession of any portion of a future, current, or previously administered licensure examination; and/or&nbsp;</span></p> <p><span class="cls0">2. Conduct that violates the standard of test administration, such as communication with any other examinee during the administration of the licensure examination; copying answers from another examinee or by knowingly permitting one's answers to be copied by another examinee during the administration of the licensure examination; possession during the administration of the licensing examination, unless otherwise required or authorized, of any books, notes, written or printed materials or data of any kind, other than the examination distributed; and/or&nbsp;</span></p> <p><span class="cls0">3. Conduct that violates the credentialing process, such as falsification or misrepresentation of educational credentials or other information required for admission to the licensure examination; impersonation of an examinee or having an impersonator take the licensure examination on one's behalf.&nbsp;</span></p> <p><span class="cls0">D. The Board shall provide written notice to all applicants for medical licensure of such prohibitions and of the sanctions imposed for such conduct. A copy of such notice, attesting that the applicant has read and understands the notice, shall be signed by the applicant and filed with the application.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 18, eff. July 1, 1994. Amended by Laws 1998, c. 324, &sect; 7, emerg. eff. May 28, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495. Issuance of licenses.&nbsp;</span></p> <p><span class="cls0">When an applicant shall have shown that he or she is qualified as herein required, a license, in form approved by the State Board of Medical Licensure and Supervision and attested by the seal of the Board, shall be issued to the applicant by the Board, authorizing the applicant to practice medicine and surgery within the meaning of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 106, &sect; 15. Amended by Laws 1994, c. 323, &sect; 19, eff. July 1, 1994; Laws 1995, c. 211, &sect; 4, eff. Nov. 1, 1995; Laws 1998, c. 324, &sect; 8, emerg. eff. May 28, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495a. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-495a.1. License reregistration.&nbsp;</span></p> <p><span class="cls0">A. At regular intervals set by the Board, no less than one time per annum, each licensee licensed by this act shall demonstrate to the Board the licensee's continuing qualification to practice medicine and surgery. The licensee shall apply for license reregistration on a form(s) provided by the Board, which shall be designed to require the licensee to update and/or add to the information in the Board's file relating to the licensee and his or her professional activity. It shall also require the licensee to report to the Board the following information:&nbsp;</span></p> <p><span class="cls0">1. Any action taken against the licensee for acts or conduct similar to acts or conduct described in this act as grounds for disciplinary action by:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any jurisdiction or authority (United States or foreign) that licenses or authorizes the practice of medicine and surgery,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;any peer review body,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any health care institution,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;any professional medical society or association,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;any law enforcement agency,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;any court, or&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;any governmental agency;&nbsp;</span></p> <p><span class="cls0">2. Any adverse judgment, settlement, or award against the licensee arising from a professional liability claim;&nbsp;</span></p> <p><span class="cls0">3. The licensee's voluntary surrender of or voluntary limitation on any license or authorization to practice medicine and surgery in any jurisdiction, including military, public health and foreign;&nbsp;</span></p> <p><span class="cls0">4. Any denial to the licensee of a license or authorization to practice medicine and surgery by any jurisdiction, including military, public health or foreign;&nbsp;</span></p> <p><span class="cls0">5. The licensee's voluntary resignation from the medical staff of any health care institution or voluntary limitation of the licensee's staff privileges at such an institution if that action occurred while the licensee was under formal or informal investigation by the institution or a committee thereof for any reason related to alleged medical incompetence, unprofessional conduct, or mental or physical impairment;&nbsp;</span></p> <p><span class="cls0">6. The licensee's voluntary resignation or withdrawal from a national, state, or county medical society, association, or organization if that action occurred while the licensee was under formal or informal investigation or review by that body for any reason related to possible medical incompetence, unprofessional or unethical conduct, or mental or physical impairment;&nbsp;</span></p> <p><span class="cls0">7. Whether the licensee has abused or has been addicted to or treated for addiction to alcohol or any chemical substance during the previous registration period, unless such person is in a rehabilitation program approved by the Board;&nbsp;</span></p> <p><span class="cls0">8. Whether the licensee has had any physical injury or disease or mental illness during the previous registration period that affected or interrupted his or her practice of medicine and surgery; and&nbsp;</span></p> <p><span class="cls0">9. The licensee's completion of continuing medical education or other forms of professional maintenance and/or evaluation, including specialty board certification or recertification, during the previous registration period.&nbsp;</span></p> <p><span class="cls0">B. The Board may require continuing medical education for license reregistration and require documentation of that education.&nbsp;</span></p> <p><span class="cls0">C. The licensee shall sign and attest to the veracity of the application form for license reregistration. Failure to report fully and correctly shall be grounds for disciplinary action by the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board shall establish a system for reviewing reregistration forms. The Board may initiate investigations and disciplinary proceedings based on information submitted by licensees for license reregistration.&nbsp;</span></p> <p><span class="cls0">E. Upon a finding by the Board that the licensee is fit to continue to practice medicine and surgery in this state, the Board shall issue to the licensee a license to practice medicine and surgery during the next registration period.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 20, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495b. Practice without renewal license prohibited - Punishment - Revocation or suspension of license.&nbsp;</span></p> <p><span class="cls0">Any person practicing medicine and surgery in Oklahoma as defined by law without having the legal possession of a current renewal license shall be guilty of a misdemeanor and upon conviction be punished by a fine of not less than One Thousand Dollars ($1,000.00), and such practice shall constitute grounds for the revocation or suspension of his or her license to practice medicine and surgery in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 243, &sect; 2, emerg. eff. May 15, 1941. Amended by Laws 1987, c. 118, &sect; 16, operative July 1, 1987; Laws 1994, c. 323, &sect; 21, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495c. Reregistration fees - Depository funds - Disposition.&nbsp;</span></p> <p><span class="cls0">A. Each application for reregistration, as set forth in Section 20 of this act, shall be accompanied by a reregistration fee in an amount fixed by the Board.&nbsp;</span></p> <p><span class="cls0">B. All reregistration fees paid to the secretary of the Board under the provisions of this act shall be deposited with the State Treasurer, who shall place the same in the regular depository fund of the Board. Said fund, less the ten percent (10%) gross fees paid into the General Fund of the state under the provisions of Sections 211 through 214 of Title 62 of the Oklahoma Statutes, shall be expended in the manner and for the purposes now provided by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1941, p. 243, &sect; 3, emerg. eff. May 15, 1941. Amended by Laws 1970, c. 145, &sect; 2, emerg. eff. April 7, 1970; Laws 1987, c. 118, &sect; 17, operative July 1, 1987; Laws 1994, c. 323, &sect; 22, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495d. Suspension in absence of reregistration - Reinstatement.&nbsp;</span></p> <p><span class="cls0">If a licensee fails to apply for reregistration within sixty (60) days from the end of the previous registration period, as provided in this act, his original license to practice medicine and surgery in this state shall be suspended and the Board shall report to the office of the district attorney of the county of practice any physician who failed to reregister if the physician's practice is still in Oklahoma. Said original license shall, upon due application by said person therefor, be reinstated by the Board or its agent designated for that purpose if and when the applicant furnishes satisfactory proof that:&nbsp;</span></p> <p><span class="cls0">(a) The licensee had not practiced medicine or surgery in any other state or territory of the United States in violation of the laws thereof during said period;&nbsp;</span></p> <p><span class="cls0">(b) The licensee's license to practice medicine or surgery had not been revoked in any other such state or territory during said period;&nbsp;</span></p> <p><span class="cls0">(c) The licensee has not been convicted of a felony or the violation of the narcotic laws of the United States during said period; and&nbsp;</span></p> <p><span class="cls0">(d) The licensee has met the same standards for licensure as is required at the time for initial licensure and the latest reregistration period.&nbsp;</span></p> <p><span class="cls0">A fee set by the Board shall accompany the application for reinstatement. The Board may in its discretion require the applicant to take and pass an examination prescribed by it to assess the applicant's clinical competency unless the applicant can show that fifty percent (50%) of his monthly activities during the time the applicant's Oklahoma license has been inactive include the practice of medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1951, p. 165, &sect; 1, emerg. eff. Feb. 26, 1951. Amended by Laws 1987, c. 118, &sect; 18, operative July 1, 1987; Laws 1994, c. 323, &sect; 23, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495e. Appeal from rejection of reregistration.&nbsp;</span></p> <p><span class="cls0">Any licensee whose reregistration application is rejected by the Board, shall have the right to appeal from such action to the district court of the county of residence. If the licensee does not reside or practice in Oklahoma, appeal shall be to the Oklahoma County District Court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1951, p. 165, &sect; 2, emerg. eff. Feb. 26, 1951. Amended by Laws 1994, c. 323, &sect; 24, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-495f. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-495g. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-495h. Reinstatement of license or certificate - Satisfactory evidence of professional competence.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may require satisfactory evidence of professional competence and good moral character from applicants requesting reinstatement of any license or certificate issued by the Board. The Board may set criteria for measurement of professional competence by rule.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 211, &sect; 5, eff. Nov. 1, 1995. Amended by Laws 2004, c. 523, &sect; 6, emerg. eff. June 9, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-496. Repealed by Laws 1983, c. 159, &sect; 4, operative July 1, 1983.&nbsp;</span></p> <p><span class="cls0">&sect;59497. Duplicate licenses.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision is hereby authorized to issue a duplicate license to any licensee of this state, who may have lost his license except through suspension, failure to renew, revocation or denial; provided, that the application, properly verified by oath, be made upon forms provided for that purpose; and provided, further, that a fee set by the Board shall be paid.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 118, &sect; 20, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-498. Repealed by Laws 1983, c. 159, &sect; 4, operative July 1, 1983.&nbsp;</span></p> <p><span class="cls0">&sect;59-499. Repealed by Laws 1949, p. 403, &sect; 1a.&nbsp;</span></p> <p><span class="cls0">&sect;59-500. Notice of practice location and address - Proof of licensure.&nbsp;</span></p> <p><span class="cls0">Each person holding a license authorizing the practice of medicine and surgery in this state shall notify the State Board of Medical Licensure and Supervision, in writing, of such licensee&rsquo;s current practice location and mailing address. Each licensee shall carry on his or her person at all times while engaged in such practice of medicine and surgery official verification of valid and effective licensure as may be issued by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 107, &sect; 20, emerg. eff. March 31, 1923. Amended by Laws 1987, c. 118, &sect; 21, operative July 1, 1987; Laws 1994, c. 323, &sect; 25, eff. July 1, 1994; Laws 2004, c. 523, &sect; 7, emerg. eff. June 9, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-501. Repealed by Laws 1990, c. 163, &sect; 7, eff. Sept 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-502. Repealed by Laws 1990, c. 163, &sect; 7, eff. Sept 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-503. Sanctions for unprofessional conduct.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may suspend, revoke or order any other appropriate sanctions against the license of any physician or surgeon holding a license to practice in this state for unprofessional conduct, but no such suspension, revocation or other penalty shall be made until the licensee is cited to appear for hearing. No such citation shall be issued except upon sworn complaint filed with the secretary of the Board, charging the licensee with having been guilty of unprofessional conduct and setting forth the particular act or acts alleged to constitute unprofessional conduct. In the event it comes to the attention of the Board that a violation of the rules of professional conduct may have occurred, even though a formal complaint or charge may not have been filed, the Board may conduct an investigation of the possible violation, and may upon its own motion institute a formal complaint. In the course of the investigation persons appearing before the Board may be required to testify under oath. Upon the filing of a complaint, either by an individual or the Board as provided herein, the citation must forthwith be issued by the secretary of the Board over the signature of the secretary and seal of the Board, setting forth the complaint of unprofessional conduct, and giving due notice of the time and place of the hearing by the Board. The citation shall be made returnable at the next regular meeting of the Board occurring at least thirty (30) days after the service of the citation. The defendant shall file a written answer under oath with the secretary of the Board within twenty (20) days after the service of the citation. The secretary of the Board may extend the time of answer upon satisfactory showing that the defendant is for reasonable cause, unable to answer within the twenty (20) days, but in no case shall the time be extended beyond the date of the next regular meeting of the Board, unless a continuance is granted by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 108, &sect; 23, emerg. eff. March 31, 1923. Amended by Laws 1955, p. 328, &sect; 1, emerg. eff. March 17, 1955; Laws 1987, c. 118, &sect; 23, operative July 1, 1987; Laws 1994, c. 323, &sect; 26, eff. July 1, 1994; Laws 1995, c. 211, &sect; 6, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-503.1. Emergency suspension of licensure.&nbsp;</span></p> <p><span class="cls0">The Secretary of the Board, upon concurrence of the President of the Board that an emergency exists for which the immediate suspension of a license is imperative for the public health, safety and welfare, may conduct a hearing as contemplated by Section 314 of Title 75 of the Oklahoma Statutes to suspend temporarily the license of any person under the jurisdiction of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 27, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59504. Process How served Depositions Subpoenas.&nbsp;</span></p> <p><span class="cls0">All citations and subpoenas, under the contemplation of this act, shall be served in general accordance with the statutes of the State of Oklahoma then in force applying to the service of such documents, and all provisions of the statutes of the state then in force, relating to citations and subpoenas, are hereby made applicable to the citations and subpoenas herein provided for. All the provisions of the statutes of the state, then in force, governing the taking of testimony by depositions, are made applicable to the taking of depositions under this act. The attendance of witnesses shall be compelled in such hearings by subpoenas issued by the secretary of the State Board of Medical Licensure and Supervision over the seal thereof, and the secretary shall in no case refuse to issue such subpoenas upon praecipe filed therefor accompanied with the fee of Five Dollars ($5.00) for each subpoena issued. If any person refuse to obey such subpoena served upon him in such manner, the fact of such refusal shall be certified by the secretary of the Board, over the seal thereof, to the district court of the county in which such service was had, and the court shall proceed to hear said matter in accordance with the statutes of the state then in force governing contempt as for disobedience of its own process.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 118, &sect; 24, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-505. State as party to actions - Board as trial body - Rulings - Record.&nbsp;</span></p> <p><span class="cls0">It is hereby provided that the State of Oklahoma is a proper and necessary party in the prosecution of all such actions and hearings before the Board in all matters pertaining to unprofessional conduct under the contemplation of this act, and the Attorney General of the state, in person, or by deputy, is authorized and directed to appear in behalf thereof and the defendant in such action shall have the right to be represented by counsel. The Board shall sit as a trial body and the rulings of the president thereof in all questions shall be the rulings of the Board, unless reversed by a majority vote of the Board upon appeal thereto from such rulings of the president. The secretary shall preserve a record of all proceedings in such hearings and shall furnish a transcript thereof to the defendant upon request therefor, provided the said defendant shall pay the actual cost of preparing such transcript. If the services of a court reporter are requested, the court reporter shall be reimbursed or paid by the party who made such request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 109, &sect; 25, emerg. eff. March 31, 1923. Amended by Laws 1987, c. 118, &sect; 25, operative July 1, 1987; Laws 1994, c. 323, &sect; 28, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-506. Decisions of Board - Suspension and reinstatement - Narcotics conviction.&nbsp;</span></p> <p><span class="cls0">A. If it is the decision of the State Board of Medical Licensure and Supervision, after considering all the testimony presented, that the defendant is guilty as charged, the Board shall revoke the license of the defendant, and the defendant's rights to practice medicine and surgery. The Board, however, may suspend a license, during which suspension the holder of such suspended license shall not be entitled to practice medicine and surgery thereunder. If during suspension, the defendant practiced medicine or surgery or has been guilty of any act of unprofessional conduct, as defined by the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, the Board may revoke the license of such licensee or place the licensee upon probation for any period of time not less than one (1) year, nor more than five (5) years, or on second offense place the licensee on probation for an indefinite period of time, during which time the licensee's conduct will be kept under observation. The Board, furthermore, may impose on the defendant, as a condition of any suspension or probation, a requirement that the defendant attend and produce evidence of successful completion of a specific term of education, residency, or training in enumerated fields and/or institutions as ordered by the Board based on the facts of the case. The education, residency, or training shall be at the expense of the defendant. The Board may also impose other disciplinary actions as provided for in Section 509.1 of this title. At the end of any term of suspension imposed by the Board, the applicant for reinstatement shall show to the Board successful completion of all conditions and requirements imposed by the Board and demonstrate eligibility for reinstatement.&nbsp;</span></p> <p><span class="cls0">B. Immediately upon learning that a licensee has been convicted of a felonious violation of a state or federal narcotics law, the Executive Director of the Board shall summarily suspend the license and assign a hearing date for the matter to be presented to the Board. Immediately upon learning that a licensee is in violation of a Board-ordered probation, the Executive Director of the Board may summarily suspend the license based on imminent harm to the public and assign a hearing date for the matter to be presented at the next scheduled Board meeting.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 109, &sect; 26, emerg. eff. March 31, 1923. Amended by Laws 1963, c. 200, &sect; 1, emerg. eff. June 10, 1963; Laws 1987, c. 118, &sect; 26, operative July 1, 1987; Laws 1994, c. 323, &sect; 29, eff. July 1, 1994; Laws 1995, c. 211, &sect; 7, eff. Nov. 1, 1995; Laws 1998, c. 324, &sect; 9, emerg. eff. May 28, 1998; Laws 2009, c. 261, &sect; 6, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-507. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-508. Revocation for fraud, misrepresentation or mistake - Misdemeanor.&nbsp;</span></p> <p><span class="cls0">A. Whenever any license has been procured or obtained by fraud or misrepresentation, or was issued by mistake; or if the diploma of graduation in medicine and surgery or any other credentials required as necessary to the admission to the examination for license were obtained by fraud or misrepresentation or were issued by mistake; or if the reciprocity endorsement from another state, upon which a license has been issued in this state, was procured by fraud or misrepresentation, or was issued by mistake, it shall be the duty of the State Board of Medical Licensure and Supervision to take appropriate disciplinary action in the same manner as is provided by the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act for the disciplining of unprofessional conduct.&nbsp;</span></p> <p><span class="cls0">B. Use of fraudulent information to obtain a license shall be a misdemeanor offense, punishable, upon conviction, by the imposition of a fine of not less than One Thousand Dollars ($1,000.00), or by imprisonment in the county jail for not more than one (1) year, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 110, &sect; 28, emerg. eff. March 31, 1923. Amended by Laws 1987, c. 118, &sect; 27, operative July 1, 1987; Laws 1994, c. 323, &sect; 30, eff. July 1, 1994; Laws 2002, c. 213, &sect; 3, emerg. eff. May 8, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-508.1. Reinstatement on Board's own motion.&nbsp;</span></p> <p><span class="cls0">At any time after the Board has revoked or suspended the license to practice medicine or surgery of any person, the Board, upon its own motion and of its own authority and right, may reconsider such order and decision for any reason deemed by it to be sufficient and may, in its discretion, reinstate the license of such person.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1943, p. 135, &sect; 1, emerg. eff. March 24, 1943. Amended by Laws 1987, c. 118, &sect; 28, operative July 1, 1987; Laws 1994, c. 323, &sect; 31, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-508.2. Reinstatement on application of person whose license is suspended or revoked.&nbsp;</span></p> <p><span class="cls0">A. At any time after the expiration of twelve (12) months from the date the license of any person to practice medicine or surgery has been revoked with right to reapply, or at any time after the expiration of six (6) months from the date the license of any person to practice medicine or surgery has been suspended by the State Board of Medical Licensure and Supervision, such person whose license has been so revoked or suspended may file an application with the secretary of the Board, together with an application fee set by the Board, to reinstate the license. A licensee who has had a license revoked, suspended or who has surrendered a license in lieu of prosecution shall not be reinstated and no probation shall be lifted unless the licensee has paid all fines and reimbursements in a manner satisfactory to the Board.&nbsp;</span></p> <p><span class="cls0">B. The application shall be assigned for hearing at the next regular meeting of the Board following the filing thereof. In addition, the Board may authorize the secretary to hold a hearing on the application at any time. In such cases, the Board shall have the authority and right to reconsider the order and decision of revocation or suspension.&nbsp;</span></p> <p><span class="cls0">C. For such causes and reasons deemed by it sufficient and for the best interest of the medical profession and the citizens of this state, the Board may reinstate a license of an applicant and issue the order therefor.&nbsp;</span></p> <p><span class="cls0">D. The Board may negotiate with the licensee a plan of repayment for any fines or other costs that is satisfactory to the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1943, p. 135, &sect; 2, emerg. eff. March 24, 1943. Amended by Laws 1987, c. 118, &sect; 29, operative July 1, 1987; Laws 1994, c. 323, &sect; 32, eff. July 1, 1994; Laws 2004, c. 523, &sect; 8, emerg. eff. June 9, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-508.3. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-509. Unprofessional conduct - Definition.&nbsp;</span></p> <p><span class="cls0">The words &ldquo;unprofessional conduct&rdquo; as used in Sections 481 through 514 of this title are hereby declared to include, but shall not be limited to, the following:&nbsp;</span></p> <p><span class="cls0">1. Procuring, aiding or abetting a criminal operation;&nbsp;</span></p> <p><span class="cls0">2. The obtaining of any fee or offering to accept any fee, present or other form of remuneration whatsoever, on the assurance or promise that a manifestly incurable disease can or will be cured;&nbsp;</span></p> <p><span class="cls0">3. Willfully betraying a professional secret to the detriment of the patient;&nbsp;</span></p> <p><span class="cls0">4. Habitual intemperance or the habitual use of habit-forming drugs;&nbsp;</span></p> <p><span class="cls0">5. Conviction of a felony or of any offense involving moral turpitude;&nbsp;</span></p> <p><span class="cls0">6. All advertising of medical business in which statements are made which are grossly untrue or improbable and calculated to mislead the public;&nbsp;</span></p> <p><span class="cls0">7. Conviction or confession of a crime involving violation of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the antinarcotic or prohibition laws and regulations of the federal government,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the laws of this state, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;State Board of Health rules;&nbsp;</span></p> <p><span class="cls0">8. Dishonorable or immoral conduct which is likely to deceive, defraud, or harm the public;&nbsp;</span></p> <p><span class="cls0">9. The commission of any act which is a violation of the criminal laws of any state when such act is connected with the physician&rsquo;s practice of medicine. A complaint, indictment or confession of a criminal violation shall not be necessary for the enforcement of this provision. Proof of the commission of the act while in the practice of medicine or under the guise of the practice of medicine shall be unprofessional conduct;&nbsp;</span></p> <p><span class="cls0">10. Failure to keep complete and accurate records of purchase and disposal of controlled drugs or of narcotic drugs;&nbsp;</span></p> <p><span class="cls0">11. The writing of false or fictitious prescriptions for any drugs or narcotics declared by the laws of this state to be controlled or narcotic drugs;&nbsp;</span></p> <p><span class="cls0">12. Prescribing or administering a drug or treatment without sufficient examination and the establishment of a valid physician-patient relationship;&nbsp;</span></p> <p><span class="cls0">13. The violation, or attempted violation, direct or indirect, of any of the provisions of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, either as a principal, accessory or accomplice;&nbsp;</span></p> <p><span class="cls0">14. Aiding or abetting, directly or indirectly, the practice of medicine by any person not duly authorized under the laws of this state;&nbsp;</span></p> <p><span class="cls0">15. The inability to practice medicine with reasonable skill and safety to patients by reason of age, illness, drunkenness, excessive use of drugs, narcotics, chemicals, or any other type of material or as a result of any mental or physical condition. In enforcing this subsection the State Board of Medical Licensure and Supervision may, upon probable cause, request a physician to submit to a mental or physical examination by physicians designated by it. If the physician refuses to submit to the examination, the Board shall issue an order requiring the physician to show cause why the physician will not submit to the examination and shall schedule a hearing on the order within thirty (30) days after notice is served on the physician. The physician shall be notified by either personal service or by certified mail with return receipt requested. At the hearing, the physician and the physician&rsquo;s attorney are entitled to present any testimony and other evidence to show why the physician should not be required to submit to the examination. After a complete hearing, the Board shall issue an order either requiring the physician to submit to the examination or withdrawing the request for examination. The medical license of a physician ordered to submit for examination may be suspended until the results of the examination are received and reviewed by the Board;&nbsp;</span></p> <p><span class="cls0">16. Prescribing, dispensing or administering of controlled substances or narcotic drugs in excess of the amount considered good medical practice, or prescribing, dispensing or administering controlled substances or narcotic drugs without medical need in accordance with published standards;&nbsp;</span></p> <p><span class="cls0">17. Engaging in physical conduct with a patient which is sexual in nature, or in any verbal behavior which is seductive or sexually demeaning to a patient;&nbsp;</span></p> <p><span class="cls0">18. Failure to maintain an office record for each patient which accurately reflects the evaluation, treatment, and medical necessity of treatment of the patient;&nbsp;</span></p> <p><span class="cls0">19. Failure to provide necessary ongoing medical treatment when a doctor-patient relationship has been established, which relationship can be severed by either party providing a reasonable period of time is granted; or&nbsp;</span></p> <p><span class="cls0">20. Failure to provide a proper and safe medical facility setting and qualified assistive personnel for a recognized medical act, including but not limited to an initial in-person patient examination, office surgery, diagnostic service or any other medical procedure or treatment. Adequate medical records to support diagnosis, procedure, treatment or prescribed medications must be produced and maintained.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 110, &sect; 29, emerg. eff. March 31, 1923. Amended by Laws 1925, c. 63, p. 96, &sect; 5, emerg. eff. April 6, 1925; Laws 1973, c. 99, &sect; 1, emerg. eff. May 2, 1973; Laws 1980, c. 208, &sect; 1, emerg. eff. May 30, 1980; Laws 1993, c. 338, &sect; 1, eff. Sept. 1, 1993; Laws 1995, c. 211, &sect; 8, eff. Nov. 1, 1995; Laws 1998, c. 324, &sect; 10, emerg. eff. May 28, 1998; Laws 2004, c. 523, &sect; 9, emerg. eff. June 9, 2004; Laws 2009, c. 261, &sect; 7, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-509.1. Disciplinary actions.&nbsp;</span></p> <p><span class="cls0">A. RANGE OF ACTIONS: The State Board of Medical Licensure and Supervision may impose disciplinary actions in accordance with the severity of violation of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act. Disciplinary actions may include, but are not limited to the following:&nbsp;</span></p> <p><span class="cls0">1. Revocation of the medical license with or without the right to reapply;&nbsp;</span></p> <p><span class="cls0">2. Suspension of the medical license;&nbsp;</span></p> <p><span class="cls0">3. Probation;&nbsp;</span></p> <p><span class="cls0">4. Stipulations, limitations, restrictions, and conditions relating to practice;&nbsp;</span></p> <p><span class="cls0">5. Censure, including specific redress, if appropriate;&nbsp;</span></p> <p><span class="cls0">6. Reprimand;&nbsp;</span></p> <p><span class="cls0">7. A period of free public or charity service;&nbsp;</span></p> <p><span class="cls0">8. Satisfactory completion of an educational, training, and/or treatment program or programs; and&nbsp;</span></p> <p><span class="cls0">9. Administrative fines of up to Five Thousand Dollars ($5,000.00) per violation.&nbsp;</span></p> <p><span class="cls0">Provided, as a condition of disciplinary action sanctions, the Board may impose as a condition of any disciplinary action, the payment of costs expended by the Board for any legal fees and costs and probation and monitoring fees including, but not limited to, staff time, salary and travel expense, witness fees and attorney fees. The Board may take such actions singly or in combination as the nature of the violation requires.&nbsp;</span></p> <p><span class="cls0">B. LETTER OF CONCERN: The Board may authorize the secretary to issue a confidential letter of concern to a licensee when evidence does not warrant formal proceedings, but the secretary has noted indications of possible errant conduct that could lead to serious consequences and formal action. The letter of concern may contain, at the secretary&rsquo;s discretion, clarifying information from the licensee.&nbsp;</span></p> <p><span class="cls0">C. EXAMINATION/EVALUATION: The Board may, upon reasonable cause, require professional competency, physical, mental, or chemical dependency examinations of any licensee, including withdrawal and laboratory examination of body fluids.&nbsp;</span></p> <p><span class="cls0">D. DISCIPLINARY ACTION AGAINST LICENSEES:&nbsp;</span></p> <p><span class="cls0">1. The Board shall promulgate rules describing acts of unprofessional or unethical conduct by physicians pursuant to the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act; and&nbsp;</span></p> <p><span class="cls0">2. Grounds for Action: The Board may take disciplinary action for unprofessional or unethical conduct as deemed appropriate based upon the merits of each case and as set out by rule. The Board shall not revoke the license of a person otherwise qualified to practice allopathic medicine within the meaning of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act solely because the person&rsquo;s practice or a therapy is experimental or nontraditional.&nbsp;</span></p> <p><span class="cls0">Reports of all disciplinary action provided for in this section will be available to the public upon request.&nbsp;</span></p> <p><span class="cls0">E. SURRENDER IN LIEU OF PROSECUTION:&nbsp;</span></p> <p><span class="cls0">1. The Board may accept a surrender of license from a licensee who has engaged in unprofessional conduct in lieu of Board staff prosecuting a pending disciplinary action or filing formal disciplinary proceedings only as provided in this section. To effect such a surrender, the licensee must submit a sworn statement to the Board:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;expressing the licensee&rsquo;s desire to surrender the license,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;acknowledging that the surrender is freely and voluntarily made, that the licensee has not been subjected to coercion or duress, and that the licensee is fully aware of the consequences of the license surrender,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;stating that the licensee is the subject of an investigation or proceeding by the Board or a law enforcement or other regulatory agency involving allegations which, if proven, would constitute grounds for disciplinary action by the Board, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;specifically admitting to and describing the misconduct.&nbsp;</span></p> <p><span class="cls0">2. The sworn written statement must be submitted with the licensee&rsquo;s wallet card and wall certificate. The Secretary or Executive Director of the Board may accept the sworn statement, wallet card and wall certificate from a licensee pending formal acceptance by the Board. The issuance of a complaint and citation by the Board shall not be necessary for the Board to accept a surrender under this subsection. A surrender under this subsection shall be considered disciplinary action by the Board in all cases, even in cases where surrender occurs prior to the issuance of a formal complaint and citation, and shall be reported as disciplinary action by the Board to the public and any other entity to whom the Board regularly reports disciplinary actions.&nbsp;</span></p> <p><span class="cls0">3. As a condition to acceptance of the surrender, the Board may require the licensee to pay the costs expended by the Board for any legal fees and costs and any investigation, probation and monitoring fees including, but not limited to, staff time, salary and travel expense, witness fees and attorney fees.&nbsp;</span></p> <p><span class="cls0">4. The licensee whose surrender in lieu of prosecution is accepted by the Board shall be ineligible to reapply for reinstatement of his or her license for at least one (1) year from the date of the accepted surrender.&nbsp;</span></p> <p><span class="cls0">F. ALL LICENSED PROFESSIONALS: All disciplinary actions defined in this section are applicable to any and all professional licensees under the legislative jurisdiction of the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 323, &sect; 33, eff. July 1, 1994. Amended by Laws 1999, c. 23, &sect; 2, eff. Nov. 1, 1999; Laws 2002, c. 213, &sect; 4, emerg. eff. May 8, 2002; Laws 2004, c. 523, &sect; 10, emerg. eff. June 9, 2004; Laws 2009, c. 261, &sect; 8, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59510. Corporations Firms Practice of medicine.&nbsp;</span></p> <p><span class="cls0">It shall be the duty of all firms, associations, or corporations engaged in the practice of medicine within the meaning of this act, within the State of Oklahoma, under whatsoever name or designation, before entering the practice thereof, to report in writing to the county clerk of the county in which such business is to be conducted, the names and addresses of all physicians connected therewith who propose to practice medicine and surgery under such name or designation, or in connection therewith, within said county and state; and from time to time thereafter such additional names and addresses as may be added thereto for the purpose of engaging in such practice under such firm name and designation, shall be so reported; Provided, that nothing in this section shall operate or be construed to waive the requirements that each and every member of such firm, association or corporation so practicing medicine and surgery thereunder, shall be duly licensed to practice medicine and surgery in the State of Oklahoma. Any firm, association or corporation, or any member or agent thereof, violating any of the provisions of this section, shall be guilty of a misdemeanor, and upon conviction thereof, shall be fined in any sum not to exceed One Hundred Dollars ($100.00), and each day's practice shall be deemed a separate offense.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1923, c. 59, p. 111, &sect; 30. &nbsp;</span></p> <p><span class="cls0">&sect;59-511. Deposit of fees and other monies - Payments from fund - Disposition of balance.&nbsp;</span></p> <p><span class="cls0">All monies accruing to the Board from fees herein provided for, and from all other sources whatsoever, shall be received by the secretary who shall make deposit thereof with the State Treasurer, who shall place the same in a designated depository fund to the credit of the Board. All salaries and expenses of the Board shall be paid from said depository fund upon proper vouchers approved by the secretary of the Board in the usual manner as the other similar departments of state. It is further provided that, at the end of each fiscal year, the unexpended balance of such funds shall be carried forward and placed to the credit of the Board for the succeeding fiscal year.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 112, &sect; 31, emerg. eff. March 31, 1923. Amended by Laws 1987, c. 118, &sect; 30, operative July 1, 1987; Laws 1994, c. 323, &sect; 34, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-512. Salary of secretary - Personnel - Investigators - Travel expenses.&nbsp;</span></p> <p><span class="cls0">The secretary of the State Board of Medical Licensure and Supervision shall be paid an annual salary in an amount fixed by the Board. The Board shall have the authority to expend such funds as are necessary in carrying out the duties of the Board and shall have the authority to hire all necessary personnel, at salaries to be fixed by the Board, as the Board shall deem necessary. The Board shall have the authority to hire attorneys to represent the Board in all legal matters and to assist authorized state and county officers in prosecuting or restraining violations of Section 481 et seq. of this title, and to fix the salaries or per diem of said attorneys.&nbsp;</span></p> <p><span class="cls0">The Board shall have the authority to hire one or more investigators as may be necessary to carry out the provisions of this act at an annual salary to be fixed by the Board. Such investigators may be commissioned peace officers of this state. In addition such investigators shall have the authority and duty to investigate and inspect the records of all persons in order to determine whether or not the narcotic laws or the dangerous drug laws have been complied with.&nbsp;</span></p> <p><span class="cls0">The Board is specifically authorized to contract with state agencies or other bodies to perform investigative services at a rate set by the Board.&nbsp;</span></p> <p><span class="cls0">The Board is authorized to pay the travel expenses of Board employees and members in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">The expenditures authorized herein shall not be a charge against the state, but the same shall be paid solely from the Board's depository fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 112, &sect; 32, emerg. eff. March 31, 1923. Amended by Laws 1970, c. 145, &sect; 3, emerg. eff. April 7, 1970; Laws 1980, c. 159, &sect; 12, emerg. eff. April 2, 1980; Laws 1985, c. 178, &sect; 33, operative July 1, 1985; Laws 1987, c. 118, &sect; 31, operative July 1, 1987; Laws 1994, c. 323, &sect; 35, eff. July 1, 1994; Laws 2002, c. 213, &sect; 5, emerg. eff. May 8, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-513. Quasi-judicial powers of Board - Appeals to Supreme Court - Revocation on conviction of felony - Fugitive from justice.&nbsp;</span></p> <p><span class="cls0">A. 1. The State Board of Medical Licensure and Supervision is hereby given quasi-judicial powers while sitting as a Board for the purpose of revoking, suspending or imposing other disciplinary actions upon the license of physicians or surgeons of this state, and appeals from its decisions shall be taken to the Supreme Court of this state within thirty (30) days of the date that a copy of the decision is mailed to the appellant, as shown by the certificate of mailing attached to the decision.&nbsp;</span></p> <p><span class="cls0">2. The license of any physician or surgeon who has been convicted of any felony in or without the State of Oklahoma and whether in a state or federal court, may be suspended by the Board upon the submission thereto of a certified copy of the judgment and sentence of the trial court and the certificate of the clerk of the court of the conviction.&nbsp;</span></p> <p><span class="cls0">3. Upon proof of a final felony conviction by the courts and after exhaustion of the appellate process, the Board shall revoke the physician&rsquo;s license. If the felony conviction is overturned on appeal and no other appeals are sought, the Board shall restore the license of the physician. Suspension or revocation of the license of any person convicted of a felony on any other grounds than that of moral turpitude or the violation of the federal or state narcotic laws, shall be on the merits of the particular case, but the court records in the trial of such case when conviction has been had shall be prima facie evidence of the conviction.&nbsp;</span></p> <p><span class="cls0">4. The Board shall also revoke and cancel the license of any physician or surgeon who has been charged in a court of record of this or other states of the United States or in the federal court with the commission of a felony and who is a fugitive from justice, upon the submission of a certified copy of the charge together with a certificate from the clerk of the court that after the commitment of the crime the physician or surgeon fled from the jurisdiction of the court and is a fugitive from justice.&nbsp;</span></p> <p><span class="cls0">B. To the extent necessary to allow the Board the power to enforce disciplinary actions imposed by the Board, in the exercise of its authority, the Board may punish willful violations of its orders and impose additional penalties as allowed by Section 509.1 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1923, c. 59, p. 112, &sect; 33, emerg. eff. March 31, 1923. Amended by Laws 1925, c. 63, p. 96, &sect; 6, emerg. eff. April 6, 1925; Laws 1935, p. 56, &sect; 2, emerg. eff. May 13, 1935; Laws 1987, c. 118, &sect; 32, operative July 1, 1987; Laws 1994, c. 323, &sect; 36, eff. July 1, 1994; Laws 1998, c. 374, &sect; 3, eff. Nov. 1, 1998; Laws 2004, c. 523, &sect; 11, emerg. eff. June 9, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59514. Partial invalidity.&nbsp;</span></p> <p><span class="cls0">In the event any of the provisions of this act shall be held unconstitutional, the same shall not affect the enforcement of the other provisions hereof.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1923, c. 59, p. 112, &sect; 34. &nbsp;</span></p> <p><span class="cls0">&sect;59-515. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-516. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59-517. Repealed by Laws 1994, c. 323, &sect; 38, eff. July 1, 1994.&nbsp;</span></p> <p><span class="cls0">&sect;59518. Emergency care or treatment Immunity from civil damages or criminal prosecution.&nbsp;</span></p> <p><span class="cls0">No person who is a licensed practitioner of a healing art in the State of Oklahoma, who in good faith renders emergency care or treatment at the scene of the emergency, shall be liable for any civil damages as a result of any acts or omissions by such person in rendering the emergency care or treatment, and no person who is a licensed practitioner of a healing art in the State of Oklahoma shall be prosecuted under the criminal statutes of this state for treatment of a minor without the consent of a minor's parent or guardian when such treatment was performed under emergency conditions and in good faith.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1961, p. 458, &sect; 1; Laws 1967, c. 57, &sect; 1; Laws 1968, c. 405, &sect; 1, emerg. eff. May 17, 1968. &nbsp;</span></p> <p><span class="cls0">&sect;59-518.1. Allied Professional Peer Assistance Program &ndash; Committees - Records.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established the Allied Professional Peer Assistance Program to rehabilitate allied medical professionals whose competency may be compromised because of the abuse of drugs or alcohol, so that such allied medical professionals can be treated and can return to or continue the practice of allied medical practice in a manner which will benefit the public. The program shall be under the supervision and control of the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">B. The Board may appoint one or more peer assistance evaluation advisory committees, hereinafter called the "allied peer assistance committees". Each of these committees shall be composed of members, the majority of which shall be licensed allied medical professionals with expertise in chemical dependency. The allied peer assistance committees shall function under the authority of the State Board of Medical Licensure and Supervision in accordance with the rules of the Board. The program may be one hundred percent (100%) outsourced to professional groups specialized in this arena. The committee members shall serve without pay, but may be reimbursed for the expenses incurred in the discharge of their official duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">C. The Board may appoint and employ a qualified person or persons to serve as program coordinators and shall fix such person's compensation. The Board shall define the duties of the program coordinators who shall report directly to the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board is authorized to adopt and revise rules, not inconsistent with the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act, as may be necessary to enable it to carry into effect the provisions of this section.&nbsp;</span></p> <p><span class="cls0">E. A portion of licensing fees for each allied profession, not to exceed Ten Dollars ($10.00), may be used to implement and maintain the Allied Professional Peer Assistance Program.&nbsp;</span></p> <p><span class="cls0">F. All monies paid pursuant to subsection E of this section shall be deposited in an agency special account revolving fund under the State Board of Medical Licensure and Supervision, and shall be used for the general operating expenses of the Allied Professional Peer Assistance Program, including payment of personal services.&nbsp;</span></p> <p><span class="cls0">G. Records and management information system of the professionals enrolled in the Allied Professional Peer Assistance Program and reports shall be maintained in the program office in a place separate and apart from the records of the Board. The records shall be made public only by subpoena and court order; provided however, confidential treatment shall be cancelled upon default by the professional in complying with the requirements of the program.&nbsp;</span></p> <p><span class="cls0">H. Any person making a report to the Board or to an allied peer assistance committee regarding a professional suspected of practicing allied medical practice while habitually intemperate or addicted to the use of habit-forming drugs, or a professional's progress or lack of progress in rehabilitation, shall be immune from any civil or criminal action resulting from such reports, provided such reports are made in good faith.&nbsp;</span></p> <p><span class="cls0">I. A professional's participation in the Allied Professional Peer Assistance Program in no way precludes additional proceedings by the Board for acts or omissions of acts not specifically related to the circumstances resulting in the professional's entry into the program. However, in the event the professional defaults from the program, the Board may discipline the professional for those acts which led to the professional entering the program.&nbsp;</span></p> <p><span class="cls0">J. The Executive Director of the Board shall suspend the license immediately upon notification that the licensee has defaulted from the Allied Professional Peer Assistance Program, and shall assign a hearing date for the matter to be presented to the Board.&nbsp;</span></p> <p><span class="cls0">K. All treatment information, whether or not recorded, and all communications between a professional and therapist are both privileged and confidential. In addition, the identity of all persons who have received or are receiving treatment services shall be considered confidential and privileged.&nbsp;</span></p> <p><span class="cls0">L. As used in this section, unless the context otherwise requires:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision; and&nbsp;</span></p> <p><span class="cls0">2. "Allied peer assistance committee" means the peer assistance evaluation advisory committee created in this section, which is appointed by the State Board of Medical Licensure and Supervision to carry out specified duties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 261, &sect; 3, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-519. Repealed by Laws 1993, c. 289, &sect; 12, emerg. eff. June 3, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-519.1. Short title.&nbsp;</span></p> <p><span class="cls0">The provisions of this act shall be known and may be cited as the "Physician Assistant Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 1, emerg. eff. June 3, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-519.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Physician Assistant Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Physician Assistant Committee;&nbsp;</span></p> <p><span class="cls0">3. "Health care services" means services which require training in the diagnosis, treatment and prevention of disease, including the use and administration of drugs, and which are performed by physician assistants under the supervision and at the direction of physicians. Such services include, but are not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;initially approaching a patient of any age group in a patient care setting to elicit a detailed history, performing a physical examination, delineating problems and recording the data,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;assisting the physician in conducting rounds in acute and long-term inpatient care settings, developing and implementing patient management plans, recording progress notes and assisting in the provision of continuity of care in other patient care settings,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;ordering, performing or interpreting, at least to the point of recognizing deviations from the norm, common laboratory, radiological, cardiographic and other routine diagnostic procedures used to identify pathophysiologic processes,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;ordering or performing routine procedures such as injections, immunizations, suturing and wound care, and managing simple conditions produced by infection, trauma or other disease processes,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;assisting in the management of more complex illness and injuries, which may include assisting surgeons in the conduct of operations and taking initiative in performing evaluation and therapeutic procedures in response to life-threatening situations,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;instructing and counseling patients regarding compliance with prescribed therapeutic regimens, normal growth and development, family planning, emotional problems of daily living and health maintenance, &nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;facilitating the referral of patients to the community's health and social service agencies when appropriate, and&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;providing health care services which are delegated by the supervising physician when the service:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;is within the physician assistant&rsquo;s skill,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;forms a component of the physician&rsquo;s scope of practice, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;is provided with supervision, including authenticating with the signature any form that may be authenticated by the supervising physician&rsquo;s signature with prior delegation by the physician.&nbsp;</span></p> <p><span class="cls0">Nothing in the Physician Assistant Act shall be construed to permit physician assistants to provide health care services independent of physician supervision;&nbsp;</span></p> <p><span class="cls0">4. "Patient care setting" means a physician's office, clinic, hospital, nursing home, extended care facility, patient's home, ambulatory surgical center or any other setting authorized by the supervising physician;&nbsp;</span></p> <p><span class="cls0">5. "Physician assistant" means a health care professional, qualified by academic and clinical education and licensed by the State Board of Medical Licensure and Supervision, to provide health care services in any patient care setting at the direction and under the supervision of a physician or group of physicians;&nbsp;</span></p> <p><span class="cls0">6. "Physician Assistant Drug Formulary" means a list of drugs and other medical supplies, approved by the State Board of Medical Licensure and Supervision after consultation with the State Board of Pharmacy, that physician assistants are permitted to prescribe and order under the direction of their supervising physicians;&nbsp;</span></p> <p><span class="cls0">7. "Remote patient care setting" means an outpatient clinic or physician's office that qualifies as a Rural Health Clinic, a Federally Qualified Health Center, a nonprofit community-based health center, or any other patient care setting approved by the State Board of Medical Licensure and Supervision, and that provides service to a medically underserved population, as defined by the appropriate government agency;&nbsp;</span></p> <p><span class="cls0">8. "Supervising physician" means an individual holding a license as a physician from the State Board of Medical Licensure and Supervision or the State Board of Osteopathic Examiners, who supervises physician assistants; &nbsp;</span></p> <p><span class="cls0">9. "Supervision" means overseeing and accepting the responsibility for the health care services performed by a physician assistant; and&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Application to practice&rdquo; means a written description that defines the scope of practice and the terms of supervision of a physician assistant in a medical practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 2, emerg. eff. June 3, 1993. Amended by Laws 1997, c. 47, &sect; 1, emerg. eff. April 7, 1997; Laws 1998, c. 128, &sect; 2, eff. Nov. 1, 1998; Laws 2001, c. 385, &sect; 2, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-519.3. Physician Assistant Committee - Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the Physician Assistant Committee, which shall be composed of seven (7) members. Two members of the Committee shall be physician assistants appointed by the State Board of Medical Licensure and Supervision from a list of qualified individuals submitted by the Oklahoma Academy of Physician Assistants. One member shall be a physician appointed by the Board from its membership. One member shall be a physician appointed by the Board from a list of qualified individuals submitted by the Oklahoma State Medical Association and who is not a member of the Board. One member shall be a physician appointed by the State Board of Osteopathic Examiners from its membership. One member shall be a physician appointed by the State Board of Osteopathic Examiners from a list of qualified individuals submitted by the Oklahoma Osteopathic Association and who is not a member of said board. One member shall be a licensed pharmacist appointed by the Board of Pharmacy.&nbsp;</span></p> <p><span class="cls0">B. The term of office for each member of the Committee shall be five (5) years. Provided, of those members initially appointed to the Committee by the Board, two shall serve three-year terms and two shall serve five-year terms, as designated by the Board; of those members initially appointed to the Committee by the State Board of Osteopathic Examiners, one shall serve a two-year term and one shall serve a four-year term, as designated by said board; and the member initially appointed by the Board of Pharmacy shall serve a five-year term.&nbsp;</span></p> <p><span class="cls0">C. The Committee shall meet at least quarterly. At the initial meeting of the Committee, members shall elect a chair. The chair shall represent the Committee at all meetings of the Board. Four members shall constitute a quorum for the purpose of conducting official business of the Committee.&nbsp;</span></p> <p><span class="cls0">D. The State Board of Medical Licensure and Supervision is hereby granted the power and authority to promulgate rules, which are in accordance with the provisions of Section 519.1 et seq. of this title, governing the requirements for licensure as a physician assistant, as well as to establish standards for training, approve institutions for training, and regulate the standards of practice of a physician assistant after licensure, including the power of revocation of a license.&nbsp;</span></p> <p><span class="cls0">E. The State Board of Medical Licensure and Supervision is hereby granted the power and authority to investigate all complaints, hold hearings, subpoena witnesses and initiate prosecution concerning violations of Section 519.1 et seq. of this title. When such complaints involve physicians licensed by the State Board of Osteopathic Examiners, the State Board of Osteopathic Examiners shall be officially notified of such complaints.&nbsp;</span></p> <p><span class="cls0">F. 1. The Committee shall advise the Board on matters pertaining to physician assistants, including, but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;educational standards required to practice as a physician assistant,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensure requirements required to practice as a physician assistant,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;methods and requirements to assure the continued competence of physician assistants after licensure,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the drugs and other medical supplies for which physician assistants are permitted to prescribe and order under the direction of their supervising physicians,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;the grounds for revocation or suspension of a license for a physician assistant,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;education and experience requirements to receive approval to practice in remote patient care settings, and&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;all other matters which may pertain to the practice of physician assistants.&nbsp;</span></p> <p><span class="cls0">2. The Committee shall review and make recommendations to the Board on all applications for licensure as a physician assistant and all applications to practice which shall be approved by the Board. When considering applicants for licensure, to establish standards of training or approve institutions for training, the Committee shall include the Director, or designee, of all Physician Assistant educational programs conducted by institutions of higher education in the state as members.&nbsp;</span></p> <p><span class="cls0">3. The Committee shall assist and advise the Board in all hearings involving physician assistants who are deemed to be in violation of Section 519.1 et seq. of this title or the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 3, emerg. eff. June 3, 1993. Amended by Laws 1997, c. 47, &sect; 2, emerg. eff. April 7, 1997; Laws 1998, c. 128, &sect; 3, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-519.4. Licensure requirements.&nbsp;</span></p> <p><span class="cls0">To be eligible for licensure as a physician assistant pursuant to the provisions of Section 519.1 et seq. of this title an applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Have graduated from an accredited physician assistant program recognized by the State Board of Medical Licensure and Supervision; and&nbsp;</span></p> <p><span class="cls0">3. Successfully pass an examination for physician assistants recognized by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 4, emerg. eff. June 3, 1993. Amended by Laws 1997, c. 47, &sect; 3, emerg. eff. April 7, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-519.5. Repealed by Laws 1998, c. 128, &sect; 7, eff. Nov. 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-519.6. Filing of application to practice - Services performed &ndash; Display and inspection of license.&nbsp;</span></p> <p><span class="cls0">A. No health care services may be performed by a physician assistant unless a current application to practice, jointly filed by the supervising physician and physician assistant, is on file with and approved by the State Board of Medical Licensure and Supervision. The application shall include a description of the physician's practice, methods of supervising and utilizing the physician assistant, and names of alternate supervising physicians who will supervise the physician assistant in the absence of the primary supervising physician.&nbsp;</span></p> <p><span class="cls0">B. The supervising physician need not be physically present nor be specifically consulted before each delegated patient care service is performed by a physician assistant, so long as the supervising physician and physician assistant are or can be easily in contact with one another by radio, telephone or other means of telecommunication. In all patient care settings, the supervising physician shall provide appropriate methods of supervising the health care services provided by the physician assistant including:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;being responsible for the formulation or approval of all orders and protocols, whether standing orders, direct orders or any other orders or protocols, which direct the delivery of health care services provided by a physician assistant, and periodically reviewing such orders and protocols,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;regularly reviewing the health care services provided by the physician assistant and any problems or complications encountered,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;being available physically or through direct telecommunications for consultation, assistance with medical emergencies or patient referral, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;being on-site to provide medical care to patients a minimum of one-half (1/2) day per week. Additional on-site supervision may be required at the recommendation of the Physician Assistant Committee and approved by the Board; and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;that it remains clear that the physician assistant is an agent of the supervising physician; but, in no event shall the supervising physician be an employee of the physician assistant.&nbsp;</span></p> <p><span class="cls0">C. In patients with newly diagnosed chronic or complex illnesses, the physician assistant shall contact the supervising physician within forty-eight (48) hours of the physician assistant's initial examination or treatment and schedule the patient for appropriate evaluation by the supervising physician as directed by the physician.&nbsp;</span></p> <p><span class="cls0">D. 1. A physician assistant under the direction of a supervising physician may prescribe written and oral prescriptions and orders. The physician assistant may prescribe drugs, including controlled medications in Schedules II through V pursuant to Section 2-312 of Title 63 of the Oklahoma Statutes, and medical supplies and services as delegated by the supervising physician and as approved by the State Board of Medical Licensure and Supervision after consultation with the State Board of Pharmacy on the Physician Assistant Drug Formulary.&nbsp;</span></p> <p><span class="cls0">2. A physician assistant may write an order for a Schedule II drug for immediate or ongoing administration on site. Prescriptions and orders for Schedule II drugs written by a physician assistant must be included on a written protocol determined by the supervising physician and approved by the medical staff committee of the facility or by direct verbal order of the supervising physician. Physician assistants may not dispense drugs, but may request, receive, and sign for professional samples and may distribute professional samples to patients.&nbsp;</span></p> <p><span class="cls0">E. A physician assistant may perform health care services in patient care settings as authorized by the supervising physician.&nbsp;</span></p> <p><span class="cls0">F. A physician assistant shall obtain approval from the State Board of Medical Licensure and Supervision prior to practicing in remote patient care settings. Such approval requires documented experience in providing a comprehensive range of primary care services, under the direction of a supervising physician, for at least one (1) year prior to practicing in such settings and such other requirement as the Board may require. The Board is granted the authority to waive this requirement for those applicants possessing equivalent experience and training as recommended by the Committee.&nbsp;</span></p> <p><span class="cls0">G. Each physician assistant licensed under the Physician Assistant Act shall keep his or her license available for inspection at the primary place of business and shall, when engaged in professional activities, identify himself or herself as a physician assistant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 6, emerg. eff. June 3, 1993. Amended by Laws 1998, c. 128, &sect; 4, eff. Nov. 1, 1998; Laws 2001, c. 385, &sect; 3, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-519.7. Temporary approval of a license and application to practice.&nbsp;</span></p> <p><span class="cls0">The Secretary of the State Board of Medical Licensure and Supervision is authorized to grant temporary approval of a license and application to practice to any physician and physician assistant who have jointly filed a license and application to practice which meets the requirements set forth by the Board. Such temporary approval to practice shall be reviewed at the next regularly scheduled meeting of the Board. The temporary approval may be approved, extended or rejected by the Board. If rejected, the temporary approval shall expire immediately.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 7, emerg. eff. June 3, 1993. Amended by Laws 2001, c. 385, &sect; 4, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-519.8. License renewal - Fees.&nbsp;</span></p> <p><span class="cls0">A. Licenses issued to physician assistants shall be renewed annually on a date determined by the State Board of Medical Licensure and Supervision. Each application for renewal shall document that the physician assistant has earned at least twenty (20) hours of continuing medical education during the preceding calendar year.&nbsp;</span></p> <p><span class="cls0">B. The Board shall promulgate, in the manner established by its rules, fees for the following:&nbsp;</span></p> <p><span class="cls0">1. Initial licensure;&nbsp;</span></p> <p><span class="cls0">2. License renewal;&nbsp;</span></p> <p><span class="cls0">3. Late license renewal;&nbsp;</span></p> <p><span class="cls0">4. Application to practice; and&nbsp;</span></p> <p><span class="cls0">5. Disciplinary hearing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 8, emerg. eff. June 3, 1993. Amended by Laws 1997, c. 47, &sect; 5, emerg. eff. April 7, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-519.9. Preexisting certificates.&nbsp;</span></p> <p><span class="cls0">Any person who holds a certificate as a physician assistant from the State Board of Medical Licensure and Supervision prior to June 3, 1993, shall be granted licensure as a physician assistant under the provisions of Section 519.1 et seq. of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 9, emerg. eff. June 3, 1993. Amended by Laws 1997, c. 250, &sect; 14, eff. Nov. 1, 1997.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1997, c. 47, &sect; 6 repealed by Laws 1997, c. 250, &sect; 15, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-519.10. Violations - Penalties.&nbsp;</span></p> <p><span class="cls0">Any person who holds herself or himself out as a physician assistant or uses the title "Physician Assistant" without being licensed, or who otherwise violates the provisions of Section 519.1 et seq. of this title shall be guilty of a misdemeanor and, upon conviction, shall be punished by a fine of not less than Fifty Dollars ($50.00), nor more than Five Hundred Dollars ($500.00), by imprisonment in the county jail for not less than five (5) days, nor more than thirty (30) days, or by both such fine and imprisonment. Each day of a violation of the provisions of Section 519.1 et seq. of this title shall constitute a separate and distinct offense. Conviction shall also be grounds for the suspension or revocation of the license of a duly licensed physician assistant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 10, emerg. eff. June 3, 1993. Amended by Laws 1997, c. 47, &sect; 7, emerg. eff. April 7, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-519.11. Construction of act.&nbsp;</span></p> <p><span class="cls0">A. Nothing in this act shall be construed to prevent or restrict the practice, services or activities of any persons of other licensed professions or personnel supervised by licensed professions in this state from performing work incidental to the practice of their profession or occupation, if that person does not represent himself as a physician assistant.&nbsp;</span></p> <p><span class="cls0">B. Nothing stated in this act shall prevent any hospital from requiring the physician assistant and/or the supervising physician to meet and maintain certain staff appointment and credentialling qualifications for the privilege of practicing as, or utilizing, a physician assistant in the hospital.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this act shall be construed to permit a physician assistant to practice medicine or prescribe drugs and medical supplies in this state except when such actions are performed under the supervision and at the direction of a physician approved by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 289, &sect; 11, emerg. eff. June 3, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-520. Repealed by Laws 1993, c. 289, &sect; 12, emerg. eff. June 3, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59521. Exceptions.&nbsp;</span></p> <p><span class="cls0">No health care services may be performed under this act in any of the following areas:&nbsp;</span></p> <p><span class="cls0">(a) The measurement of the powers or range of human vision, or the determination of the accommodation and refractive states of the human eye or the scope of its functions in general, or the fitting or adaptation of lenses or frames for the aid thereof.&nbsp;</span></p> <p><span class="cls0">(b) The prescribing or directing the use of, or using, any optical device in connection with ocular exercises, visual training, vision training or orthoptics.&nbsp;</span></p> <p><span class="cls0">(c) The prescribing of contact lenses for, or the fitting or adaptation of contact lenses to, the human eye.&nbsp;</span></p> <p><span class="cls0">Nothing in this section shall preclude the performance of routine visual screening.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1972, c. 220, &sect; 3, emerg. eff. April 7, 1972. &nbsp;</span></p> <p><span class="cls0">&sect;59-522. Repealed by Laws 1993, c. 289, &sect; 12, emerg. eff. June 3, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59-523. Repealed by Laws 1993, c. 289, &sect; 12, emerg. eff. June 3, 1993.&nbsp;</span></p> <p><span class="cls0">&sect;59524. Abortion Infant prematurely born alive Right to medical treatment.&nbsp;</span></p> <p><span class="cls0">The rights to medical treatment of an infant prematurely born alive in the course of an abortion shall be the same as the rights of an infant of similar medical status prematurely born.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1977, c. 10, &sect; 1, emerg. eff. March 11, 1977. &nbsp;</span></p> <p><span class="cls0">&sect;59525. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma Athletic Trainers Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 1, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59526. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Athletic Trainers Act:&nbsp;</span></p> <p><span class="cls0">1. "Athletic trainer" means a person with the qualifications specified in Section 530 of this title, whose major responsibility is the rendering of professional services for the prevention, emergency care, first aid and treatment of injuries incurred by an athlete by whatever methods are available, upon written protocol from the team physician or consulting physician to effect care, or rehabilitation;&nbsp;</span></p> <p><span class="cls0">2. "Apprentice athletic trainer" means a person who assists in the duties usually performed by an athletic trainer under the direct supervision of a licensed athletic trainer;&nbsp;</span></p> <p><span class="cls0">3. "Board" means the State Board of Medical Licensure and Supervision; and&nbsp;</span></p> <p><span class="cls0">4. "Committee" means the Athletic Trainers Advisory Committee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 150, &sect; 2, operative July 1, 1981. Amended by Laws 1987, c. 118, &sect; 37, operative July 1, 1987; Laws 1996, c. 201, &sect; 1, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59527. License required.&nbsp;</span></p> <p><span class="cls0">No person shall hold himself or herself out as an athletic trainer without firstbeing licensed under the provisions of this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 3, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59528. Board Powers and duties.&nbsp;</span></p> <p><span class="cls0">The Board, acting upon the advice of the Committee, shall issue all licenses required by this act, and shall exercise the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To make rules and regulations deemed necessary to implement the provisions of this act;&nbsp;</span></p> <p><span class="cls0">2. To prescribe application forms for license applicants, license certificate forms and such other forms as necessary to implement the provisions of this act;&nbsp;</span></p> <p><span class="cls0">3. To establish guidelines for athletic trainers in this state;&nbsp;</span></p> <p><span class="cls0">4. To prepare and conduct an examination for applicants for licensure under this act;&nbsp;</span></p> <p><span class="cls0">5. To keep a complete record of all licensed athletic trainers and to prepare an official listing of the names and addresses of all licensed athletic trainers which shall be kept current. A copy of such listing shall be available to any person requesting it upon payment of a copying fee established by the Board;&nbsp;</span></p> <p><span class="cls0">6. To keep a permanent record of all proceedings under this act;&nbsp;</span></p> <p><span class="cls0">7. To employ and establish the duties of clerical personnel necessary to carry out the provisions of this act; and&nbsp;</span></p> <p><span class="cls0">8. To conduct hearings to deny, revoke, suspend or refuse renewal of licenses under this act, and to issue subpoenas to compel witnesses to testify or produce evidence at such hearings in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 4, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59529. Athletic Trainers Advisory Committee.&nbsp;</span></p> <p><span class="cls0">There is hereby created the Athletic Trainers Advisory Committee, to be composed of five (5) members to be appointed by the State Board of Medical Licensure and Supervision. To qualify as a member, a person must be a citizen of the United States and a resident of Oklahoma for five (5) years immediately preceding appointment. Two members shall be licensed athletic trainers, except for the initial appointees, and two members shall be physicians licensed by the state and one member shall be a member of the Oklahoma Coaches Association who shall be selected by the Board of the Association. Except for the initial appointees, members shall hold office for terms of six (6) years. In the event of death, resignation or removal of any member, the vacancy of the unexpired term shall be filled by the Board in the same manner as other appointments. The Athletic Trainers Advisory Committee shall assist the Board in conducting examinations for applicants and shall advise the Board on all matters pertaining to the licensure of athletic trainers. Members of the Committee shall be reimbursed for expenses incurred while performing their duties under the provisions of this act in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 118, &sect; 38, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59530. Qualifications of applicants Applications Examination fee Apprentice athletic trainers license.&nbsp;</span></p> <p><span class="cls0">A. An applicant to be eligible for an athletic trainer license must meet one of the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. Has successfully completed the athletic training curriculum requirements of an accredited college or university approved by the Board and provide proof of graduation;&nbsp;</span></p> <p><span class="cls0">2. Be licensed or certified in physical therapy and has spent at least eight hundred (800) hours working under the direct supervision of a licensed athletic trainer; or&nbsp;</span></p> <p><span class="cls0">3. Holds a fouryear degree from an accredited college or university and has completed at least two (2) consecutive years of supervision, military duty excepted, as an apprentice athletic trainer under the direct supervision of a licensed athletic trainer. B. An applicant for an athletic trainer license shall submit an application to the Board and submit the required examination fee. The applicant is entitled to an athletic trainer license if he is qualified as provided in subsection A of this section, satisfactorily completes the examination administered by the Board, pays the applicable license fee, and has not committed an act which constitutes grounds for denial of a license under Section 8 of this act.&nbsp;</span></p> <p><span class="cls0">C. An applicant for an apprentice athletic trainer license must submit an application to the Board accompanied by a written commitment to supervise signed by the licensed athletic trainer who will be supervising the applicant. The Board may require the taking of an apprentice athletic trainer license examination, which would be administered without cost to the applicant. Fees for such examination may be established by the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 6, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59531. Expiration of license Renewal License fees.&nbsp;</span></p> <p><span class="cls0">A. A license issued pursuant to this act expires one (1) year from the date of issuance. Licenses shall be renewed according to procedures established by the Board and upon payment of the renewal fee.&nbsp;</span></p> <p><span class="cls0">B. License fees shall be established by the Board:&nbsp;</span></p> <p><span class="cls0">1. An athletic trainer examination fee of Twenty Dollars ($20.00) for each examination taken;&nbsp;</span></p> <p><span class="cls0">2. An athletic trainer license fee of Twentyfive Dollars ($25.00);&nbsp;</span></p> <p><span class="cls0">3. An athletic trainer annual license renewal fee of Ten Dollars ($10.00); and&nbsp;</span></p> <p><span class="cls0">4. An apprentice athletic trainer license fee of Five Dollars ($5.00).&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 7, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59532. Denial, suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">A. The Board may refuse to issue a license to an applicant or may suspend or revoke the license of any licensee if he has:&nbsp;</span></p> <p><span class="cls0">1. Been convicted of a felony or a misdemeanor involving moral turpitude;&nbsp;</span></p> <p><span class="cls0">2. Secured the license by fraud or deceit; or&nbsp;</span></p> <p><span class="cls0">3. Violated or conspired to violate the provisions of this act or rules and regulations issued pursuant to this act.&nbsp;</span></p> <p><span class="cls0">B. Procedures for denial, suspension or revocation of a license shall be governed by the Administrative Procedures Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 8, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59533. Violation of act Penalty.&nbsp;</span></p> <p><span class="cls0">Violation of any provision of this act shall be a misdemeanor and conviction shall be punishable by a fine of not less than Twentyfive Dollars ($25.00) nor more than Two Hundred Dollars ($200.00).&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 150, &sect; 9, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59-534. Persons actively engaged as athletic trainers exempted from qualifications - Misrepresentations - Voluntary prevention, emergency care or first aid services.&nbsp;</span></p> <p><span class="cls0">A. Any person actively engaged as an athletic trainer in this state on the effective date of this act shall, within six (6) months of that date, be issued a license if proof is submitted of five (5) years' experience as an athletic trainer within the preceding tenyear period, and the license fee required by the Oklahoma Athletic Trainers Act is paid. Nothing herein shall be construed to require any educational institution or other bona fide athletic organization to use the services of a licensed athletic trainer.&nbsp;</span></p> <p><span class="cls0">B. Athletic trainers shall not misrepresent in any manner, either directly or indirectly, their skills, training, professional credentials, identity or services.&nbsp;</span></p> <p><span class="cls0">C. Any person, as authorized in accordance with Section 5 of Title 76 of the Oklahoma Statutes, may offer prevention, emergency care or first aid services on a voluntary, uncompensated basis, to any amateur or group at an amateur athletic event.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 150, &sect; 10, operative July 1, 1981. Amended by Laws 1996, c. 201, &sect; 2, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59535. Practice of medicine unauthorized Exemptions from act.&nbsp;</span></p> <p><span class="cls0">A. Nothing herein shall be construed to authorize the practice of medicine by any person. The provisions of this act do not apply to physicians licensed as such by the State Board of Medical Licensure and Supervision; to dentists, duly qualified and registered under the laws of this state who confine their practice strictly to dentistry as defined by this title; nor to licensed optometrists who confine their practice strictly to optometry as defined by law; nor to licensed chiropractic physicians who confine their practice strictly to chiropractic as defined by law; nor to licensed osteopathic physicians or osteopathic physicians and surgeons who confine their practice strictly to osteopathy as defined by law; nor to occupational therapists who confine their practice to occupational therapy as defined by this title; nor to nurses who practice nursing only as defined by this title; nor to duly licensed podiatric physicians who confine their practice strictly to podiatric medicine as defined by law; nor to physical therapists who confine their practice to physical therapy as defined by this title; nor to masseurs or masseuses in their particular sphere of labor; nor to commissioned or contract physicians or physical therapists or physical therapists' assistants in the United States Army, Navy, Air Force, Public Health and Marine Health Services.&nbsp;</span></p> <p><span class="cls0">B. The provisions of this act shall not apply to persons coming into this state for a specific athletic event or series of athletic events with an individual or group not based in this state.&nbsp;</span></p> <p><span class="cls0">Laws 1981, c. 150, &sect; 11, operative July 1, 1981; Laws 1987, c. 118, &sect; 39, operative July 1, 1987; Laws 1995, c. 207, &sect; 3, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59536.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1 through 11 of this act shall be known and may be cited as the "Registered Electrologist Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 1, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59536.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Registered Electrologist Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Advisory Committee of Registered Electrologists;&nbsp;</span></p> <p><span class="cls0">3. "Electrolysis" means the practice of using an electrosurgical apparatus to accomplish permanent hair removal by inserting electric current into the hair follicle thereby destroying living tissue and germinative hair cells; and&nbsp;</span></p> <p><span class="cls0">4. "Registered Electrologist" means a person licensed to practice electrolysis pursuant to the Registered Electrologist Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 2, operative July 1, 1985. Amended by Laws 1987, c. 118, &sect; 40, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59536.3. Transfer of funds, records, etc.&nbsp;</span></p> <p><span class="cls0">On or before August 1, 1985, all monies, funds, records, equipment, furniture and fixtures, files and supplies now subject to the jurisdiction and control of the State Board of Electrology are hereby transferred to the State Board of Medical Licensure and Supervision. Any other outstanding obligation or function remaining to be performed by the State Board of Electrology shall be performed by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 3, operative July 1, 1985. Amended by Laws 1987, c. 118, &sect; 41, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59536.4. Board Powers and duties.&nbsp;</span></p> <p><span class="cls0">The Board, acting upon the advice of the Committee, shall issue all licenses required by the Registered Electrologist Act, and shall exercise the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To make rules and regulations deemed necessary to implement the provisions of the Registered Electrologist Act;&nbsp;</span></p> <p><span class="cls0">2. To prescribe application forms for license applicants, license certificate forms and such other forms as necessary to implement the provisions of the Registered Electrologist Act;&nbsp;</span></p> <p><span class="cls0">3. To establish a curriculum of study for licensure in the practice of electrolysis in this state;&nbsp;</span></p> <p><span class="cls0">4. To prepare and conduct an examination for applicants for licensure pursuant to the Registered Electrologist Act;&nbsp;</span></p> <p><span class="cls0">5. To keep a complete record of all licensed electrologists and to prepare an official listing of the names and addresses of all licensed electrologists which shall be kept current. A copy of such listing shall be available to any person requesting it upon payment of a copying fee established by the Board;&nbsp;</span></p> <p><span class="cls0">6. To keep a permanent record of all proceedings pursuant to the Registered Electrologist Act;&nbsp;</span></p> <p><span class="cls0">7. To employ and establish the duties of clerical personnel necessary to carry out the provisions of the Registered Electrologist Act;&nbsp;</span></p> <p><span class="cls0">8. To conduct hearings to deny, revoke, suspend or refuse renewal of licenses under the Registered Electrologist Act, and to issue subpoenas to compel witnesses to testify or produce evidence at such hearings in accordance with the Administrative Procedures Act; and&nbsp;</span></p> <p><span class="cls0">9. To set the fees imposed by the provisions of the Registered Electrologist Act in amounts that are adequate to collect sufficient revenue to meet the expenses necessary to perform their duties without accumulating an unnecessary surplus.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 4, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-536.5. Advisory Committee of Registered Electrologists.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the Advisory Committee of Registered Electrologists. The Committee shall consist of three (3) members appointed by the Board. The Board may appoint the Committee members from a list of six (6) persons submitted annually by the Oklahoma State Electrologists' Association. Said persons shall have been licensed electrologists for more than three (3) years, and at the time, residents of this state and actively engaged in the practice of electrolysis as herein defined. No person shall be appointed to the Committee who has been convicted of any felony or any crime involving moral turpitude.&nbsp;</span></p> <p><span class="cls0">B. The terms of the members shall be for three (3) years and until their successors are appointed and qualify. Provided however, of those first appointed, one shall serve for one (1) year, one shall serve for two (2) years, and one shall serve for three (3) years. Vacancies shall be filled in the manner of the original appointment for the unexpired portion of the term only. The Board, after notice and opportunity for hearing, may remove any member of the Committee for neglect of duty, incompetence, revocation or suspension of his electrolysis license, or other dishonorable conduct.&nbsp;</span></p> <p><span class="cls0">C. No member of the Committee shall be a stockholder in or a member of the faculty or board of trustees of any school teaching electrolysis or engaged in the training of electrologists.&nbsp;</span></p> <p><span class="cls0">D. Members of the Committee shall elect from their number a chairperson. Special meetings of the Committee shall be called by the chairperson on the written request of any three (3) members. The Committee may recommend to the Board the adoption of rules necessary to govern its proceedings and implement the purposes of the Registered Electrologist Act.&nbsp;</span></p> <p><span class="cls0">E. Each member of the Committee shall be reimbursed for his reasonable and necessary expenses as provided for in the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 151, &sect; 5, operative July 1, 1985.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">59-536.6. Use of titles and abbreviations.&nbsp;</span></p> <p><span class="cls0">A. No person shall practice electrolysis or hold himself out as an electrologist, or use the title "Electrologist", or "Registered Electrologist", or the initials "R.E." or "L.E.", in this state, unless he is licensed in accordance with the provisions of the Registered Electrologist Act. No other person shall in any way, orally or in writing, in print, or by sign or transmission of sound or sight, directly or by implication, represent himself as an electrologist. Such misrepresentation, upon conviction, shall constitute a misdemeanor and shall be punishable as provided in the Registered Electrologist Act.&nbsp;</span></p> <p><span class="cls0">B. Nothing in the Registered Electrologist Act shall prohibit any person in the healing arts in this state under any other act from engaging in the practice for which he is duly licensed.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 151, &sect; 6, operative July 1, 1985.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-536.7. Qualifications for licensure - Evidence - Examination - Nonresidents - Continuing education - Renewal of license.&nbsp;</span></p> <p><span class="cls0">A. On and after July 1, 1985, a licensed electrologist shall consist of all persons who are currently licensed by the State Board of Electrology, and all persons over twenty-one (21) years of age who are of good moral character, and who have satisfactorily passed all examinations before the State Board of Medical Licensure and Supervision, as herein created. On and after July 1, 1985, all applicants for licensure as electrologists shall be required to furnish to the Board the following evidence:&nbsp;</span></p> <p><span class="cls0">1. Have successfully completed a curriculum of study established by the Board; and&nbsp;</span></p> <p><span class="cls0">2. Have completed an internship or preplanned professional experience program approved by the Board.&nbsp;</span></p> <p><span class="cls0">B. To qualify for a license, an applicant shall pass an examination prepared by the Board. The examination, as authorized by the Registered Electrologist Act, shall be in the English language. The examination shall include the subjects required in subsection A of this section as well as dermatology, hygiene, sterilization, electricity and electrolysis (theory and practice).&nbsp;</span></p> <p><span class="cls0">C. If based on rules and criteria established by the Board, the examinee successfully passes the examination, the examinee shall be entitled to receive from the Board a license to practice electrolysis for the remainder of that calendar year. Each license shall be signed by the chairperson of the Committee or designee and the secretary-treasurer of the Board and shall bear the seal of the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board may issue a license to an applicant from another state who has met the requirements established by the Registered Electrologist Act. The applicant to be licensed in this state shall provide proof of licensure in good standing in another state at the time of making application for licensure in this state.&nbsp;</span></p> <p><span class="cls0">E. The Board may establish continuing education requirements to facilitate the maintenance of current practice skills of all persons licensed pursuant to the Registered Electrologist Act.&nbsp;</span></p> <p><span class="cls0">F. The Board shall meet at least three times per calendar year for the purpose of examining applicants for licensure and training, and transacting other business as may be necessary. The meetings shall be held at the office of the Board.&nbsp;</span></p> <p><span class="cls0">G. Every person licensed pursuant to the Registered Electrologist Act who desires to continue the practice of electrolysis shall annually, on or before the 31st day of December of each year, make application for renewal of the license and shall pay fees established by the Board.&nbsp;</span></p> <p><span class="cls0">H. If any person fails to renew his or her license within thirty (30) days from the date same becomes due, the license of such person shall become inactive and, in order to have such license reinstated, it shall be necessary for such person to apply to the Board as provided in the Registered Electrologist Act and to meet the requirements established by the Board for reinstatement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 151, &sect; 7, operative July 1, 1985. Amended by Laws 1987, c. 118, &sect; 42, operative July 1, 1987; Laws 2002, c. 166, &sect; 1, emerg. eff. May 6, 2002; Laws 2013, c. 280, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59536.8. Registration of license Display Surrender.&nbsp;</span></p> <p><span class="cls0">A. Every person who is licensed pursuant to the provisions of the Registered Electrologist Act and who is licensed to practice electrolysis in this state shall register the license with the county clerk of the county in which said person has legal residence. The county clerk to whom such license is presented shall register the name and address of the person designated in the license, together with the date and the number inscribed thereon, which record shall be open to the public, and shall file with the Board annually, during the month of February, a notice of the record so made.&nbsp;</span></p> <p><span class="cls0">B. Every person who is licensed pursuant to the provisions of the Registered Electrologist Act to practice electrolysis in this state shall keep said license displayed in his place of business as long as he is engaged in the practice of electrolysis. The receipt for the annual renewal of license shall be kept at such person's place of business and shall be shown to any person requesting to see the same. The licensee shall keep the Board informed of his current address. A license issued by the Board is the property of the Board and shall be surrendered on demand of the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 8, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59536.9. Suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">A. The Board may suspend or revoke the license of any person authorized to practice electrolysis pursuant to the provisions of the Registered Electrologist Act upon proof that the licensee:&nbsp;</span></p> <p><span class="cls0">1. Has used fraud or deception in applying for a license or in passing the examination provided for in the Registered Electrologist Act;&nbsp;</span></p> <p><span class="cls0">2. Has been guilty of unprofessional conduct defined by the rules established by the Board or has violated the Code of Ethics adopted by the Board;&nbsp;</span></p> <p><span class="cls0">3. Has been guilty of fraud or deceit in connection with services rendered as an electrologist;&nbsp;</span></p> <p><span class="cls0">4. Has been grossly negligent in the practice of his profession; or&nbsp;</span></p> <p><span class="cls0">5. Has willfully violated any of the provisions of the Registered Electrologist Act or any regulation adopted hereunder.&nbsp;</span></p> <p><span class="cls0">B. No suspension or revocation shall be made until such person appears before the Board for a hearing. Proceedings for the suspension or revocation of a license are governed by rules and regulations of the Board and by the Administrative Procedures Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 9, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59536.10. Personnel and facilities.&nbsp;</span></p> <p><span class="cls0">A. The basic personnel and necessary facilities which are required to administer the Registered Electrologist Act shall be the personnel and facilities of the Board. The Board personnel shall act as agents of the Committee. If necessary for the administration or implementation of the Registered Electrologist Act, the Board may secure and provide for compensation for services that the Board considers necessary and may employ and compensate within available resources professional consultants, technical assistants, and employees on a fulltime or parttime basis.&nbsp;</span></p> <p><span class="cls0">B. The Board shall maintain the records of all licensed electrologists, process all applications for licensure for review by the Committee, and investigate all complaints deemed to be appropriate allegations of violations of the Registered Electrologist Act.&nbsp;</span></p> <p><span class="cls0">C. The Board shall employ such staff, equipment, and supplies as are necessary to carry out administrative and investigative functions required to maintain and support the objectives of the Committee in exercising its duties as prescribed by the Registered Electrologist Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 10, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59536.11. Violation of act Penalties.&nbsp;</span></p> <p><span class="cls0">On and after July 1, 1985, any person who practices electrolysis in violation of the provisions of the Registered Electrologist Act, upon conviction, shall be guilty of a misdemeanor punishable by a fine of not less than Five Hundred Dollars ($500.00) nor more than One Thousand Dollars ($1,000.00) and costs. Each day of such violation shall constitute a separate offense.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 151, &sect; 11, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-540. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Therapeutic Recreation Practice Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 1, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.1. Purpose of act.&nbsp;</span></p> <p><span class="cls0">In order to safeguard the public health, safety and welfare, to protect the public from being misled by incompetent and un-authorized persons, to assure the highest degree of professional conduct on the part of therapeutic recreation specialists and to assure the availability of therapeutic recreation services of high quality to persons in need of such services, it is the purpose of this act to provide for the regulation of persons offering therapeutic recreation service to the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 2, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Therapeutic Recreation Practice Act:&nbsp;</span></p> <p><span class="cls0">1. "Therapeutic recreation specialist" means a person licensed to practice therapeutic recreation in the State of Oklahoma;&nbsp;</span></p> <p class="cls2"><span class="cls0">2. a.&nbsp;&nbsp;"Therapeutic recreation" or "recreation therapy" means the specialized application of recreation to assist with the treatment and/or maintenance of the health status, functional abilities, recreational and leisure activities and ultimately quality of life for individuals hospitalized and/or receiving treatment for various diagnoses and individuals with disabilities. For purposes of accomplishing therapeutic recreation goals, therapeutic recreation may include:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;remediating or restoring an individual&rsquo;s participation levels in recreational and leisure activities that are limited due to impairment in physical, cognitive, social or emotional abilities,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;analyzing and evaluating recreational activities to determine the physical, social, and programmatic elements necessary for involvement and modifying those elements to promote full participation and maximization of functional independence in recreational and leisure activities, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;using recreational modalities in designed intervention strategies to maximize physical, cognitive, social, or emotional abilities to promote participation in recreational and leisure activities.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;For purposes of accomplishing therapeutic recreation goals, therapeutic recreation services include, but are not limited to:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;conducting an individualized assessment for the purpose of collecting systematic, comprehensive, and accurate data necessary to determine the course of action and subsequent individualized treatment plan,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;planning and developing the individualized therapeutic recreation treatment plan that identifies an individual&rsquo;s goals, objectives, and potential treatment intervention strategies for recreational and leisure activities,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;implementing the individualized therapeutic recreation treatment plan that is consistent with the overall treatment program,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;systematically evaluating and comparing the individual&rsquo;s response to the individualized therapeutic recreation treatment plan and suggesting modifications as appropriate,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;developing a discharge plan in collaboration with the individual, the individual&rsquo;s family, treatment team, and other identified support networks where appropriate,&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;identifying and training in the use of adaptive recreational equipment,&nbsp;</span></p> <p class="cls3"><span class="cls0">(7)&nbsp;&nbsp;identifying, providing, and educating individuals to use recreational and leisure resources that support a healthy, active and engaged life,&nbsp;</span></p> <p class="cls3"><span class="cls0">(8)&nbsp;&nbsp;minimizing the impact of environmental constraints as a barrier to participation in recreational and leisure activities,&nbsp;</span></p> <p class="cls3"><span class="cls0">(9)&nbsp;&nbsp;collaborating with and educating the individual, family, caregiver, and others to foster an environment that is responsive to the recreational and leisure needs of the individual, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(10)&nbsp;&nbsp;consulting with groups, programs, organizations, or communities to improve physical, social, and programmatic accessibility in recreational and leisure activities;&nbsp;</span></p> <p><span class="cls0">3. "Board" means the State Board of Medical Licensure and Supervision; and&nbsp;</span></p> <p><span class="cls0">4. "Committee" means the Therapeutic Recreation Committee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 3, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.3. License required.&nbsp;</span></p> <p><span class="cls0">A. No person shall practice or hold himself or herself out as being able to practice therapeutic recreation or provide therapeutic recreation services in this state unless the person is licensed in accordance with the provisions of the Therapeutic Recreation Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this act shall be construed to prevent or restrict the practice, services, or activities of:&nbsp;</span></p> <p><span class="cls0">1. Any person of other licensed professions or personnel supervised by licensed professions in this state from performing work incidental to the practice of his or her profession or occupation, if that person does not represent himself or herself as a therapeutic recreation specialist;&nbsp;</span></p> <p><span class="cls0">2. Any person enrolled in a course of study leading to a degree or certificate in therapeutic recreation from performing therapeutic recreation services incidental to the person's course work when supervised by a licensed professional, if the person is designated by a title which clearly indicates his or her status as a student;&nbsp;</span></p> <p><span class="cls0">3. Any person whose training and national certification attests to the individual&rsquo;s preparation and ability to practice his or her profession, if that person does not represent himself or herself as a therapeutic recreation specialist;&nbsp;</span></p> <p><span class="cls0">4. Any therapeutic recreation assistant providing therapeutic recreation services under the direct supervision of a licensed therapeutic recreation specialist. Such an individual would not be permitted to conduct assessments and/or develop treatment plans;&nbsp;</span></p> <p><span class="cls0">5. Any individual providing recreational programs to a person with disabilities as a normal part of the leisure lifestyle of the person with disabilities;&nbsp;</span></p> <p><span class="cls0">6. Any person employed by an agency, bureau or division of the federal government while in the discharge of official duties; provided, however, if such individual engages in the practice of therapeutic recreation outside the line of official duty, the individual must be licensed as herein provided;&nbsp;</span></p> <p><span class="cls0">7. Any occupational therapist or occupational therapy assistants in the area of play and leisure; and&nbsp;</span></p> <p><span class="cls0">8. Any individual providing services in a state facility or to children in state custody.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 4, eff. Nov. 1, 2010. Amended by Laws 2010, c. 397, &sect; 3, emerg. eff. June 8, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.4. Therapeutic Recreation Committee - Membership - Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established the Therapeutic Recreation Committee to assist the State Board of Medical Licensure and Supervision in conducting examinations for applicants and to advise the Board on all matters pertaining to the licensure, education, and continuing education of therapeutic recreation specialists and the practice of therapeutic recreation or recreation therapy.&nbsp;</span></p> <p><span class="cls0">B. 1. The Therapeutic Recreation Committee shall consist of five (5) members who shall be appointed by the State Board of Medical Licensure and Supervision as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;three members shall, upon initial appointment, be qualified persons who have been actively practicing therapeutic recreation in this state for at least three (3) years, provided, their successors shall be licensed therapeutic recreation specialists, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;two members shall be lay persons.&nbsp;</span></p> <p><span class="cls0">2. The professional members of the Committee shall be appointed for staggered terms of one (1), two (2) and three (3) years, respectively. Terms of office of each appointed member shall expire July 1 of that year in which they expire regardless of the calendar date when such appointments were made. Subsequent appointments shall be made for a term of three (3) years or until successors are appointed and qualified.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;The lay members shall be appointed for staggered terms of office which will expire July 1, 2010, and July 1, 2011. Thereafter, members appointed to these positions shall serve for terms of three (3) years or until successors are appointed and qualified.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Vacancies shall be filled by the Board in the same manner as the original appointment.&nbsp;</span></p> <p><span class="cls0">3. Members of the Committee shall be reimbursed for all actual and necessary expenses incurred in the performance of duties required by the Therapeutic Recreation Practice Act in accordance with the provisions of the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">4. The Committee shall meet at least quarterly. At the initial meeting of the Committee, members shall elect a chair. The chair shall represent the Committee at all meetings of the Board. Three members of the Committee shall constitute a quorum for the purpose of conducting official business of the Committee.&nbsp;</span></p> <p><span class="cls0">C. The Committee shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Advise the Board on all matters pertaining to the licensure, education, and continuing education requirements for and practice of therapeutic recreation or recreation therapy in this state; and&nbsp;</span></p> <p><span class="cls0">2. Assist and advise the Board in all hearings involving therapeutic recreation specialists who are deemed to be in violation of the Therapeutic Recreation Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 5, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.5. State Board of Medical Licensure and Supervision - Powers and duties.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Promulgate the rules and regulations necessary for the performance of its duties pursuant to the provisions of the Therapeutic Recreation Practice Act, including the requirements for licensure, standards for training, standards for institutions for training and standards of practice after licensure, including power of revocation of a license;&nbsp;</span></p> <p><span class="cls0">2. Determine, as recommended by the Therapeutic Recreation Committee, the qualifications of applicants for licensure and determine which applicants successfully passed such examinations;&nbsp;</span></p> <p><span class="cls0">3. Determine necessary fees to carry out the provisions of the Therapeutic Recreation Practice Act;&nbsp;</span></p> <p><span class="cls0">4. Make such investigations and inspections as are necessary to ensure compliance with the Therapeutic Recreation Practice Act and the rules and regulations of the Board promulgated pursuant to the act;&nbsp;</span></p> <p><span class="cls0">5. Conduct hearings as required by the provisions of the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">6. Report to the district attorney having jurisdiction or the Attorney General any act committed by any person which may constitute a misdemeanor pursuant to the provisions of the Therapeutic Recreation Practice Act;&nbsp;</span></p> <p><span class="cls0">7. Initiate prosecution and civil proceedings;&nbsp;</span></p> <p><span class="cls0">8. Suspend, revoke or deny the license of any therapeutic recreation specialist for violation of any provisions of the Therapeutic Recreation Practice Act or rules and regulations promulgated by the Board pursuant to this act;&nbsp;</span></p> <p><span class="cls0">9. Maintain a record listing the name of each therapeutic recreation specialist licensed in this state;&nbsp;</span></p> <p><span class="cls0">10. Compile a list of therapeutic recreation specialists licensed to practice in this state. The list shall be available to any person upon application to the Board and the payment of such fee as determined by the Board for the reasonable expense thereof pursuant to the provisions of the Therapeutic Recreation Practice Act; and&nbsp;</span></p> <p><span class="cls0">11. Make such expenditures and employ such personnel as it may deem necessary for the administration of the provisions of the Therapeutic Recreation Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 6, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.6. Licensure requirements.&nbsp;</span></p> <p><span class="cls0">A. To be eligible for licensure as a therapeutic recreation specialist pursuant to the provisions of the Therapeutic Recreation Practice act, an applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Be at least eighteen (18) years of age;&nbsp;</span></p> <p><span class="cls0">2. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">3. Have successfully completed an academic program with a baccalaureate degree or higher from an accredited college or university with a major in therapeutic recreation or a major in recreation or leisure with an option and/or emphasis in therapeutic recreation;&nbsp;</span></p> <p><span class="cls0">4. Have successfully completed a period of field experience under the supervision of a Certified Therapeutic Recreation Specialist (CTRS) or a licensed therapeutic specialist approved by the educational institution where the applicant has met his or her academic requirements; and&nbsp;</span></p> <p><span class="cls0">5. Successfully completed the proctored examination approved by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Medical Licensure and Supervision may, upon notice and opportunity for a hearing, deny an application for reinstatement of a license or reinstate the license with conditions. Conditions imposed may include a requirement for continuing education, practice under the supervision of a licensed therapeutic recreation specialist, or any other conditions deemed appropriate by the Board.&nbsp;</span></p> <p><span class="cls0">C. Notwithstanding subsection A of this section, the Board may grant initial licenses to therapeutic recreation specialists who are certified by the National Council for Therapeutic Recreation Certification (NCTRC) prior to July 1, 2009, and who hold an active CTRS credential.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 7, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.7. License renewal.&nbsp;</span></p> <p><span class="cls0">A. Initial licenses and renewals shall be valid for two (2) years.&nbsp;</span></p> <p><span class="cls0">B. Persons licensed as therapeutic recreation specialists are eligible for renewal of their licenses if they:&nbsp;</span></p> <p><span class="cls0">1. Have completed a minimum of one hundred (100) hours of therapeutic recreation service; and&nbsp;</span></p> <p><span class="cls0">2. Have met continuing competency requirements by completing a minimum of twenty (20) hours of continuing education programs related to the practice of therapeutic recreation and other requirements established by rule of the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 8, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.8. Restrictions on the use of certain words and the letters TRS/L or CTRS/L in connection with a name or business.&nbsp;</span></p> <p><span class="cls0">A. A licensed therapeutic recreation specialist may use the letters TRS/L or CTRS/L in connection with his or her name or place of business. CTRS/L is contingent upon maintenance of the National Council for Therapeutic Recreation Certification (NCTRC) credential.&nbsp;</span></p> <p><span class="cls0">B. A person or business entity, its employees, agents, or representatives shall not use in conjunction with that person's name or the activity of the business the words therapeutic recreation specialist, therapeutic recreation, recreational therapy, recreational therapist, recreation therapist, the letters CTRS, TRS, or TR, or any other words, abbreviations or insignia indicating or implying directly or indirectly that therapeutic recreation is provided or supplied, including the billing of services labeled as therapeutic recreation, unless such services are provided under the direction of a therapeutic recreation specialist licensed pursuant to this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 9, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.9. Services requiring a referral - Exceptions.&nbsp;</span></p> <p><span class="cls0">A. Initiation of therapeutic recreation services to individuals with medically related conditions shall be based on a referral from a physician who is either a medical doctor or a doctor of osteopathy.&nbsp;</span></p> <p><span class="cls0">B. No freestanding clinic may be operated under this license.&nbsp;</span></p> <p><span class="cls0">C. Prevention, wellness, education, adaptive sports, recreation and related services shall not require a referral.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 10, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.10. Restriction on delegation compromising client safety.&nbsp;</span></p> <p><span class="cls0">A. No person shall coerce a licensed therapeutic recreation specialist into compromising client safety by requiring the licensed therapist to delegate activities or tasks if the licensed therapeutic recreation specialist determines that it is inappropriate to do so.&nbsp;</span></p> <p><span class="cls0">B. A licensed therapeutic recreation specialist shall not be subject to disciplinary action by the State Board of Medical Licensure and Supervision for refusing to delegate activities or tasks or refusing to provide the required training for delegation, if the licensed therapeutic recreation specialist determines that the delegation may compromise client safety.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 11, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.11. License without examination - Temporary licenses.&nbsp;</span></p> <p><span class="cls0">A. Upon payment to the State Board of Medical Licensure and Supervision of a fee as provided by the Therapeutic Recreation Practice Act and submission of a written application on forms provided by the Board, the Board may issue a license without examination to any person who is licensed or otherwise certified as a therapeutic recreation specialist by another state or national certifying body which has substantially the same standards for licensure as are required by this state pursuant to the provisions of the Therapeutic Recreation Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Upon proper application and payment of fees, the Board may issue a temporary license to a person who has applied for a license pursuant to the provisions of this act and who is eligible to take the examination pursuant to the provisions of this act. The temporary license shall be available to an applicant only with respect to his or her first application for licensure. The temporary license shall expire upon notice that the applicant has or has not passed the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 12, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-540.12. Violation of act - Penalties.&nbsp;</span></p> <p><span class="cls0">A. No person shall advertise, in any manner, or otherwise represent himself or herself as a therapeutic recreational specialist or as a provider of therapeutic recreation or recreation therapy services unless the person is licensed pursuant to the provisions of the Therapeutic Recreation Practice Act.&nbsp;</span></p> <p><span class="cls0">B. It shall be a misdemeanor for a person to violate any provision of the Therapeutic Recreation Practice Act and, upon conviction, such person shall be subject to one or more of the following actions which may be taken by the State Board of Medical Licensure and Supervision in consultation with the Therapeutic Recreation Committee:&nbsp;</span></p> <p><span class="cls0">1. Revocation of license;&nbsp;</span></p> <p><span class="cls0">2. Suspension of license not to exceed six (6) months from the date of hearing; or&nbsp;</span></p> <p><span class="cls0">3. Invocation of restrictions in the form of probation as defined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 384, &sect; 13, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Radiologist Assistant Licensure Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 1, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.1. Services of assistant &ndash; Scope of practice &ndash; Certification and registration &ndash; Acts prohibited.&nbsp;</span></p> <p><span class="cls0">A. A radiologist may use the services of a radiologist assistant, licensed by the State Board of Medical Licensure and Supervision, to practice radiology assistance under the direct supervision of a physician licensed by the State Board of Medical Licensure and Supervision or the State Board of Osteopathic Examiners and certified by the American Board of Radiology or the American Osteopathic Board of Radiology.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Medical Licensure and Supervision shall promulgate rules defining the scope of practice of a radiologist assistant and the educational qualifications necessary to practice as a radiologist assistant. The Board may use guidelines adopted by the American College of Radiology, the American Society of Radiologic Technologists, and the American Registry of Radiologic Technologists in promulgating rules. The Board shall be the final authority in all matters pertaining to licensure, continuing education requirements and scope of practice of radiologist assistants and shall not exceed the guidelines in this subsection.&nbsp;</span></p> <p><span class="cls0">C. A radiologist assistant shall be certified and registered with the American Registry of Radiologic Technologists and credentialed to provide radiology services and have completed a radiologist assistant program accredited by the American Registry of Radiologic Technologists and passed the American Registry of Radiologic Technologists certification examinations.&nbsp;</span></p> <p><span class="cls0">D. A radiologist assistant shall not interpret images, make diagnoses, or prescribe medications or therapies or obtain informed consent.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 2, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.2. Radiologist Assistant Advisory Committee.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created a Radiologist Assistant Advisory Committee within the State Board of Medical Licensure and Supervision to assist in administering the provisions of the Radiologist Assistant Licensure Act. The Committee shall consist of seven (7) members as follows:&nbsp;</span></p> <p><span class="cls0">1. One member shall be a physician appointed by the State Board of Medical Licensure and Supervision from its membership;&nbsp;</span></p> <p><span class="cls0">2. One member shall be a radiologist appointed by the State Board of Medical Licensure and Supervision from a list of qualified individuals submitted by the Oklahoma State Medical Association and who is not a member of the Board;&nbsp;</span></p> <p><span class="cls0">3. One member shall be a physician appointed by the State Board of Osteopathic Examiners from its membership;&nbsp;</span></p> <p><span class="cls0">4. One member shall be a physician appointed by the State Board of Osteopathic Examiners from a list of qualified individuals submitted by the Oklahoma Osteopathic Association and who is not a member of the State Board of Osteopathic Examiners;&nbsp;</span></p> <p><span class="cls0">5. One member shall be a radiologist appointed by the State Board of Medical Licensure and Supervision from a list of qualified individuals submitted by the Oklahoma State Radiological Society and who is not a member of the Board; and &nbsp;</span></p> <p><span class="cls0">6. Two members shall be radiologist assistants appointed by the State Board of Medical Licensure and Supervision from a list of radiologist assistants submitted by the Oklahoma State Radiological Society.&nbsp;</span></p> <p><span class="cls0">The radiologist assistant practitioner members shall have engaged in rendering radiologist assistant services to the public, teaching, or research for at least two (2) years immediately preceding their appointments. These members shall at all times be holders of valid licenses as radiologist assistants in this state, except for the members first appointed to the Committee.&nbsp;</span></p> <p><span class="cls0">B. Initial members of the Committee shall be appointed by September 1, 2008. Members of the Committee shall be appointed for terms of four (4) years. Provided, the terms of office of the members first appointed shall begin within a reasonable time frame after the effective date of this act and shall continue for the following periods:&nbsp;</span></p> <p><span class="cls0">1. Two physicians and one radiologist assistant for a period of three (3) years; and&nbsp;</span></p> <p><span class="cls0">2. Three physicians and one radiologist assistant for a period of four (4) years.&nbsp;</span></p> <p><span class="cls0">Upon the expiration of a member&rsquo;s term of office, the appointing authority for that member shall appoint a successor. Vacancies on the Committee shall be filled in like manner for the balance of an unexpired term. No member shall serve more than three consecutive terms. Each member shall serve until a successor is appointed and qualified.&nbsp;</span></p> <p><span class="cls0">C. Upon expiration or vacancy of the term of a member, the respective nominating authority may, as appropriate, submit to the appointing Board a list of three persons qualified to serve on the Committee to fill the expired term of their respective member. Appointments may be made from these lists by the appointing Board, and additionally lists may be provided by the respective organizations if requested by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">D. The State Board of Medical Licensure and Supervision may remove any member from the Committee for neglect of any duty required by law, for incompetency, or for unethical or dishonorable conduct.&nbsp;</span></p> <p><span class="cls0">E. The Committee shall meet at least twice each year and shall elect biennially during odd-numbered years a chair and vice-chair from among its members. The Committee may convene at the request of the chair, or as the Committee may determine for such other meetings as may be deemed necessary.&nbsp;</span></p> <p><span class="cls0">F. A majority of the members of the Committee, including the chair and vice-chair, shall constitute a quorum at any meeting, and a majority of the required quorum shall be sufficient for the Committee to take action by vote.&nbsp;</span></p> <p><span class="cls0">G. The Committee shall advise the Board in developing policy and rules pertaining to the Radiologist Assistant Licensure Act.&nbsp;</span></p> <p><span class="cls0">H. Members of the State Board of Medical Licensure and Supervision and members of the Radiologist Assistant Advisory Committee shall be reimbursed for all actual and necessary expenses incurred while engaged in the discharge of official duties pursuant to this act in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 3, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.3. Board &ndash; Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision shall:&nbsp;</span></p> <p><span class="cls0">1. License and renew the licenses of duly qualified applicants;&nbsp;</span></p> <p><span class="cls0">2. Maintain an up-to-date list of every person licensed to practice as a radiologist assistant pursuant to the Radiologist Assistant Licensure Act. The list shall show the licensee&rsquo;s:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;last-known place of employment,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;last-known place of residence, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the date and number of the license;&nbsp;</span></p> <p><span class="cls0">3. Cause the prosecution of all persons violating the Radiologist Assistant Licensure Act and incur necessary expenses therefor;&nbsp;</span></p> <p><span class="cls0">4. Keep a record of all proceedings of the Board and make the record available to the public for inspection during reasonable business hours;&nbsp;</span></p> <p><span class="cls0">5. Conduct hearings upon charges calling for discipline of a licensee, or denial, revocation, or suspension of a license; and &nbsp;</span></p> <p><span class="cls0">6. Share information on a case-by-case basis of any person whose license has been suspended, revoked, or denied. This information shall include the name, type and cause of action, date and penalty incurred, and the length of penalty. This information shall be available for public inspection during reasonable business hours and shall be supplied to similar boards in other states upon request.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Medical Licensure and Supervision may:&nbsp;</span></p> <p><span class="cls0">1. Promulgate rules consistent with the laws of this state and in accordance with Article I of the Administrative Procedures Act as may be necessary to enforce the provisions of the Radiologist Assistant Licensure Act;&nbsp;</span></p> <p><span class="cls0">2. Employ such personnel as necessary to assist the Board in performing its function;&nbsp;</span></p> <p><span class="cls0">3. Establish license renewal requirements and procedures as deemed appropriate; and&nbsp;</span></p> <p><span class="cls0">4. Set fees for licensure and renewal not to exceed Three Hundred Dollars ($300.00) per license or renewal.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 4, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.4. Examination &ndash; Licensure by endorsement.&nbsp;</span></p> <p><span class="cls0">A. The applicant, except where otherwise defined in the Radiologist Assistant Licensure Act, shall be required to pass an examination, whereupon the State Board of Medical Licensure and Supervision may issue to the applicant a license to practice as a radiologist assistant.&nbsp;</span></p> <p><span class="cls0">B. The Board may issue a license to practice as a radiologist assistant by endorsement to:&nbsp;</span></p> <p><span class="cls0">1. An applicant who is currently licensed to practice as a radiologist assistant under the laws of another state, territory, or country if the qualifications of the applicant are deemed by the Board to be equivalent to those required in this state;&nbsp;</span></p> <p><span class="cls0">2. Applicants holding credentials who are certified and registered with the American Registry of Radiologic Technologists and have completed a radiologist assistant program accredited by the American Registry of Radiologic Technologists and passed the American Registry of Radiologic Technologists certification examinations, provided such credentials have not been suspended or revoked; and&nbsp;</span></p> <p><span class="cls0">3. Applicants applying under the conditions of this section who certify under oath that their credentials have not been suspended or revoked.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 5, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.5. Title and abbreviation &ndash; Presentation of license.&nbsp;</span></p> <p><span class="cls0">A. A person holding a license to practice as a radiologist assistant in this state may use the title &ldquo;radiologist assistant&rdquo; and the abbreviation &ldquo;RA&rdquo;.&nbsp;</span></p> <p><span class="cls0">B. A licensee shall present this license when requested.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 6, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.6. License renewal, reinstatement or replacement &ndash; Written notice of intent not to practice or to resume practice &ndash; Continuing education.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided in the Radiologist Assistant Licensure Act, a license shall be renewed biennially. The State Board of Medical Licensure and Supervision shall mail notices at least thirty (30) days prior to expiration for renewal of licenses to every person to whom a license was issued or renewed during the preceding renewal period. The licensee shall complete the notice of renewal and return it to the Board with the renewal fee determined by the Board before the date of expiration.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt of the notice of renewal and the fee, the Board shall verify its contents and shall issue the licensee a license for the current renewal period, which shall be valid for the period stated thereon.&nbsp;</span></p> <p><span class="cls0">C. A licensee who allows the license to lapse by failing to renew it may be reinstated by the Board upon payment of the renewal fee and reinstatement fee of One Hundred Dollars ($100.00); provided, that such request for reinstatement must be received within thirty (30) days of the end of the renewal period.&nbsp;</span></p> <p><span class="cls0">D. 1. A licensed radiologist assistant who does not intend to engage in the practice shall send a written notice to that effect to the Board and is not required to submit a notice of renewal and pay the renewal fee as long as the practitioner remains inactive. Upon desiring to resume practicing as a radiologist assistant, the practitioner shall notify the Board in writing of this intent and shall satisfy the current requirements of the Board in addition to submitting a notice of renewal and remitting the renewal fee for the current renewal period and the reinstatement fee.&nbsp;</span></p> <p><span class="cls0">2. Rules of the Board shall provide for a specific period of time of continuous inactivity after which retesting is required.&nbsp;</span></p> <p><span class="cls0">E. The Board is authorized to establish by rule fees for replacement and duplicate licenses not to exceed One Hundred Dollars ($100.00) per license.&nbsp;</span></p> <p><span class="cls0">F. The Board shall by rule prescribe continuing education requirements as a condition for renewal of license. The program criteria with respect thereto shall be approved by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 7, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.7. Fees.&nbsp;</span></p> <p><span class="cls0">Fees received by the State Board of Medical Licensure and Supervision and any other monies collected pursuant to the Radiologist Assistant Licensure Act shall be deposited with the State Treasurer who shall place the monies in the regular depository fund of the Board. The deposit, less the ten-percent gross fees paid into the General Revenue Fund pursuant to Section 211 of Title 62 of the Oklahoma Statutes, is hereby appropriated and shall be used to pay expenses incurred pursuant to the Radiologist Assistant Licensure Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 8, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.8. Revocation or suspension of license &ndash; Refusal to renew &ndash; Probation.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may revoke, suspend, or refuse to renew any license, or place on probation, or otherwise reprimand a licensee or deny a license to an applicant if it finds that the person:&nbsp;</span></p> <p><span class="cls0">1. Is guilty of fraud or deceit in procuring or attempting to procure a license or renewal of a license to practice as a radiologist assistant;&nbsp;</span></p> <p><span class="cls0">2. Is unfit or incompetent by reason of negligence, habits, or other causes of incompetency;&nbsp;</span></p> <p><span class="cls0">3. Is habitually intemperate in the use of alcoholic beverages;&nbsp;</span></p> <p><span class="cls0">4. Is addicted to, or has improperly obtained, possessed, used or distributed habit-forming drugs or narcotics;&nbsp;</span></p> <p><span class="cls0">5. Is guilty of dishonest or unethical conduct;&nbsp;</span></p> <p><span class="cls0">6. Has practiced as a radiologist assistant after the license has expired or has been suspended;&nbsp;</span></p> <p><span class="cls0">7. Has practiced as a radiologist assistant under cover of any license illegally or fraudulently obtained or issued;&nbsp;</span></p> <p><span class="cls0">8. Has violated or aided or abetted others in violation of any provision of the Radiologist Assistant Licensure Act;&nbsp;</span></p> <p><span class="cls0">9. Has been guilty of unprofessional conduct as defined by the rules established by the Board, or of violating the code of ethics adopted and published by the Board; or &nbsp;</span></p> <p><span class="cls0">10. Is guilty of the unauthorized practice of medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 9, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-541.9. Radiology technologists and technicians exempt.&nbsp;</span></p> <p><span class="cls0">The provisions of the Radiologist Assistant Licensure Act shall not require the licensure or certification of radiology technologists or technicians.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 20, &sect; 10, emerg. eff. April 11, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59567.1. Title of act.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the Oklahoma Nursing Practice Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1953, p. 265, &sect; 1. &nbsp;</span></p> <p><span class="cls0">&sect;59-567.2. Declaration of public interest - Liberal construction of act.&nbsp;</span></p> <p><span class="cls0">A. 1. The education, certification and licensure of registered and licensed practical nurses or advanced unlicensed assistive persons, and the practice of registered or practical nursing or advanced unlicensed assistance in this state is hereby declared to affect the public health, safety and welfare and, in the public interest, is therefore subject to regulation and control by the Oklahoma Board of Nursing.&nbsp;</span></p> <p><span class="cls0">2. It is further declared to be a matter of public interest and concern that the education of nurses and advanced unlicensed assistive persons, as such terms are defined in the Oklahoma Nursing Practice Act, and the practice of nursing and advanced unlicensed assistance merit and receive the confidence of the public and that only qualified persons be authorized to practice in this state.&nbsp;</span></p> <p><span class="cls0">3. The Board shall promulgate rules to identify the essential elements of education and practice necessary to protect the public.&nbsp;</span></p> <p><span class="cls0">B. The provisions of the Oklahoma Nursing Practice Act shall be liberally construed to best carry out these requirements and purposes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 265, &sect; 2, emerg. eff. April 13, 1953. Amended by Laws 1967, c. 42, &sect; 1, emerg. eff. March 28, 1967; Laws 1991, c. 104, &sect; 1, eff. Sept. 1, 1991; Laws 1994, c. 97, &sect; 1, eff. July 1, 1994; Laws 1996, c. 186, &sect; 3, eff. Nov. 1, 1996; Laws 2001, c. 254, &sect; 1, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.3. Repealed by Laws 1991, c. 104, &sect; 14, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-567.3a. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Nursing Practice Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Oklahoma Board of Nursing;&nbsp;</span></p> <p><span class="cls0">2. "The practice of nursing" means the performance of services provided for purposes of nursing diagnosis and treatment of human responses to actual or potential health problems consistent with educational preparation. Knowledge and skill are the basis for assessment, analysis, planning, intervention, and evaluation used in the promotion and maintenance of health and nursing management of illness, injury, infirmity, restoration or optimal function, or death with dignity. Practice is based on understanding the human condition across the human lifespan and understanding the relationship of the individual within the environment. This practice includes execution of the medical regime including the administration of medications and treatments prescribed by any person authorized by state law to so prescribe;&nbsp;</span></p> <p><span class="cls0">3. "Registered nursing" means the practice of the full scope of nursing which includes, but is not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;assessing the health status of individuals, families and groups,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;analyzing assessment data to determine nursing care needs,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;establishing goals to meet identified health care needs,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;planning a strategy of care,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;establishing priorities of nursing intervention to implement the strategy of care,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;implementing the strategy of care,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;delegating such tasks as may safely be performed by others, consistent with educational preparation and that do not conflict with the provisions of the Oklahoma Nursing Practice Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;providing safe and effective nursing care rendered directly or indirectly,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;evaluating responses to interventions,&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;teaching the principles and practice of nursing,&nbsp;</span></p> <p class="cls2"><span class="cls0">k.&nbsp;&nbsp;managing and supervising the practice of nursing,&nbsp;</span></p> <p class="cls2"><span class="cls0">l.&nbsp;&nbsp;collaborating with other health professionals in the management of health care,&nbsp;</span></p> <p class="cls2"><span class="cls0">m.&nbsp;&nbsp;performing additional nursing functions in accordance with knowledge and skills acquired beyond basic nursing preparation, and&nbsp;</span></p> <p class="cls2"><span class="cls0">n.&nbsp;&nbsp;delegating those nursing tasks as defined in the rules of the Board that may be performed by an advanced unlicensed assistive person;&nbsp;</span></p> <p><span class="cls0">4. "Licensed practical nursing" means the practice of nursing under the supervision or direction of a registered nurse, licensed physician or dentist. This directed scope of nursing practice includes, but is not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;contributing to the assessment of the health status of individuals and groups,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;participating in the development and modification of the plan of care,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;implementing the appropriate aspects of the plan of care,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;delegating such tasks as may safely be performed by others, consistent with educational preparation and that do not conflict with the Oklahoma Nursing Practice Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;providing safe and effective nursing care rendered directly or indirectly,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;participating in the evaluation of responses to interventions,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;teaching basic nursing skills and related principles,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;performing additional nursing procedures in accordance with knowledge and skills acquired through education beyond nursing preparation, and&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;delegating those nursing tasks as defined in the rules of the Board that may be performed by an advanced unlicensed assistive person;&nbsp;</span></p> <p><span class="cls0">5. "Advanced Practice Registered Nurse" means a licensed Registered Nurse:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;who has completed an advanced practice registered nursing education program in preparation for one of four recognized advanced practice registered nurse roles,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;who has passed a national certification examination recognized by the Board that measures the advanced practice registered nurse role and specialty competencies and who maintains recertification in the role and specialty through a national certification program,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;who has acquired advanced clinical knowledge and skills in preparation for providing both direct and indirect care to patients; however, the defining factor for all Advanced Practice Registered Nurses is that a significant component of the education and practice focuses on direct care of individuals,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;whose practice builds on the competencies of Registered Nurses by demonstrating a greater depth and breadth of knowledge, a greater synthesis of data, and increased complexity of skills and interventions, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;who has obtained a license as an Advanced Practice Registered Nurse in one of the following roles: Certified Registered Nurse Anesthetist, Certified Nurse-Midwife, Clinical Nurse Specialist, or Certified Nurse Practitioner.&nbsp;</span></p> <p><span class="cls0">Only those persons who hold a license to practice advanced practice registered nursing in this state shall have the right to use the title &ldquo;Advanced Practice Registered Nurse&rdquo; and to use the abbreviation &ldquo;APRN&rdquo;. Only those persons who have obtained a license in the following disciplines shall have the right to fulfill the roles and use the applicable titles: Certified Registered Nurse Anesthetist and the abbreviation &ldquo;CRNA&rdquo;, Certified Nurse-Midwife and the abbreviation &ldquo;CNM&rdquo;, Clinical Nurse Specialist and the abbreviation &ldquo;CNS&rdquo;, and Certified Nurse Practitioner and the abbreviation &ldquo;CNP&rdquo;.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any person to assume the role or use the title Advanced Practice Registered Nurse or use the abbreviation "APRN" or use the respective specialty role titles and abbreviations or to use any other titles or abbreviations that would reasonably lead a person to believe the user is an Advanced Practice Registered Nurse, unless permitted by this act. Any individual doing so shall be guilty of a misdemeanor, which shall be punishable, upon conviction, by imprisonment in the county jail for not more than one (1) year or by a fine of not less than One Hundred Dollars ($100.00) nor more than One Thousand Dollars ($1,000.00), or by both such imprisonment and fine for each offense;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Certified Nurse Practitioner&rdquo; is an Advanced Practice Registered Nurse who performs in an expanded role in the delivery of health care:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;consistent with advanced educational preparation as a Certified Nurse Practitioner in an area of specialty,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;functions within the Certified Nurse Practitioner scope of practice for the selected area of specialization, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;is in accord with the standards for Certified Nurse Practitioners as identified by the certifying body and approved by the Board.&nbsp;</span></p> <p><span class="cls0">A Certified Nurse Practitioner shall be eligible, in accordance with the scope of practice of the Certified Nurse Practitioner, to obtain recognition as authorized by the Board to prescribe, as defined by the rules promulgated by the Board pursuant to this section and subject to the medical direction of a supervising physician. This authorization shall not include dispensing drugs, but shall not preclude, subject to federal regulations, the receipt of, the signing for, or the dispensing of professional samples to patients.&nbsp;</span></p> <p><span class="cls0">The Certified Nurse Practitioner accepts responsibility, accountability, and obligation to practice in accordance with usual and customary advanced practice registered nursing standards and functions as defined by the scope of practice/role definition statements for the Certified Nurse Practitioner;&nbsp;</span></p> <p class="cls2"><span class="cls0">7.&nbsp;&nbsp;a.&nbsp;&nbsp;"Clinical Nurse Specialist" is an Advanced Practice Registered Nurse who holds:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;a master's degree or higher in nursing with clinical specialization preparation to function in an expanded role,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;specialty certification from a national certifying organization recognized by the Board,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;a certificate of recognition from the Board, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;any nurse holding a specialty certification as a Clinical Nurse Specialist valid on January 1, 1994, granted by a national certifying organization recognized by the Board, shall be deemed to be a Clinical Nurse Specialist under the provisions of the Oklahoma Nursing Practice Act.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;In the expanded role, the Clinical Nurse Specialist performs at an advanced practice level which shall include, but not be limited to:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;practicing as an expert clinician in the provision of direct nursing care to a selected population of patients or clients in any setting, including private practice,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;managing the care of patients or clients with complex nursing problems,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;enhancing patient or client care by integrating the competencies of clinical practice, education, consultation, and research, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;referring patients or clients to other services.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;A Clinical Nurse Specialist in accordance with the scope of practice of such Clinical Nurse Specialist shall be eligible to obtain recognition as authorized by the Board to prescribe, as defined by the rules promulgated by the Board pursuant to this section, and subject to the medical direction of a supervising physician. This authorization shall not include dispensing drugs, but shall not preclude, subject to federal regulations, the receipt of, the signing for, or the dispensing of professional samples to patients.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;The Clinical Nurse Specialist accepts responsibility, accountability, and obligation to practice in accordance with usual and customary advanced practice nursing standards and functions as defined by the scope of practice/role definition statements for the Clinical Nurse Specialist;&nbsp;</span></p> <p><span class="cls0">8. "Nurse-Midwife" is a qualified registered nurse who has received a certificate of recognition from the Oklahoma Board of Nursing who possesses evidence of certification according to the requirements of the American College of Nurse-Midwives.&nbsp;</span></p> <p><span class="cls0">A Certified Nurse-Midwife in accordance with the scope of practice of such Certified Nurse-Midwife shall be eligible to obtain recognition as authorized by the Board to prescribe, as defined by the rules promulgated by the Board pursuant to this section and subject to the medical direction of a supervising physician. This authorization shall not include the dispensing of drugs, but shall not preclude, subject to federal regulations, the receipt of, the signing for, or the dispensing of professional samples to patients.&nbsp;</span></p> <p><span class="cls0">The Certified Nurse-Midwife accepts responsibility, accountability, and obligation to practice in accordance with usual and customary advanced practice registered nursing standards and functions as defined by the scope of practice/role definition statements for the Certified Nurse-Midwife;&nbsp;</span></p> <p><span class="cls0">9. "Nurse-midwifery practice" means providing management of care of normal newborns and women, antepartally, intrapartally, postpartally and gynecologically, occurring within a health care system which provides for medical consultation, medical management or referral, and is in accord with the standards for nurse-midwifery practice as defined by the American College of Nurse-Midwives;&nbsp;</span></p> <p class="cls2"><span class="cls0">10.&nbsp;&nbsp;a.&nbsp;&nbsp;"Certified Registered Nurse Anesthetist" is an Advanced Practice Registered Nurse who:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;is certified by the Council on Certification of Nurse Anesthetists as a Certified Registered Nurse Anesthetist within one (1) year following completion of an approved certified registered nurse anesthetist education program, and continues to maintain such recertification by the Council on Recertification of Nurse Anesthetists, and&nbsp;</span></p> <p class="cls3"><span class="cls0">&nbsp;&nbsp;(2)&nbsp;&nbsp;administers anesthesia under the supervision of a medical doctor, an osteopathic physician, a podiatric physician or a dentist licensed in this state and under conditions in which timely onsite consultation by such doctor, osteopath, podiatric physician or dentist is available.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;A Certified Registered Nurse Anesthetist, under the supervision of a medical doctor, osteopathic physician, podiatric physician or dentist licensed in this state, and under conditions in which timely, on-site consultation by such medical doctor, osteopathic physician, podiatric physician or dentist is available, shall be authorized, pursuant to rules adopted by the Oklahoma Board of Nursing, to order, select, obtain and administer legend drugs, Schedules II through V controlled substances, devices, and medical gases only when engaged in the preanesthetic preparation and evaluation; anesthesia induction, maintenance and emergence; and postanesthesia care. A Certified Registered Nurse Anesthetist may order, select, obtain and administer drugs only during the perioperative or periobstetrical period.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;A Certified Registered Nurse Anesthetist who applies for authorization to order, select, obtain and administer drugs shall:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;be currently recognized as a Certified Registered Nurse Anesthetist in this state,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;provide evidence of completion, within the two-year period immediately preceding the date of application, of a minimum of fifteen (15) units of continuing education in advanced pharmacology related to the administration of anesthesia as recognized by the Council on Recertification of Nurse Anesthetists or the Council on Certification of Nurse Anesthetists, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;complete and submit a notarized application, on a form prescribed by the Board, accompanied by the application fee established pursuant to this section.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;The authority to order, select, obtain and administer drugs shall be terminated if a Certified Registered Nurse Anesthetist has:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;ordered, selected, obtained or administered drugs outside of the Certified Registered Nurse Anesthetist scope of practice or ordered, selected, obtained or administered drugs for other than therapeutic purposes, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;violated any provision of state laws or rules or federal laws or regulations pertaining to the practice of nursing or the authority to order, select, obtain and administer drugs.&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;The Oklahoma Board of Nursing shall notify the Board of Pharmacy after termination of or a change in the authority to order, select, obtain and administer drugs for a Certified Registered Nurse Anesthetist.&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;The Board shall provide by rule for biennial application renewal and reauthorization of authority to order, select, obtain and administer drugs for Certified Registered Nurse Anesthetists. At the time of application renewal, a Certified Registered Nurse Anesthetist shall submit documentation of a minimum of eight (8) units of continuing education, completed during the previous two (2) years, in advanced pharmacology relating to the administration of anesthesia, as recognized by the Council on Recertification of Nurse Anesthetists or the Council on Certification of Nurse Anesthetists.&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;This paragraph shall not prohibit the administration of local or topical anesthetics as now permitted by law. Provided further, nothing in this paragraph shall limit the authority of the Board of Dentistry to establish the qualifications for dentists who direct the administration of anesthesia;&nbsp;</span></p> <p><span class="cls0">11. "Supervising physician" means an individual holding a current license to practice as a physician from the State Board of Medical Licensure and Supervision or the State Board of Osteopathic Examiners, who supervises a Certified Nurse Practitioner, a Clinical Nurse Specialist, or a Certified Nurse-Midwife, and who is not in training as an intern, resident, or fellow. To be eligible to supervise such Advanced Practice Registered Nurse, such physician shall remain in compliance with the rules promulgated by the State Board of Medical Licensure and Supervision or the State Board of Osteopathic Examiners;&nbsp;</span></p> <p><span class="cls0">12. "Supervision of an Advanced Practice Registered Nurse with prescriptive authority" means overseeing and accepting responsibility for the ordering and transmission by a Certified Nurse Practitioner, a Clinical Nurse Specialist, or a Certified Nurse-Midwife of written, telephonic, electronic or oral prescriptions for drugs and other medical supplies, subject to a defined formulary; and&nbsp;</span></p> <p><span class="cls0">13. "Advanced Unlicensed Assistant" means any person who has successfully completed a certified training program approved by the Board that trains the Advanced Unlicensed Assistant to perform specified technical skills identified by the Board in acute care settings under the direction and supervision of the Registered Nurse or Licensed Practical Nurse.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 104, &sect; 2, eff. Sept. 1, 1991. Amended by Laws 1994, c. 97, &sect; 2, eff. July 1, 1994; Laws 1996, c. 186, &sect; 4, eff. Nov. 1, 1996; Laws 1996, c. 318, &sect; 13, eff. July 1, 1996; Laws 1997, c. 250, &sect; 6, eff. Nov. 1, 1997; Laws 1998, c. 71, &sect; 1, eff. Nov. 1, 1998; Laws 2001, c. 33, &sect; 46, eff. July 1, 2001; Laws 2001, c. 254, &sect; 2, eff. Nov. 1, 2001; Laws 2011, c. 101, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1996, c. 136, &sect; 1 repealed by Laws 1996, c. 288, &sect; 9, eff. Nov. 1, 1996. Laws 1996, c. 288, &sect; 2 repealed by Laws 1997, c. 2, &sect; 26, emerg. eff. Feb. 26, 1997.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.4. Oklahoma Board of Nursing.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Board of Nursing is hereby established in the State of Oklahoma. The Board shall consist of eleven (11) members who shall be citizens of the United States of America, and residents of Oklahoma, for at least the previous three (3) years. Six of the members shall be Registered Nurses, in good standing under the provisions of the Oklahoma Nursing Practice Act, currently engaged in the practice of nursing as a Registered Nurse and shall have had no less than five (5) years of experience as a Registered Nurse. At least two of the Registered Nurses shall be from the field of nursing education, actively associated with a recognized school of nursing in Oklahoma, and who hold an organizational role of administration/management and who are accountable for strategic, operational and/or performance outcomes. At least two of the Registered Nurses who hold an organizational role of administration/management and who are accountable for strategic, operational and/or performance outcomes shall represent nursing service. At least one of the Registered Nurses shall be currently engaged in the practice of nursing as an Advanced Practice Registered Nurse. Three of the members shall be Licensed Practical Nurses in good standing under the provisions of the Oklahoma Nursing Practice Act and currently engaged in the practice of practical nursing as a Licensed Practical Nurse and shall have had no less than five (5) years of experience as a Licensed Practical Nurse. One of the licensed nurses must be employed in the field of long-term care. One of the licensed nurses shall be employed in the area of acute care. Two members shall represent the public and shall be eligible voters of this state, knowledgeable in consumer health concerns, and shall neither be nor ever have been associated with the provision of health care, nor be enrolled in any health-related educational program. The public members shall be appointed by the Governor to serve coterminously with the Governor. At least one Registered Nurse Board member, one Licensed Practical Nurse Board member and one public Board member shall be appointed from a county with a population of less than forty thousand (40,000).&nbsp;</span></p> <p><span class="cls0">B. For the purpose of nominating, appointing or reappointing members to the Board, this state shall be divided into eight geographical districts, consisting of counties within the districts as follows:&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 1&nbsp;&nbsp;Cimarron, Texas, Beaver, Harper, Woods, Alfalfa, Grant, Kay, Ellis, Woodward, Major, Garfield, Noble, Dewey, Blaine, Kingfisher and Logan;&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 2&nbsp;&nbsp;Roger Mills, Custer, Beckham, Washita, Caddo, Greer, Kiowa, Harmon, Jackson, Comanche, Tillman and Cotton;&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 3&nbsp;&nbsp;Canadian, Grady, McClain, Garvin, Stephens, Murray, Jefferson, Carter and Love;&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 4&nbsp;&nbsp;Oklahoma;&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 5&nbsp;&nbsp;Lincoln, Okfuskee, Cleveland, Pottawatomie, Seminole, Hughes, Pontotoc, Coal, Johnston, Marshall and Bryan;&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 6&nbsp;&nbsp;Creek and Tulsa;&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 7&nbsp;&nbsp;Osage, Washington, Nowata, Craig, Ottawa, Pawnee, Payne, Rogers, Mayes and Delaware; and&nbsp;</span></p> <p class="cls14"><span class="cls0">District No. 8&nbsp;&nbsp;Wagoner, Cherokee, Adair, Okmulgee, Muskogee, Sequoyah, McIntosh, Haskell, Leflore, Pittsburg, Latimer, Atoka, Pushmataha, McCurtain and Choctaw.&nbsp;</span></p> <p><span class="cls0">Not more than one Registered Nurse and one Licensed Practical Nurse and one public member shall be appointed from any one geographical district.&nbsp;</span></p> <p><span class="cls0">C. The Governor shall appoint the Registered Nurse Board members from a list of names submitted by the Oklahoma Nurses Association and Oklahoma chapters of nationally recognized Registered Nurse organizations. The Governor shall appoint the Licensed Practical Nurse Board members from a list of names submitted by the Oklahoma chapters of nationally recognized nursing organizations. Individuals who are members of the Oklahoma Board of Nursing prior to September 1, 1991, shall be allowed to fulfill their terms and be eligible for reappointment.&nbsp;</span></p> <p><span class="cls0">D. The Registered Nurse and Licensed Practical Nurse members shall be appointed for terms of five (5) years. Upon the death, resignation, or removal of any member, a list from the aforementioned organizations shall be submitted to the Governor who shall appoint a member to fill the vacancy.&nbsp;</span></p> <p><span class="cls0">1. In addition to the grounds for removal by the Governor of members appointed to the Board provided in Section 2 of Title 74 of the Oklahoma Statutes, it is a ground for removal if a member:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;does not have at the time of appointment the qualifications required by subsection A of this section,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is not employed in nursing for a period of twelve (12) consecutive months during the term for which the member was appointed,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;is absent from more than half of the regularly scheduled Board meetings that the member is eligible to attend during a calendar year, unless the absence is excused by a majority vote of the Board, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;cannot discharge the duties as a Board member for a substantial portion of the term for which the member is appointed because of illness or disability.&nbsp;</span></p> <p><span class="cls0">2. The validity of an action of the Board is not affected by the fact that it is taken when a ground for removal of a Board member exists.&nbsp;</span></p> <p><span class="cls0">3. If the president of the Board has knowledge that a potential ground for removal exists, the president shall then notify the Governor that a potential ground for removal exists.&nbsp;</span></p> <p><span class="cls0">E. A quorum shall be a majority of the Board which must include at least three Registered Nurses and one Licensed Practical Nurse.&nbsp;</span></p> <p><span class="cls0">F. The members of the Board shall annually elect from their number a president, vice-president and a secretary who shall also be the treasurer, and other such officers as necessary to conduct the business of the Board. It shall hold six regular business meetings during each calendar year. Special meetings may be called by the president or secretary with five (5) days' notice to each member of the Board. The Board shall have a seal; it shall make and adopt all necessary rules not inconsistent with the laws of this state, the United States, or with the Oklahoma Nursing Practice Act; and it shall perform the duties and transact the business required under the provisions of the act. The Board shall cause to be kept a record of all meetings of the Board and give notice of all meetings in accordance with the Administrative Procedures Act and the Open Meetings Act. A list of all persons duly licensed and qualified under this act shall be maintained by the Board. Each member of the Board shall receive, in addition to actual and necessary travel expenses as provided in the State Travel Reimbursement Act, compensation of One Hundred Dollars ($100.00) for each regular scheduled monthly meeting attended, not to exceed more than six meetings per year. All monies received by the Board shall be held by the treasurer of the Board for meeting the expenses of the Board and for the promotion of nursing education, to employ an attorney to assist the Board and other state and county officials in carrying out the provisions of the Oklahoma Nursing Practice Act, and such other purposes which the Board may determine, and shall be disbursed as directed by the Board. The Board is authorized to adopt and revise rules, not inconsistent with the provisions of the Oklahoma Nursing Practice Act, as may be necessary to enable it to carry into effect the provisions of the act, including rules establishing fees, charges and reimbursement costs. The Board shall appoint and employ a qualified person, who shall be a Registered Nurse to serve as Executive Director, and shall fix the compensation, notwithstanding any other provision of law including Section 3601.2 of Title 74 of the Oklahoma Statutes, in an amount not in excess of the maximum salary proposed for the Oklahoma Board of Nursing and set forth in the most recent Compensation Report prepared by or for the Office of Management and Enterprise Services, require a satisfactory bond, and define the duties of the Executive Director.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 265, &sect; 4, emerg. eff. April 13, 1953. Amended by Laws 1967, c. 46, &sect; 1, emerg. eff. April 10, 1967; Laws 1978, c. 235, &sect; 1, eff. Jan. 1, 1979; Laws 1981, c. 314, &sect; 2, eff. July 1, 1981; Laws 1985, c. 178, &sect; 34, operative July 1, 1985; Laws 1991, c. 104, &sect; 3, eff. Sept. 1, 1991; Laws 2001, c. 254, &sect; 3, eff. Nov. 1, 2001; Laws 2003, c. 190, &sect; 1, eff. Nov. 1, 2003; Laws 2013, c. 228, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.4a. Prescriptive authority recognition - Rules.&nbsp;</span></p> <p><span class="cls0">The rules regarding prescriptive authority recognition promulgated by the Oklahoma Board of Nursing pursuant to paragraphs 6 through 9, 11 and 12 of Section 567.3a of this title shall:&nbsp;</span></p> <p><span class="cls0">1. Define the procedure for documenting supervision by a physician licensed in Oklahoma to practice by the State Board of Medical Licensure and Supervision or the State Board of Osteopathic Examiners. Such procedure shall include a written statement that defines appropriate referral, consultation, and collaboration between the advanced practice nurse, recognized to prescribe as defined in paragraphs 6 through 9, 11 and 12 of Section 567.3a of this title, and the supervising physician. The written statement shall include a method of assuring availability of the supervising physician through direct contact, telecommunications or other appropriate electronic means for consultation, assistance with medical emergencies, or patient referral. The written statement shall be part of the initial application and the renewal application submitted to the Board for recognition for prescriptive authority for the advanced practice nurse. Changes to the written statement shall be filed with the Board within thirty (30) days of the change and shall be effective on filing;&nbsp;</span></p> <p><span class="cls0">2. Define minimal requirements for initial application for prescriptive authority which shall include, but not be limited to, evidence of completion of a minimum of forty-five (45) contact hours or three (3) academic credit hours of education in pharmacotherapeutics, clinical application, and use of pharmacological agents in the prevention of illness, and in the restoration and maintenance of health in a program beyond basic registered nurse preparation, approved by the Board. Such contact hours or academic credits shall be obtained within a time period of three (3) years immediately preceding the date of application for prescriptive authority;&nbsp;</span></p> <p><span class="cls0">3. Define minimal requirements for application for renewal of prescriptive authority which shall include, but not be limited to, documentation of a minimum of fifteen (15) contact hours or one (1) academic credit hour of education in pharmacotherapeutics, clinical application, and use of pharmacological agents in the prevention of illness, and in the restoration and maintenance of health in a program beyond basic registered nurse preparation, approved by the Board, within the two-year period immediately preceding the effective date of application for renewal of prescriptive authority;&nbsp;</span></p> <p><span class="cls0">4. Require that beginning July 1, 2002, an advanced practice nurse shall demonstrate successful completion of a master's degree in a clinical nurse specialty in order to be eligible for initial application for prescriptive authority under the provisions of this act;&nbsp;</span></p> <p><span class="cls0">5. Define the method for communicating authority to prescribe or termination of same, and the formulary to the Board of Pharmacy, all pharmacies, and all registered pharmacists;&nbsp;</span></p> <p><span class="cls0">6. Define terminology used in such rules;&nbsp;</span></p> <p><span class="cls0">7. Define the parameters for the prescribing practices of the advanced practice nurse;&nbsp;</span></p> <p><span class="cls0">8. Define the methods for termination of prescriptive authority for advanced practice nurses; and&nbsp;</span></p> <p class="cls2"><span class="cls0">9.&nbsp;&nbsp;a.&nbsp;&nbsp;Establish a Formulary Advisory Council that shall develop and submit to the Board recommendations for an exclusionary formulary that shall list drugs or categories of drugs that shall not be prescribed by advanced practice nurses recognized to prescribe by the Oklahoma Board of Nursing. The Formulary Advisory Council shall also develop and submit to the Board recommendations for practice-specific prescriptive standards for each category of advanced practice nurse recognized to prescribe by the Oklahoma Board of Nursing pursuant to the provisions of the Oklahoma Nursing Practice Act. The Board shall either accept or reject the recommendations made by the Council. No amendments to the recommended exclusionary formulary may be made by the Board without the approval of the Formulary Advisory Council.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;The Formulary Advisory Council shall be composed of twelve (12) members as follows:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;four members, to include a pediatrician, an obstetrician-gynecological physician, a general internist, and a family practice physician; provided that three of such members shall be appointed by the Oklahoma State Medical Association, and one shall be appointed by the Oklahoma Osteopathic Association,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;four members who are registered pharmacists, appointed by the Oklahoma Pharmaceutical Association, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;four members, one of whom shall be an advanced registered nurse practitioner, one of whom shall be a clinical nurse specialist, one of whom shall be a certified nurse-midwife, and one of whom shall be a current member of the Oklahoma Board of Nursing, all of whom shall be appointed by the Oklahoma Board of Nursing.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;All professional members of the Formulary Advisory Council shall be in active clinical practice, at least fifty percent (50%) of the time, within their defined area of specialty. The members of the Formulary Advisory Council shall serve at the pleasure of the appointing authority for a term of three (3) years. The terms of the members shall be staggered. Members of the Council may serve beyond the expiration of their term of office until a successor is appointed by the original appointing authority. A vacancy on the Council shall be filled for the balance of the unexpired term by the original appointing authority.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;Members of the Council shall elect a chair and a vice-chair from among the membership of the Council. For the transaction of business, at least seven members, with a minimum of two members present from each of the identified categories of physicians, pharmacists and advanced practice nurses, shall constitute a quorum. The Council shall recommend and the Board shall approve and implement an initial exclusionary formulary on or before January 1, 1997. The Council and the Board shall annually review the approved exclusionary formulary and shall make any necessary revisions utilizing the same procedures used to develop the initial exclusionary formulary.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 186, &sect; 5, eff. July 1, 1996. Amended by Laws 1997, c. 250, &sect; 7, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.4b. Formulary Advisory Council.&nbsp;</span></p> <p><span class="cls0">A. 1. The rules regarding authorization for a certified registered nurse anesthetist to order, select, obtain and administer drugs, promulgated by the Oklahoma Board of Nursing pursuant to paragraph 10 of Section 567.3a of Title 59 of the Oklahoma Statutes, shall provide for establishment of a Formulary Advisory Council to develop and submit to the Board recommendations for an inclusionary formulary that lists drugs or categories of drugs that may be ordered, selected, obtained or administered by certified registered nurse anesthetists authorized by the Board to order, select, obtain and administer drugs.&nbsp;</span></p> <p><span class="cls0">2. Such Formulary Advisory Council shall also develop and submit to the Board recommendations for practice-specific standards for ordering, selecting, obtaining and administering drugs for a certified registered nurse anesthetist authorized by the Board to order, select, obtain and administer drugs pursuant to the provisions of the Oklahoma Nursing Practice Act.&nbsp;</span></p> <p><span class="cls0">3. The Board shall either accept or reject the recommendations of the Council. No amendments to the recommended inclusionary formulary may be made by the Board without the approval of the Formulary Advisory Council.&nbsp;</span></p> <p><span class="cls0">B. 1. The Formulary Advisory Council shall be composed of five (5) members as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;two certified registered nurse anesthetists, appointed by the Oklahoma Association of Nurse Anesthetists located in this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;two anesthesiologists, appointed by the Oklahoma Society of Anesthesiologists located in this state, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a hospital-based pharmacist appointed by the Oklahoma Pharmaceutical Association located in this state.&nbsp;</span></p> <p><span class="cls0">2. All professional members of the Formulary Advisory Council shall be in active clinical practice at least fifty percent (50%) of the time within their defined area of specialty.&nbsp;</span></p> <p class="cls2"><span class="cls0">3.&nbsp;&nbsp;a.&nbsp;&nbsp;Members of the Formulary Advisory Council shall serve at the pleasure of their appointing authority for a term of three (3) years. The terms of the members shall be staggered. Members of the Council may serve beyond the expiration of their term of office until a successor is appointed by the original appointing authority. A vacancy on the Council shall be filled for the balance of the unexpired term by the original appointing authority.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Members of the Council shall elect a chair and a vice-chair from among the membership of the Council. Three members shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">C. The Council shall recommend and the Board shall approve and implement an initial inclusionary formulary on or before January 1, 1998. The Council and the Board shall annually review and evaluate the approved inclusionary formulary and shall make any necessary revisions utilizing the same procedures used to develop the initial inclusionary formulary.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1997, c. 250, &sect; 8, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.5. Registered nurses, licensing - Applications - Qualifications - Examinations - Licensure without examination - Use of titles and abbreviations - Violations.&nbsp;</span></p> <p><span class="cls0">A. All applicants for a license to practice as a Registered Nurse shall be subject to Section 567.8 of this title.&nbsp;</span></p> <p><span class="cls0">B. An applicant for a license to practice as a Registered Nurse shall submit to the Oklahoma Board of Nursing certified written evidence that the applicant:&nbsp;</span></p> <p><span class="cls0">1. Has completed the basic professional curricula of a school of nursing approved by a state board of nursing, and holds or is entitled to hold a diploma or degree therefrom;&nbsp;</span></p> <p><span class="cls0">2. Has never been convicted in this state, the United States or another state or territory of any felony, unless five (5) years have elapsed since the date of the criminal conviction or the termination of any probation or other requirements imposed on the applicant by the sentencing court, whichever shall last occur, or a presidential or gubernatorial pardon for the criminal offense has been received, provided that the provisions of this paragraph shall not be effective until November 1, 2003;&nbsp;</span></p> <p><span class="cls0">3. Has submitted a criminal history records search that complies with Section 567.18 of this title;&nbsp;</span></p> <p><span class="cls0">4. Is a minimum of eighteen (18) years of age; and&nbsp;</span></p> <p><span class="cls0">5. Has met such other qualifications as the Board may prescribe in its rules.&nbsp;</span></p> <p><span class="cls0">C. An applicant for a license shall be required to pass a written examination in such subjects as the Board may determine. Upon an applicant successfully passing such an examination, the Board may issue to the applicant a license to practice as a Registered Nurse. An applicant who fails such examination shall be subject to reexamination according to the rules of the Board. The passing criteria shall be established by the Board in its rules.&nbsp;</span></p> <p><span class="cls0">D. The Board may issue a license to practice nursing as a registered nurse without examination to an applicant who has been duly licensed as a Registered Nurse under the laws of another state, territory, the District of Columbia or a foreign country, if such applicant meets the qualifications required for licensing as a Registered Nurse in this state.&nbsp;</span></p> <p><span class="cls0">E. Any person who holds a license to practice as a registered nurse in this state shall have the right to use both the title "Registered Nurse" and the abbreviation "R.N." No other person shall assume such title or use such abbreviation, or any other words, letters, signs or figures to indicate that the person using the same is a registered nurse. Any individual doing so shall be guilty of a misdemeanor, which shall be punishable, upon conviction, by imprisonment in the county jail for not more than one (1) year or by a fine of not less than One Hundred Dollars ($100.00) nor more than One Thousand Dollars ($1,000.00), or by both such imprisonment and fine for each offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 267, &sect; 5, emerg. eff. April 13, 1953. Amended by Laws 1981, c. 314, &sect; 3, eff. July 1, 1981; Laws 1991, c. 104, &sect; 4, eff. Sept. 1, 1991; Laws 2001, c. 254, &sect; 4, eff. Nov. 1, 2001; Laws 2003, c. 190, &sect; 2, eff. Nov. 1, 2003; Laws 2011, c. 101, &sect; 2, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.5a. Advanced Practice Registered Nurse - License - Application.&nbsp;</span></p> <p><span class="cls0">A. All applicants for a license to practice as an Advanced Practice Registered Nurse shall be subject to Section 567.8 of this title.&nbsp;</span></p> <p><span class="cls0">B. An applicant for an initial license to practice as an Advanced Practice Registered Nurse shall:&nbsp;</span></p> <p><span class="cls0">1. Submit a completed written application and appropriate fees as established by the Board;&nbsp;</span></p> <p><span class="cls0">2. Submit a criminal history records check that complies with Section 567.18 of this title;&nbsp;</span></p> <p><span class="cls0">3. Hold a current Registered Nurse license in this state;&nbsp;</span></p> <p><span class="cls0">4. Have completed an advanced practice registered nursing education program in one of the four advanced practice registered nurse roles and a specialty area recognized by the Board. Effective January 1, 2016, the applicant shall have completed an accredited graduate level advanced practice registered nursing education program in at least one of the following population foci: family/individual across the lifespan, adult-gerontology, neonatal, pediatrics, women's health/gender-related, or psychiatric/mental health;&nbsp;</span></p> <p><span class="cls0">5. Be currently certified in an advanced practice specialty certification consistent with educational preparation and by a national certifying body recognized by the Board; and&nbsp;</span></p> <p><span class="cls0">6. Provide any and all other evidence as required by the Board in its rules.&nbsp;</span></p> <p><span class="cls0">C. The Board may issue a license by endorsement to an Advanced Practice Registered Nurse licensed under the laws of another state if the applicant meets the qualifications for licensure in this state. An applicant by endorsement shall:&nbsp;</span></p> <p><span class="cls0">1. Submit a completed written application and appropriate fees as established by the Board;&nbsp;</span></p> <p><span class="cls0">2. Hold a current Registered Nurse license in this state;&nbsp;</span></p> <p><span class="cls0">3. Hold recognition as an Advanced Practice Registered Nurse in a state or territory;&nbsp;</span></p> <p><span class="cls0">4. Have completed an advanced practice registered nursing education program in one of the four roles and a specialty area recognized by the Board. Effective January 1, 2016, the applicant shall have completed an accredited graduate level advanced practice registered nursing education program in at least one of the following population foci: family/individual across the lifespan, adult-gerontology, neonatal, pediatrics, women's health/gender-related, or psychiatric/mental health;&nbsp;</span></p> <p><span class="cls0">5. Be currently certified in an advanced practice specialty certification consistent with educational preparation and by a national certifying body recognized by the Board;&nbsp;</span></p> <p><span class="cls0">6. Meet continued competency requirements as set forth in Board rules; and&nbsp;</span></p> <p><span class="cls0">7. Provide any and all other evidence as required by the Board in its rules.&nbsp;</span></p> <p><span class="cls0">D. The Board may issue prescriptive authority recognition by endorsement to an Advanced Practice Registered Nurse licensed as an APRN-CNP, APRN-CNS, or APRN-CNM under the laws of another state if the applicant meets the requirements set forth in this section. An applicant for prescriptive authority recognition by endorsement shall:&nbsp;</span></p> <p><span class="cls0">1. Submit a completed written application and appropriate fees as established by the Board;&nbsp;</span></p> <p><span class="cls0">2. Hold current Registered Nurse and Advanced Practice Registered Nurse licenses (APRN-CNP, APRN-CNS, or APRN-CNM) in the state;&nbsp;</span></p> <p><span class="cls0">3. Hold current licensure or recognition as an Advanced Practice Registered Nurse in the same role and specialty with prescribing privileges in another state or territory;&nbsp;</span></p> <p><span class="cls0">4. Submit documentation verifying successful completion of a graduate level advanced practice registered nursing education program that included an academic course in pharmacotherapeutic management, and didactic and clinical preparation for prescribing incorporated throughout the program;&nbsp;</span></p> <p><span class="cls0">5. Submit a written statement from an Oklahoma licensed physician supervising prescriptive authority as required by the Board in its rules;&nbsp;</span></p> <p><span class="cls0">6. Meet continued competency requirements as set forth in Board rules; and&nbsp;</span></p> <p><span class="cls0">7. Provide any and all other evidence as required by the Board in its rules.&nbsp;</span></p> <p><span class="cls0">E. An Advanced Practice Registered Nurse license issued under this section shall be renewed concurrently with the registered nurse license provided that qualifying criteria continue to be met.&nbsp;</span></p> <p><span class="cls0">F. The Board may reinstate a license as set forth in Board rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 101, &sect; 3, eff. Nov. 1, 2011. Amended by Laws 2013, c. 228, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.6. Practical nurses, licensing - Applications - Qualifications - Examinations - Licensure without examination - Use of titles and abbreviations - Violations.&nbsp;</span></p> <p><span class="cls0">A. All applicants for a license to practice as a Licensed Practical Nurse shall be subject to Section 567.8 of this title.&nbsp;</span></p> <p><span class="cls0">B. An applicant for a license to practice as a Licensed Practical Nurse shall submit to the Oklahoma Board of Nursing certified evidence that the applicant:&nbsp;</span></p> <p><span class="cls0">1. Has received a high school diploma or a General Educational Development (G.E.D.) credential;&nbsp;</span></p> <p><span class="cls0">2. Has successfully completed the prescribed curricula in a state-approved program of practical nursing and holds or is entitled to hold a diploma or certificate therefrom, or equivalent courses in a state-approved program of nursing;&nbsp;</span></p> <p><span class="cls0">3. Has never been convicted in this state, the United States or another state or territory of any felony, unless five (5) years have elapsed since the date of the criminal conviction or the termination of any probation or other requirements imposed on the applicant by the sentencing court, whichever shall last occur, or a presidential or gubernatorial pardon for the criminal offense has been received, provided that the provisions of this paragraph shall not be effective until November 1, 2003;&nbsp;</span></p> <p><span class="cls0">4. Has submitted a criminal history records search that complies with Section 567.18 of this title;&nbsp;</span></p> <p><span class="cls0">5. Is a minimum of eighteen (18) years of age; and&nbsp;</span></p> <p><span class="cls0">6. Has met such other reasonable preliminary qualification requirements as the Board may prescribe.&nbsp;</span></p> <p><span class="cls0">C. The applicant for a license to practice as a Licensed Practical Nurse shall be required to pass a written examination in such subjects as the Board may require. Upon the applicant successfully passing such examination the Board may issue to the applicant a license to practice as a Licensed Practical Nurse. An applicant who fails such examination shall be subject to reexamination according to the rules of the Board. The passing criteria shall be established by the Board in its rules.&nbsp;</span></p> <p><span class="cls0">D. The Board may issue a license to practice as a Licensed Practical Nurse without examination to any applicant who has been duly licensed or registered as a Licensed Practical Nurse, or is entitled to perform similar services under a different title, according to the laws of another state, territory, the District of Columbia or a foreign country if such applicant meets the requirements for Licensed Practical Nurses in the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">E. Any person holding a license to practice as a licensed attendant issued by the Board, which is valid on July 1, 1953, shall be deemed to be a Licensed Practical Nurse under the provisions of this act.&nbsp;</span></p> <p><span class="cls0">F. Any person who holds a license to practice as a Licensed Practical Nurse in this state shall have the right to use both the title "Licensed Practical Nurse" and the abbreviation "L.P.N." No other person shall assume such title or use such abbreviation or any other words, letters, signs, or figures to indicate that the person using the same is a Licensed Practical Nurse.&nbsp;</span></p> <p><span class="cls0">Any individual doing so shall be guilty of a misdemeanor, which shall be punishable, upon conviction, by imprisonment in the county jail for not more than one (1) year or by a fine of not less than One Hundred Dollars ($100.00) nor more than One Thousand Dollars ($1,000.00), or by both such imprisonment and fine for each offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 267, &sect; 6, emerg. eff. April 13, 1953. Amended by Laws 1981, c. 314, &sect; 4, eff. July 1, 1981; Laws 1991, c. 104, &sect; 5, eff. Sept. 1, 1991; Laws 2001, c. 254, &sect; 5, eff. Nov. 1, 2001; Laws 2003, c. 190, &sect; 3, eff. Nov. 1, 2003; Laws 2011, c. 101, &sect; 4, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.6a. Advanced Unlicensed Assistant - Certificate - Qualifications.&nbsp;</span></p> <p><span class="cls0">A. All applicants for a certificate to practice as an Advanced Unlicensed Assistant shall be subject to Section 567.8 of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. An applicant for a certificate to practice as an Advanced Unlicensed Assistant shall submit to the Oklahoma Board of Nursing certified evidence that the applicant:&nbsp;</span></p> <p><span class="cls0">1. Has successfully completed the prescribed curricula in a state-approved education program for Advanced Unlicensed Assistants and holds or is entitled to hold a diploma or certificate therefrom, or equivalent courses in a formal program of instruction;&nbsp;</span></p> <p><span class="cls0">2. Has never been convicted in this state, the United States or another state or territory of any felony, unless five (5) years have elapsed since the date of the criminal conviction or the termination of any probation or other requirements imposed on the applicant by the sentencing court, whichever shall last occur, or a presidential or gubernatorial pardon for the criminal offense has been received;&nbsp;</span></p> <p><span class="cls0">3. Has submitted a criminal history records search that is compliant with Section 567.18 of Title 59 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">4. Is a minimum of eighteen (18) years of age; and&nbsp;</span></p> <p><span class="cls0">5. Has met such other reasonable preliminary qualification requirements as the Board may prescribe.&nbsp;</span></p> <p><span class="cls0">C. The applicant for a certificate to practice as an Advanced Unlicensed Assistant shall be required to pass an examination in such subjects as the Board may require. Upon the applicant successfully passing such examination, the Board may issue to the applicant a certificate to practice as an Advanced Unlicensed Assistant. An applicant who fails such examination shall be subject to reexamination according to the rules of the Board. The passing criteria shall be established by Board rules.&nbsp;</span></p> <p><span class="cls0">D. Any person who holds a certificate to practice as an Advanced Unlicensed Assistant in this state shall have the right to use both the title &ldquo;Advanced Unlicensed Assistant&rdquo; and the abbreviation &ldquo;A.U.A.&rdquo;. No other person shall assume such title or use such abbreviation or any other words, letters, signs, or figures to indicate that the person using the same is an Advanced Unlicensed Assistant. Any individual doing so shall be guilty of a misdemeanor, which shall be punishable, upon conviction, by imprisonment in the county jail for not more than one (1) year or by a fine of not less than One Hundred Dollars ($100.00) nor more than One Thousand Dollars ($1,000.00), or by both such imprisonment and fine for each offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 101, &sect; 5, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.7. Renewal or reinstatement of license or certificate - Temporary retirement from practice - Fees.&nbsp;</span></p> <p><span class="cls0">A. Upon expiration of an initial license or certificate issued pursuant to the Oklahoma Nursing Practice Act, a license or certificate shall be renewed every two (2) years according to a schedule published by the Oklahoma Board of Nursing, provided that the application is complete and qualifying criteria continues to be met.&nbsp;</span></p> <p><span class="cls0">B. A licensee or certificate holder who applies for reinstatement of a license or certificate shall meet such requirements as the Board may prescribe in its rules.&nbsp;</span></p> <p><span class="cls0">C. Any licensee or certificate holder who desires to retire temporarily from the practice of nursing in this state shall submit a written request to that effect to the Board. It shall be the duty of the Board to place the name of such licensee or certificate holder upon the nonpracticing list in accordance with the rules of the Board. During the period of temporary retirement, the licensee or certificate holder shall not practice nursing, Advanced Practice Registered Nursing or practice as an Advanced Unlicensed Assistant nor be subject to the payment of any renewal fees. When the licensee or certificate holder desires to resume practice, such licensee or certificate holder shall meet such requirements as the Board may prescribe in its rules.&nbsp;</span></p> <p><span class="cls0">D. The Board is authorized to establish by rule fees to be charged for the purpose of implementing and enforcing the provisions of the Oklahoma Nursing Practice Act; provided, however, no single fee for an initial application for licensure or certification, or for renewal, reinstatement or return to active practice shall exceed One Hundred Twenty-five Dollars ($125.00).&nbsp;</span></p> <p><span class="cls0">E. The Executive Director shall suspend the license or certificate of a person who submits a check, money draft, or similar instrument for payment of a fee which is not honored by the financial institution named. The suspension becomes effective ten (10) days following delivery by certified mail of written notice of the dishonor and the impending suspension to the person&rsquo;s address on file. Upon notification of suspension, the person may reinstate the authorization to practice upon payment of the fees and any and all costs associated with notice and collection. The suspension shall be exempt from the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 268, &sect; 7, emerg. eff. April 13, 1953. Amended by Laws 1963, c. 204, &sect; 1, emerg. eff. June 10, 1963; Laws 1978, c. 235, &sect; 2, eff. Jan. 1, 1979; Laws 1981, c. 314, &sect; 5, eff. July 1, 1981; Laws 1991, c. 104, &sect; 6, eff. Sept. 1, 1991; Laws 1994, c. 97, &sect; 3, eff. July 1, 1994; Laws 1996, c. 186, &sect; 6, eff. Nov. 1, 1996; Laws 1997, c. 250, &sect; 9, eff. Nov. 1, 1997; Laws 2001, c. 254, &sect; 6, eff. Nov. 1, 2001; Laws 2003, c. 190, &sect; 4, eff. Nov. 1, 2003; Laws 2011, c. 101, &sect; 6, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.8. Denial, revocation or suspension of license or certification - Administrative penalties.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Board of Nursing shall have the power to take any or all of the following actions:&nbsp;</span></p> <p><span class="cls0">1. To deny, revoke or suspend any:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;licensure to practice as a Licensed Practical Nurse,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensure to practice as a Registered Nurse,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;licensure to practice as an Advanced Practice Registered Nurse,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certification to practice as an Advanced Unlicensed Assistant,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;authorization for prescriptive authority, or&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;authority to order, select, obtain and administer drugs;&nbsp;</span></p> <p><span class="cls0">2. To assess administrative penalties; and&nbsp;</span></p> <p><span class="cls0">3. To otherwise discipline applicants, licensees or Advanced Unlicensed Assistants.&nbsp;</span></p> <p><span class="cls0">B. The Board shall impose a disciplinary action against the person pursuant to the provisions of subsection A of this section upon proof of one or more of the following items. The person:&nbsp;</span></p> <p><span class="cls0">1. Is guilty of deceit or material misrepresentation in procuring or attempting to procure:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a license to practice registered nursing, licensed practical nursing, or recognition to practice advanced practice registered nursing, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;certification as an Advanced Unlicensed Assistant;&nbsp;</span></p> <p><span class="cls0">2. Is guilty of a felony, or any offense reasonably related to the qualifications, functions or duties of any licensee or Advanced Unlicensed Assistant, or any offense an essential element of which is fraud, dishonesty, or an act of violence, or for any offense involving moral turpitude, whether or not sentence is imposed, or any conduct resulting in the revocation of a deferred or suspended sentence or probation imposed pursuant to such conviction;&nbsp;</span></p> <p><span class="cls0">3. Fails to adequately care for patients or to conform to the minimum standards of acceptable nursing or Advanced Unlicensed Assistant practice that, in the opinion of the Board, unnecessarily exposes a patient or other person to risk of harm;&nbsp;</span></p> <p><span class="cls0">4. Is intemperate in the use of alcohol or drugs, which use the Board determines endangers or could endanger patients;&nbsp;</span></p> <p><span class="cls0">5. Exhibits through a pattern of practice or other behavior actual or potential inability to practice nursing with sufficient knowledge or reasonable skills and safety due to impairment caused by illness, use of alcohol, drugs, chemicals or any other substance, or as a result of any mental or physical condition, including deterioration through the aging process or loss of motor skills, mental illness, or disability that results in inability to practice with reasonable judgment, skill or safety; provided, however, the provisions of this paragraph shall not be utilized in a manner that conflicts with the provisions of the Americans with Disabilities Act;&nbsp;</span></p> <p><span class="cls0">6. Has been adjudicated as mentally incompetent, mentally ill, chemically dependent or dangerous to the public or has been committed by a court of competent jurisdiction, within or without this state;&nbsp;</span></p> <p><span class="cls0">7. Is guilty of unprofessional conduct as defined in the rules of the Board;&nbsp;</span></p> <p><span class="cls0">8. Is guilty of any act that jeopardizes a patient's life, health or safety as defined in the rules of the Board;&nbsp;</span></p> <p><span class="cls0">9. Violated a rule promulgated by the Board, an order of the Board, or a state or federal law relating to the practice of registered, practical or advanced practice registered nursing or advanced unlicensed assisting, or a state or federal narcotics or controlled dangerous substance law;&nbsp;</span></p> <p><span class="cls0">10. Has had disciplinary actions taken against the individual's registered or practical nursing license, advanced unlicensed assistive certification, or any professional or occupational license, registration or certification in this or any state, territory or country;&nbsp;</span></p> <p><span class="cls0">11. Has defaulted from the Peer Assistance Program for any reason;&nbsp;</span></p> <p><span class="cls0">12. Fails to maintain professional boundaries with patients, as defined in the Board rules; or&nbsp;</span></p> <p><span class="cls0">13. Engages in sexual misconduct, as defined in Board rules, with a current or former patient or key party, inside or outside the health care setting.&nbsp;</span></p> <p><span class="cls0">C. Any person who supplies the Board information in good faith shall not be liable in any way for damages with respect to giving such information.&nbsp;</span></p> <p><span class="cls0">D. The Board may cause to be investigated all reported violations of the Oklahoma Nursing Practice Act.&nbsp;</span></p> <p><span class="cls0">E. The Board may authorize the executive director to issue a confidential letter of concern to a licensee when evidence does not warrant formal proceedings, but the executive director has noted indications of possible errant conduct that could lead to serious consequences and formal action.&nbsp;</span></p> <p><span class="cls0">F. All individual proceedings before the Board shall be conducted in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">G. At a hearing the accused shall have the right to appear either personally or by counsel, or both, to produce witnesses and evidence on behalf of the accused, to cross-examine witnesses and to have subpoenas issued by the designated Board staff. If the accused is found guilty of the charges the Board may refuse to issue a renewal of license to the applicant, revoke or suspend a license, or otherwise discipline a licensee.&nbsp;</span></p> <p><span class="cls0">H. A person whose license is revoked may not apply for reinstatement during the time period set by the Board. The Board on its own motion may at any time reconsider its action.&nbsp;</span></p> <p><span class="cls0">I. Any person whose license is revoked or who applies for renewal of registration and who is rejected by the Board shall have the right to appeal from such action pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">J. 1. Any person who has been determined by the Board to have violated any provisions of the Oklahoma Nursing Practice Act or any rule or order issued pursuant thereto shall be liable for an administrative penalty not to exceed Five Hundred Dollars ($500.00) for each count for which any holder of a certificate or license has been determined to be in violation of the Oklahoma Nursing Practice Act or any rule promulgated or order issued pursuant thereto.&nbsp;</span></p> <p><span class="cls0">2. The amount of the penalty shall be assessed by the Board pursuant to the provisions of this section, after notice and an opportunity for hearing is given to the accused. In determining the amount of the penalty, the Board shall include, but not be limited to, consideration of the nature, circumstances, and gravity of the violation and, with respect to the person found to have committed the violation, the degree of culpability, the effect on ability of the person to continue to practice, and any show of good faith in attempting to achieve compliance with the provisions of the Oklahoma Nursing Practice Act.&nbsp;</span></p> <p><span class="cls0">K. The Board shall retain jurisdiction over any person issued a license, certificate or temporary license pursuant to this act, regardless of whether the license, certificate or temporary license has expired, lapsed or been relinquished during or after the alleged occurrence or conduct prescribed by this act.&nbsp;</span></p> <p><span class="cls0">L. In the event disciplinary action is imposed, any person so disciplined shall be responsible for any and all costs associated with satisfaction of the discipline imposed.&nbsp;</span></p> <p><span class="cls0">M. In the event disciplinary action is imposed in an administrative proceeding, the Board shall have the authority to recover the monies expended by the Board in pursuing any disciplinary action, including but not limited to costs of investigation, probation or monitoring fees, administrative costs, witness fees, attorney fees and court costs. This authority shall be in addition to the Board's authority to impose discipline as set out in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">N. The Executive Director shall immediately suspend the license of any person upon proof that the person has been sentenced to a period of continuous incarceration serving a penal sentence for commission of a misdemeanor or felony. The suspension shall remain in effect until the Board acts upon the licensee's written application for reinstatement of the license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 268, &sect; 8, emerg. eff. April 13, 1953. Amended by Laws 1981, c. 314, &sect; 6, eff. July 1, 1981; Laws 1991, c. 104, &sect; 7, eff. Sept. 1, 1991; Laws 1994, c. 97, &sect; 4, eff. July 1, 1994; Laws 1996, c. 186, &sect; 7, eff. Nov. 1, 1996; Laws 1996, c. 288, &sect; 3, eff. Nov. 1, 1996; Laws 2000, c. 187, &sect; 1, eff. Nov. 1, 2000; Laws 2001, c. 254, &sect; 7, eff. Nov. 1, 2001; Laws 2003, c. 190, &sect; 5, eff. Nov. 1, 2003; Laws 2011, c. 101, &sect; 7, eff. Nov. 1, 2011; Laws 2013, c. 228, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1996, c. 136, &sect; 2 repealed by Laws 1996, c. 288, &sect; 9, eff. Nov. 1, 1996.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59567.9. Violation of act Penalty.&nbsp;</span></p> <p><span class="cls0">Except for subsection C of Section 567.5 of this title and subsection D of Section 567.6 of this title, any person violating any of the provisions of this act shall be guilty of a misdemeanor, punishable by a fine of not less than One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">The writ of injunction without bond, is also made available to the Board for the enforcement of this act.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Laws 1953, p. 269, &sect; 9; Laws 1991, c. 104, &sect; 8, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.10. Repealed by Laws 1991, c. 104, &sect; 14, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-567.11. Exceptions to application of act.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Nursing Practice Act shall not be construed to affect or apply to:&nbsp;</span></p> <p><span class="cls0">1. Gratuitous nursing of the sick by friends or members of the family;&nbsp;</span></p> <p><span class="cls0">2. Any nurse who has an active, unencumbered license in another state or territory who is physically present in this state on a nonroutine, nonregular basis for a period not to exceed seven (7) consecutive days in any given year;&nbsp;</span></p> <p><span class="cls0">3. The practice of nursing which is associated with a program of study by students enrolled in nursing education programs approved by the Board;&nbsp;</span></p> <p><span class="cls0">4. Persons trained and competency-certified to provide care pursuant to state or federal law, rules or regulations;&nbsp;</span></p> <p><span class="cls0">5. The practice of any legally qualified nurse of another state who is employed by the United States Government or any bureau, division or agency thereof, while in the discharge of his or her official duties;&nbsp;</span></p> <p><span class="cls0">6. The rendering of service by a physician's trained assistant under the direct supervision and control of a licensed physician, all as authorized by Section 492 of this title;&nbsp;</span></p> <p><span class="cls0">7. The practice of nursing in connection with healing by prayer or spiritual means alone in accordance with the tenets and practice of any well-recognized church or religious denomination provided that no person practicing such nursing holds himself out to be a graduate or registered nurse or licensed practical nurse; or&nbsp;</span></p> <p><span class="cls0">8. A nurse who has an active, unencumbered license from another state or territory, who has no health-related license in a disciplinary status, and who is relocating to this state pursuant to a spouse's official military orders; provided, that this exemption from this act shall continue for one hundred twenty (120) days after the nurse has submitted an application and fees for licensure to the Board prior to employment in this state and has furnished to the employer satisfactory evidence of current, unencumbered licensure in another state or territory.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 270, &sect; 11, emerg. eff. April 13, 1953. Amended by Laws 1967, c. 42, &sect; 4, emerg. eff. March 28, 1967; Laws 1981, c. 314, &sect; 7, eff. July 1, 1981; Laws 1991, c. 104, &sect; 9, eff. Sept. 1, 1991; Laws 1994, c. 97, &sect; 5, eff. July 1, 1994; Laws 2011, c. 101, &sect; 8, eff. Nov. 1, 2011.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.12. Approved programs for registered and practical nurses.&nbsp;</span></p> <p><span class="cls0">A. To qualify in this state as an approved program for registered nurses, the program must be conducted in the State of Oklahoma in an accredited college or university leading to an associate, baccalaureate, or higher degree in nursing. Such programs shall meet the standards fixed by the Oklahoma Board of Nursing and prescribed in its rules.&nbsp;</span></p> <p><span class="cls0">B. To qualify in this state as an approved program for practical nurses, the program shall be conducted in this state in a school or skill center approved by the Oklahoma Department of Career and Technology Education or licensed by the Oklahoma Board of Private Vocational Schools. Such programs shall meet the standards fixed by the Oklahoma Board of Nursing as prescribed in its rules, which shall conform to the provisions of this subsection.&nbsp;</span></p> <p><span class="cls0">1. The nursing education program for practical nurses shall be administered by a licensed practical nurse coordinator who:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;is a registered nurse with a minimum of an associate degree or diploma in nursing currently licensed in Oklahoma,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;has a minimum of a baccalaureate degree, preferably in nursing,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;has a minimum of two (2) years full-time-equivalent practice as a registered nurse in a clinical setting, within the last five (5) years preceding the first date of first employment as a teacher, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;has at least one (1) academic year, full-time experience in a nursing education program.&nbsp;</span></p> <p><span class="cls0">2. All nurse faculty of a nursing program for practical nurses shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;hold a valid license to practice as a registered nurse with a minimum of an associate degree or diploma in nursing in this state, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;present evidence of a minimum of two (2) years full-time-equivalent practice as a registered nurse in a clinical setting, within the last five (5) years preceding the first date of first employment as a teacher.&nbsp;</span></p> <p><span class="cls0">3. Nursing faculty who teach in programs offering the certificate in practical nursing shall have completed at least fifteen (15) semester hours in nursing, general education, social sciences, physical sciences or counseling and guidance. These credits shall be in addition to the pre-service basic program in nursing unless the person holds a baccalaureate degree in nursing.&nbsp;</span></p> <p><span class="cls0">4. Schools shall establish the baccalaureate degree as minimum preparation for teaching and a nurse faculty member shall have a written plan for obtaining a baccalaureate degree, preferably in nursing.&nbsp;</span></p> <p><span class="cls0">5. Faculty employed in schools conducted by public comprehensive high school systems shall meet the requirements for teacher certification established by the State Department of Education.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 270, &sect; 12, emerg. eff. April 13, 1953. Amended by Laws 1967, c. 46, &sect; 2, emerg. eff. April 10, 1967; Laws 1991, c. 104, &sect; 10, eff. Sept. 1, 1991; Laws 1992, c. 141, &sect; 1, emerg. eff. May 1, 1992; Laws 2001, c. 33, &sect; 47, eff. July 1, 2001; Laws 2001, c. 254, &sect; 8, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.12a. Advanced Practice Registered Nurse education programs - Requirements.&nbsp;</span></p> <p><span class="cls0">A. Effective January 1, 2016, advanced practice registered nursing education programs that the applicant has successfully completed must meet the following requirements to be considered for approval by the Board:&nbsp;</span></p> <p><span class="cls0">1. The education program must be a graduate-level program offered by a university accredited by an accrediting body that is recognized by the U.S. Secretary of Education or the Council for Higher Education Accreditation;&nbsp;</span></p> <p><span class="cls0">2. The program holds accreditation or holds candidacy, pre-accreditation, or applicant status for accreditation from the National League for Nursing Accrediting Commission, the Commission on Collegiate Nursing Education, the American College of Nurse-Midwives Division on Accreditation, or the American Association of Nurse Anesthetists&rsquo; Council on Accreditation of Nurse Anesthesia Educational Programs; and&nbsp;</span></p> <p><span class="cls0">3. The curriculum of the program must prepare the graduate to practice in one of the four identified advanced practice registered nurse roles and in at least one of the six population foci.&nbsp;</span></p> <p><span class="cls0">B. The Board shall, by administrative rules, set requirements for approval of advanced practice registered nursing education programs, approve such programs as meet the requirements, and identify the process for determining program compliance with standards.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 101, &sect; 9, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59567.13. Survey of nursing programs - Reports - Failure of approved program to maintain standards.&nbsp;</span></p> <p><span class="cls0">It shall be the duty of the Board, its Executive Director, or other registered nurse employees, to survey all programs of nursing in the state as prescribed in its rules. Written reports of each survey shall be submitted to the Board. If the Board determines that any designated state-approved program of nursing is not maintaining the standards required by this act, a warning notice thereof in writing specifying the criteria that the program has not met shall be immediately given to the program by the Board. The program that fails to correct these conditions to the satisfaction of the Board within a period of one (1) year shall be discontinued as a state-approved program.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Laws 1953, p. 270, &sect; 13; Laws 1991, c. 104, &sect; 11, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.14. Practice without compliance with act prohibited - Insignia or badge.&nbsp;</span></p> <p><span class="cls0">A. No person shall practice or offer to practice registered nursing, practical nursing, or advanced practice nursing in this state unless the person has complied with the provisions of the Oklahoma Nursing Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Any person licensed or certified by the Oklahoma Board of Nursing who provides direct care to patients shall, while on duty, wear an insignia or badge identifying the license or certification issued to such person by the Board. The Board shall promulgate rules to enact the provisions of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 271, &sect; 14, emerg. eff. April 13, 1953. Amended by Laws 1967, c. 42, &sect; 5, emerg. eff. March 28, 1967; Laws 1991, c. 104, &sect; 12, eff. Sept. 1, 1991; Laws 1996, c. 186, &sect; 8, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59567.15. Temporary licenses to nurses from other states.&nbsp;</span></p> <p><span class="cls0">The Board may issue temporary licenses to nurses from other states upon proper application stating the purpose of said licenses; provided no temporary license may be issued for more than ninety (90) days. Temporary license may be renewed at the discretion of the Board but shall not extend over a period longer than one (1) year.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1953, p. 271, &sect; 15. &nbsp;</span></p> <p><span class="cls0">&sect;59-567.16. Repealed by Laws 1991, c. 104, &sect; 14, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-567.16a. Establishing advisory committees.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Board of Nursing may establish advisory committees as necessary to assist the Board in its efforts to protect the health and welfare of the citizens.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Added by Laws 1991, c. 104, &sect; 13, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.17. Peer assistance program.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established a peer assistance program to rehabilitate nurses whose competency may be compromised because of the abuse of drugs or alcohol, so that such nurses can be treated and can return to or continue the practice of nursing in a manner which will benefit the public. The program shall be under the supervision and control of the Oklahoma Board of Nursing.&nbsp;</span></p> <p><span class="cls0">B. The Board shall appoint one or more peer assistance evaluation advisory committees hereinafter called the "peer assistance committees". Each of these committees shall be composed of members, the majority of which shall be licensed nurses with expertise in chemical dependency. The peer assistance committees shall function under the authority of the Oklahoma Board of Nursing in accordance with the rules of the Board. The committee members shall serve without pay, but may be reimbursed for the expenses incurred in the discharge of their official duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">C. The Board shall appoint and employ a qualified person, who shall be a registered nurse, to serve as program coordinator and shall fix such person's compensation. The Board shall define the duties of the program coordinator who shall report directly to the Executive Director of the Board and be subject to the Executive Director's direction and control.&nbsp;</span></p> <p><span class="cls0">D. The Board is authorized to adopt and revise rules, not inconsistent with the Oklahoma Nursing Practice Act, as may be necessary to enable it to carry into effect the provisions of this section.&nbsp;</span></p> <p><span class="cls0">E. A portion of licensing fees for each nurse not to exceed Ten Dollars ($10.00) may be used to implement and maintain the peer assistance program.&nbsp;</span></p> <p><span class="cls0">F. Records of the nurse enrolled in the peer assistance program shall be maintained in the program office in a place separate and apart from the Board's records. The records shall be made public only by subpoena and court order; provided, however, confidential treatment shall be cancelled upon default by the nurse in complying with the requirements of the program.&nbsp;</span></p> <p><span class="cls0">G. Any person making a report to the Board or to a peer assistance committee regarding a nurse suspected of practicing nursing while habitually intemperate or addicted to the use of habit-forming drugs, or a nurse's progress or lack of progress in rehabilitation, shall be immune from any civil or criminal action resulting from such reports, provided such reports are made in good faith.&nbsp;</span></p> <p><span class="cls0">H. A nurse's participation in the peer assistance program in no way precludes additional proceedings by the Board for acts or omissions of acts not specifically related to the circumstances resulting in the nurse's entry into the program. However, in the event the nurse defaults from the program, the Board may discipline the nurse for those acts which led to the nurse entering the program.&nbsp;</span></p> <p><span class="cls0">I. The Executive Director of the Board shall suspend the license immediately upon notification that the licensee has defaulted from the peer assistance program, and shall assign a hearing date for the matter to be presented to the Board.&nbsp;</span></p> <p><span class="cls0">J. Any person who enters the peer assistance program voluntarily or otherwise shall be responsible for any and all costs associated with participation in the peer assistance program.&nbsp;</span></p> <p><span class="cls0">K. A nurse may apply to participate in the peer assistance program by choice or may be directed to apply to the program by an order of the Board. In either case, conditions shall be placed on the nurse&rsquo;s license to practice nursing during the period of participation in the peer assistance program.&nbsp;</span></p> <p><span class="cls0">L. As used in this section, unless the context otherwise requires:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Oklahoma Board of Nursing; and&nbsp;</span></p> <p><span class="cls0">2. "Peer assistance committee" means the peer assistance evaluation advisory committee created in this section, which is appointed by the Oklahoma Board of Nursing to carry out specified duties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 97, &sect; 6, eff. July 1, 1994. Amended by Laws 2003, c. 190, &sect; 6, eff. Nov. 1, 2003; Laws 2011, c. 101, &sect; 10, eff. Nov. 1, 2011.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-567.18. Criminal history records and background checks.&nbsp;</span></p> <p><span class="cls0">A. The criminal background check shall include a criminal history records search conducted by the Oklahoma State Bureau of Investigation that is not more than ninety (90) days old.&nbsp;</span></p> <p><span class="cls0">B. Contingent upon available resources by the Board, all criminal background checks effective January 1, 2013, are subject to the following:&nbsp;</span></p> <p><span class="cls0">1. Submission of a full set of fingerprints to the Board for the purpose of permitting a state and federal criminal history records search pursuant to Section 150.9 of Title 74 of the Oklahoma Statutes and Public Law 92-544 that is not more than ninety (90) days old. The Oklahoma State Bureau of Investigation may exchange these fingerprints with the Federal Bureau of Investigation;&nbsp;</span></p> <p><span class="cls0">2. The applicant shall furnish the Board fingerprints as established by Board rules and a money order or cashier's check made payable to the Oklahoma State Bureau of Investigation or the Board's designated vendor;&nbsp;</span></p> <p><span class="cls0">3. The Board shall forward the fingerprints along with the applicable fee for a national fingerprint criminal history records search to the Bureau;&nbsp;</span></p> <p><span class="cls0">4. The Bureau shall retain one set of fingerprints in the Automated Fingerprint Identification System and submit the other set to the FBI for a national criminal history records search;&nbsp;</span></p> <p><span class="cls0">5. Any and all state and federal criminal history record information obtained by the Board from the Bureau or the FBI which is not already a matter of public record shall be deemed nonpublic. The confidential information shall be restricted to the exclusive use of the Board, its members, officers, investigators, agents, and attorneys in evaluating the applicant's eligibility or disqualification for licensure; and&nbsp;</span></p> <p><span class="cls0">6. Fingerprint images may be rejected by the OSBI and the FBI for a variety of reasons, including, but not limited to, fingerprint quality or an inability by the OSBI or FBI to classify the fingerprints. These rejections require the applicant to be fingerprinted again. Applicants with fingerprints rejected for improper registration will be required to re-register, re-pay and be re-fingerprinted. Applicant is responsible for insuring and verifying that all data is correct in the fingerprinting process.&nbsp;</span></p> <p><span class="cls0">C. The necessary steps to initiate the criminal background checks may be performed by the Board or its designated vendor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 101, &sect; 11, eff. Nov. 11, 2011. Amended by Laws 2013, c. 228, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.19. Rescission or withdrawal of license.&nbsp;</span></p> <p><span class="cls0">If a license is issued pursuant to this act to a person not entitled under this act to be licensed, the Executive Director may rescind or withdraw the license instanter, pending the final outcome of proceedings. In such cases, the Executive Director shall notify the licensee of such action by certified mail, return receipt requested, and shall include in such notice a provision that the licensee may request a hearing concerning the emergency action and opportunity to show that the license should be reinstated.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 101, &sect; 12, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-567.51. Repealed by Laws 1991, c. 104, &sect; 15, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-575. Repealed by Laws 2004, c. 92, &sect; 3, eff. July 1, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-576. Repealed by Laws 2004, c. 92, &sect; 4, eff. July 1, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-577.1. Repealed by Laws 1991, c. 104, &sect; 16, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-577.2. Repealed by Laws 1991, c. 104, &sect; 16, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-577.3. Repealed by Laws 1991, c. 104, &sect; 16, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-577.4. Repealed by Laws 1991, c. 104, &sect; 16, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-577.5. Repealed by Laws 1991, c. 104, &sect; 16, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-577.6. Repealed by Laws 1991, c. 104, &sect; 16, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-581. Practice of optometry - Definition.&nbsp;</span></p> <p><span class="cls0">A. The practice of optometry is defined to be the science and art of examining the human eye and measurement of the powers of vision by the employment of any means, including the use or furnishing of any self-testing device, the use of any computerized or automatic refracting device, the use of pharmaceutical agents, the diagnosis of conditions of the human eye, and the correcting and relief of ocular abnormalities by means including but not limited to prescribing and adaptation of lenses, contact lenses, spectacles, eyeglasses, prisms and the employment of vision therapy or orthoptics for the aid thereof, low vision rehabilitation, laser surgery procedures, excluding retina, laser in-situ keratomileusis (LASIK), and cosmetic lid surgery. The practice of optometry is further defined to be nonlaser surgery procedures as authorized by the Oklahoma Board of Examiners in Optometry, pursuant to rules promulgated under the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">B. The practice of optometry shall also include the prescribing of dangerous drugs and controlled dangerous substances for all schedules specified in the Uniform Controlled Dangerous Substances Act except Schedules I and II for the purpose of diagnosis and treatment of ocular abnormalities. The practice of optometry shall not include the dispensing of drugs but may include the dispensing of professional samples to patients.&nbsp;</span></p> <p><span class="cls0">C. Optometrists shall be certified by the Board of Examiners in Optometry prior to administering drugs, prescribing drugs, or performing laser or nonlaser surgery procedures.&nbsp;</span></p> <p><span class="cls0">D. Nothing in this title shall be construed as allowing any agency, board, or other entity of this state other than the Board of Examiners in Optometry to determine what constitutes the practice of optometry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1927, c. 80, p. 119, &sect; 1, emerg. eff. March 22, 1927. Amended by Laws 1937, p. 95, &sect; 1, emerg. eff. April 2, 1937; Laws 1981, c. 10, &sect; 1, eff. Oct. 1, 1981; Laws 1994, c. 52, &sect; 1; Laws 1998, c. 8, &sect; 1, eff. Nov. 1, 1998; Laws 2004, c. 171, &sect; 2, emerg. eff. April 28, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-582. Board of Examiners in Optometry - Re-creation - Vacancies - Qualifications - Term of members.&nbsp;</span></p> <p><span class="cls0">There is hereby re-created, to continue until July 1, 2016, in accordance with the provisions of the Oklahoma Sunset Law, the Board of Examiners in Optometry. This Board shall consist of five (5) persons, four of whom shall possess sufficient knowledge of theoretical and practical optics to practice optometry, be duly licensed as optometrists, and who shall have been residents of this state actually engaged in the practice of optometry for at least five (5) years. The term of each licensed optometrist member of the Board, one being appointed each year, shall be five (5) years, or until a qualified successor is appointed. The lay member of the Board shall serve a term coterminous with that of the Governor and shall serve at the pleasure of the Governor. The Governor is hereby authorized to appoint a member of the Board of Examiners in Optometry at the expiration of any term or whenever, for any reason, a vacancy may occur on said Board. Vacancies shall be filled for the unexpired term only.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1927, c. 80, p. 119, &sect; 2, emerg. eff. March 22, 1927. Amended by Laws 1982, c. 225, &sect; 1, operative Oct. 1, 1982; Laws 1988, c. 225, &sect; 10; Laws 1994, c. 113, &sect; 1, eff. July 1, 1994; Laws 2000, c. 98, &sect; 1; Laws 2006, c. 53, &sect; 1; Laws 2012, c. 65, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59583. Rules and regulations Administering oaths and taking testimony Officers Meetings Quorum Code of ethics Branch offices.&nbsp;</span></p> <p><span class="cls0">Said Board of Examiners shall make such rules and regulations, not inconsistent with the laws, as may be necessary to the performance of its duties, and each member thereof may administer oaths, or take testimony concerning any matter within the jurisdiction of the Board. It shall organize by selecting one of its members as president, one as vicepresident, and one as secretary and treasurer (the latter to give bond, approved by the Governor), and shall meet at least twice a year, and at such place or places as it may select. A majority of the Board present shall constitute a quorum, and its meetings shall at all times be open to the public. The Board may adopt a code of ethics for the practice of Optometry. A licensed optometrist may establish a practice in not more than two office locations in accordance with rules and regulations established by the Board of Examiners in Optometry. Practice in a governmental institution shall not be counted as one of these locations. Each office shall be registered by the Board and shall maintain such equipment and personnel as required by the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 72, &sect; 1, emerg. eff. May 16, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-584. Qualifications of applicants Examination Registration Certificates to practice to persons from other states.&nbsp;</span></p> <p><span class="cls0">Every person desiring to commence the practice of optometry after the passage of this act except as hereinafter provided, upon presentation of satisfactory evidence, verified by oath, that he is more than twentyone (21) years of age and of good moral character and has met the undergraduate requirements and is a graduate of an accredited school of optometry, conferring the degree of Doctor of Optometry or its equivalent, shall, upon application, be examined by the Board of Examiners to determine his or her qualifications, and such examination shall be based upon the subjects taught in the standard schools and colleges of optometry, such as general and ocular pharmacology, anatomy of the eyes, use of the ophthalmoscope, retinoscope and the use of trial lenses, general anatomy, physiology, physics, chemistry, biology, bacteriology, ocular pathology, ocular neurology, ocular myology, psychology, physiological optics, optometrical mechanics, clinical optometry, visual field charting and orthoptics, the general laws of optics and refraction, as is essential to the practice of optometry. Every candidate successfully passing such examination shall be registered by the Board as possessing the qualifications as required by Section 581 et seq. of this title and shall receive from the Board a certificate thereof. Every optometrist desiring to use dangerous drugs and controlled dangerous substances as specified in Section 1 of this act shall have satisfactorily completed courses in general and ocular pharmacology at an institution accredited by the Council on PostSecondary Accreditation or the United States Department of Education. The Board of Examiners in Optometry shall approve such courses and shall certify those qualified by such training to use dangerous drugs and controlled dangerous substances as specified in Section 1 of this act. The use of any such pharmaceuticals by an optometrist or the obtaining of same by an optometrist shall be unlawful unless said optometrist is in possession of a current certificate as provided in this section. Such optometrist shall furnish evidence to any pharmacist or other supplier from whom such pharmaceuticals are sought as to his holding a current certificate. The Board may, in its discretion, issue said certificates to practice, to persons otherwise qualified under this act, who have established by legal proof their knowledge of optometry, as shown by previous examination in any state of the Union; provided, the examination in said state was, at the time taken, of an equal standard with that of this state; provided, further, that citizens of this state are by the statutes of said state, admitted to practice on like conditions.&nbsp;</span></p> <p><span class="cls0">Laws 1927, c. 80, p. 119, &sect; 4, emerg. eff. March 22, 1927; Laws 1937, p. 95, &sect; 2, emerg. eff. April 2, 1937; Laws 1981, c. 10, &sect; 2; Laws 1994, c. 52, &sect; 2, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59585. Revocation or suspension of certificate Grounds Unprofessional and unethical conduct defined Practice under own name Notice and hearing of revocation or suspension Reissuance of certificate Outofstate revocation or suspension.&nbsp;</span></p> <p><span class="cls0">A. The Board shall have the power to revoke or suspend any certificate granted by it pursuant to the provisions of this chapter, for fraud, conviction of crime, unprofessional and unethical conduct, habitual drunkenness, exorbitant charges, false representation of goods, gross incompetency, contagious disease, any violation of any rule or regulation promulgated by the Board pursuant to the provisions of this chapter or any violation of this chapter. The following acts shall be deemed by the Board as unprofessional and unethical conduct:&nbsp;</span></p> <p><span class="cls0">1. Employment by a licensed optometrist of any person to solicit from house to house the sale of lenses, frames, spectacles, or optometric services or examinations; and&nbsp;</span></p> <p><span class="cls0">2. Selling, advertising, or soliciting the sale of spectacles, eyeglasses, lenses, frames, mountings, eye examinations, or optometric services by housetohouse canvassing either in person or through solicitors; and&nbsp;</span></p> <p><span class="cls0">3. Acceptance of employment, either directly or indirectly, by a licensed optometrist from an unlicensed optometrist or person engaged in any profession or business or owning or operating any profession or business to assist it, him, or them in practicing optometry in this state; and&nbsp;</span></p> <p><span class="cls0">4. Publishing or displaying, or knowingly causing or permitting to be published or displayed by newspaper, radio, television, window display, poster, sign, billboard, or any other advertising media any statement or advertisement of any price or fee offered or charged by an optometrist for any optometric services or materials including lenses, frames, eyeglasses, or spectacles or parts thereof, including statements or advertisements of discount, premium, or gifts, if said statements or advertisements are fraudulent, deceitful, misleading or in any manner whatsoever tend to create a misleading impression or are likely to mislead or deceive because in context said statements or advertisements make only a partial disclosure of relevant facts; and&nbsp;</span></p> <p><span class="cls0">5. No person shall practice optometry under any name other than the proper name of said person and it shall be the same name as used in the license issued by the Board of Examiners to said person. Before any certificate is revoked or suspended, the holder thereof shall be provided with notice and hearing as provided for in the Administrative Procedures Act, Sections 301 through 326 of Title 75 of the Oklahoma Statutes. The Board, after the expiration of the period of three (3) months after the date of said revocation, may entertain application for the reissuance of said revoked certificate and may reissue said certificate upon payment of a reinstatement fee not to exceed three times the annual renewal fee. The Board shall have the right to promulgate such rules and regulations as may be necessary to put into effect the provisions of this chapter. Said rules may prescribe which acts are detrimental to the general public health or welfare and may prescribe a minimum standard of sanitation, hygiene, and professional surroundings, and which acts constitute unprofessional or unethical conduct. Said conduct shall be grounds for revocation or suspension of the license or certificate issued pursuant to the provisions of Section 584 of this title.&nbsp;</span></p> <p><span class="cls0">B. If an outofstate license or certificate of an optometrist who also holds an Oklahoma license or certificate is suspended or revoked for any reason, his Oklahoma license may come under review by the Board. Should the outofstate suspension or revocation be on grounds the same or similar to grounds for suspension or revocation in Oklahoma, the Board, after notice and hearing pursuant to the provisions of this section, may suspend or revoke the certificate of said optometrist to practice in Oklahoma.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1983, c. 14, &sect; 1, emerg. eff. March 25, 1983. &nbsp;</span></p> <p><span class="cls0">&sect;59586. Display of certificates - Exhibition upon demand.&nbsp;</span></p> <p><span class="cls0">Every person practicing optometry shall display his certificate of registration or exemption in a conspicuous place, and whenever required exhibit such certificate to said Board of Examiners or its authorized representatives.&nbsp;</span></p> <p><span class="cls0">Laws 1927, c. 80, p. 120, &sect; 6. Amended by Laws 1990, c. 163, &sect; 6, eff. Sept. 1, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-587. Examinations - Fees - Compensation and expenses - Optometry Board Revolving Fund.&nbsp;</span></p> <p><span class="cls0">The fee for such examinations shall be set by rules promulgated by the Board of Examiners in Optometry, not to be less than One Hundred Dollars ($100.00) and not to exceed Two Hundred Dollars ($200.00), and a yearly license fee set by rules promulgated by the Board of Examiners in Optometry, not to exceed Three Hundred Dollars ($300.00), shall be paid each fiscal year by all persons holding a license to practice optometry in this state, and shall be paid not later than the 30th day of June of each year. In the event of default of payment of such license fee by any person, his or her certificate shall be revoked by the Board of Examiners who shall take such action only after notifying the person in default by registered mail and allowing that person fifteen (15) days in which to comply with this requirement. The Board shall be paid travel expenses as provided in the State Travel Reimbursement Act, Section 500.1 et seq. of Title 74 of the Oklahoma Statutes. The secretary-treasurer shall receive compensation fixed by the Board, not to exceed Two Hundred Dollars ($200.00) per month. All fees and charges collected by the secretary-treasurer of the Board shall be paid on the first day of each month into a revolving fund in the State Treasury to be designated as the "Optometry Board Revolving Fund". This fund shall consist of all monies received by the Board of Optometry other than appropriated funds. The revolving fund shall be a continuing fund not subject to fiscal year limitations and shall be under the control and management of the Board of Optometry. Expenditures from this fund shall be made pursuant to the purposes of Sections 581 through 606 of this title and without legislative approval. Warrants for expenditures shall be drawn by the State Treasurer based on claims signed by an authorized employee or employees of the Board of Optometry and approved for payment by the Director of the Office of Management and Enterprise Services.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1927, c. 80, p. 120, &sect; 7, emerg. eff. March 22, 1927. Amended by Laws 1965, c. 89, &sect; 1, emerg. eff. May 5, 1965; Laws 1980, c. 8, &sect; 1, emerg. eff. March 3, 1980; Laws 1982, c. 225, &sect; 2, operative Oct. 1, 1982; Laws 1985, c. 178, &sect; 35, operative July 1, 1985; Laws 1994, c. 113, &sect; 2, eff. July 1, 1994; Laws 2009, c. 321, &sect; 26, eff. Nov. 1, 2009; Laws 2010, c. 413, &sect; 18, eff. July 1, 2010; Laws 2012, c. 304, &sect; 265.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59588. Practice by unauthorized person Impersonating optometrist Evidence of violations Penalties Students and instructors.&nbsp;</span></p> <p><span class="cls0">A. No person shall practice optometry in this state or make any tests or measurements of the human eye for diagnostic purposes unless said person has been issued a certificate pursuant to the provisions of Section 584 of this title or is a physician or surgeon authorized to practice medicine in this state. No person shall impersonate a registered optometrist. No person shall buy, sell or obtain in any manner a certificate of registration or exemption issued to another. Practicing or offering to practice optometry, or the public representation of being qualified to practice optometry, by any person not authorized to practice optometry shall be sufficient evidence of the violation of the provisions of Sections 581 through 604 of this title. No optometrist shall aid or abet any person not authorized to practice optometry in this state to practice optometry. Any person who violates any of the provisions of Sections 581 through 604 of this title shall be deemed guilty of a misdemeanor, and upon conviction for each offense, shall be punished by a fine of not less than Fifty Dollars ($50.00), nor more than Five Hundred Dollars ($500.00), or imprisonment in the county jail not less than thirty (30) days, nor more than ninety (90) days, or by both said fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. Nothing in the provisions of Sections 581 through 604 of this title shall prohibit the performance of routine visual screening by a person not licensed to practice optometry in this state. Nothing in this section shall prohibit an optometry student officially enrolled in a college of optometry which is approved by the State Regents for Higher Education from performing educational functions within the institution or prohibit an instructor in such optometry college from practicing optometry so long as such practitioner is licensed in any state and his practice is limited to instruction of optometry students in an accredited Oklahoma college of optometry or state or federal hospital which is utilized as a teaching institution for students of optometry, provided such instructor has been issued a temporary license by the Oklahoma Board of Examiners in Optometry.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1983, c. 14, &sect; 2, emerg. eff. March 25, 1983; Laws 1985, c. 72, &sect; 2, emerg. eff. May 16, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59589. Persons excepted from statute.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall be construed to apply to dulylicensed physicians authorized to practice medicine and/or surgery under the laws of the State of Oklahoma.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1927, c. 80, p. 121, &sect; 9; Laws 1937, p. 96, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59591. Certificates previously issued valid.&nbsp;</span></p> <p><span class="cls0">The certificates of registration heretofore issued and not revoked by the Board of Examiners in Optometry prior to the passage and approval of this act, are hereby expressly declared valid and shall entitle the holder thereof to the legal right to practice optometry in the State of Oklahoma as defined herein.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1927, c. 80, p. 121, &sect; 11. &nbsp;</span></p> <p><span class="cls0">&sect;59592. Partial invalidity.&nbsp;</span></p> <p><span class="cls0">Should any section or portion of a section of this act, be, for any cause, adjudged invalid, only such section or portion of section shall be thereby affected.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1927, c. 80, p. 122, &sect; 12. &nbsp;</span></p> <p><span class="cls0">&sect;59593. Public policy.&nbsp;</span></p> <p><span class="cls0">It is the public policy of the State of Oklahoma that optometrists rendering visual care to its citizens shall practice in an ethical, professional manner; that their practices be free from any appearance of commercialism; that the visual welfare of the patient be the prime consideration at all times; and that optometrists shall not be associated with any nonprofessional person or persons in any manner which might degrade or reduce the quality of visual care received by the citizens of this state.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 92, &sect; 1, emerg. eff. April 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;59594. Practice in certain proximity to retail optical outlets prohibited.&nbsp;</span></p> <p><span class="cls0">No optometrist, licensed under Chapter 13 of Title 59 of the Oklahoma Statutes, shall practice his profession adjacent to or in such geographical proximity to a retail optical outlet, optical store, optical dispensary or any establishment where optical goods and materials are purveyed to the public so as to induce patronage for himself thereby.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 92, &sect; 2, emerg. eff. April 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;59595. Certain agreements, contracts, understandings, etc. prohibited.&nbsp;</span></p> <p><span class="cls0">No optometrist, licensed under Chapter 13 of Title 59 of the Oklahoma Statutes, shall enter into any agreement, contract, arrangement, practice, or understanding, written or otherwise, with any optical supplier engaged in the sale of optical goods and materials to the public, whereby persons are referred by the optical supplier to said licensed person, and/or whereby persons are referred back to the optical supplier for the purchase of optical goods and materials.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 92, &sect; 3, emerg. eff. April 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;59596. Certain practices in mercantile establishments prohibited.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any optometrist to render optometric care in any retail, mercantile establishment which sells merchandise to the general public; and it shall be unlawful for any person to display, dispense, sell, provide or otherwise purvey to the public, prescription eyeglasses, prescription lenses, frames or mountings for prescription lenses, within or on the premises of in any manner, any retail or mercantile establishment in which the majority of the establishment's income is not derived from the sale of such prescription optical goods and materials.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 92, &sect; 4, emerg. eff. April 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;59597. Penalties.&nbsp;</span></p> <p><span class="cls0">Violation of the provisions of this act shall be a misdemeanor. If violation hereof is by a licensed optometrist the same shall constitute grounds for revocation of such license whether or not he may be also charged with a misdemeanor. The Board of Examiners in Optometry shall determine the existence of a violation of this act by an optometrist and shall proceed with revocation under powers granted to said Board and in accordance with procedure prescribed in Section 585 of Title 59 of the Oklahoma Statutes. Said Board may make rules necessary for the enforcement of this act so long as such rules are not inconsistent with the provisions of this or any other law of this state.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 92, &sect; 5, emerg. eff. April 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;59598. Provisions cumulative.&nbsp;</span></p> <p><span class="cls0">The provisions of this act shall be cumulative to other laws.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 92, &sect; 7, emerg. eff. April 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;59601. Appropriations from Optometry Board Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby appropriated to the Board of Examiners in Optometry from the monies which will accrue to the Optometry Board Fund of the State of Oklahoma, for each fiscal year hereafter, a sum equal to ninety percent (90%) of such accruals.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1949, p. 659, &sect; 1; Laws 1951, p. 271. &nbsp;</span></p> <p><span class="cls0">&sect;59602. Use of appropriations.&nbsp;</span></p> <p><span class="cls0">Said appropriations herein made shall be used by the Board of Examiners in Optometry for the necessary expenses of operation of said Board during the fiscal years set out in Section 1 of this act, including expenses for personnel services, salary of secretarytreasurer of the Board, per diem of members of the Board of Examiners, and all the expenses of the maintenance and operation deemed reasonably necessary or desirable in the operation of the business of said Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1949, p. 659, &sect; 2; Laws 1951, p. 271. &nbsp;</span></p> <p><span class="cls0">&sect;59603. Positions and salaries.&nbsp;</span></p> <p><span class="cls0">The Board of Examiners in Optometry shall create positions, make the appointment, and unless otherwise provided by act of the Legislature, shall fix the salary of officials, attorneys and other employees necessary to perform the duties imposed upon the Board of Examiners in Optometry by law, payable from the appropriations made by this act for such services provided in Section 2.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1949, p. 659, &sect; 3; Laws 1951, p. 271. &nbsp;</span></p> <p><span class="cls0">&sect;59604. Attendance on educational or postgraduate program.&nbsp;</span></p> <p><span class="cls0">Every person holding a license to practice optometry in this state shall be required to present to the Board of Examiners in Optometry, not later than the thirtieth day of June of each year, satisfactory evidence that during the preceding twelve (12) months said person attended not less than two (2) days of a total of at least twelve (12) hours of educational or postgraduate programs approved by said Board, or that said person was prevented, because of sickness or any other reason acceptable to the Board, from attending said educational or postgraduate program.&nbsp;</span></p> <p><span class="cls0">The filing of proof of attendance at educational programs or clinics shall be a condition precedent to the issuance of a renewal license. The Board may reinstate the license of said licensee to practice optometry upon presentation of satisfactory proof of postgraduate study of a standard approved by said examiners and payment of all fees due including a late reinstatement fee not to exceed three times the annual renewal fee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1983, c. 14, &sect; 3, emerg. eff. March 25, 1983. &nbsp;</span></p> <p><span class="cls0">&sect;59605. Cumulative character of act.&nbsp;</span></p> <p><span class="cls0">The provisions of this act shall be cumulative to other laws.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Laws 1949, p. 660, &sect; 5 (formerly &sect; 4); Laws 1951, p. 271. 8&nbsp;</span></p> <p><span class="cls0">&sect;59606. Partial invalidity.&nbsp;</span></p> <p><span class="cls0">If any of the provisions hereof are adjudged to be unconstitutional or invalid, such adjudication shall not affect the validity or constitutionality of any of the other provisions hereof. &nbsp;</span></p> <p class="cls1"><span class="cls0">Laws 1949, p. 660, &sect; 6 (formerly &sect; 5); Laws 1951, p. 271. &nbsp;</span></p> <p><span class="cls0">&sect;59620. Short title - Practice a privilege.&nbsp;</span></p> <p><span class="cls0">A. Sections 620 through 645 of this title shall be known and may be cited as the "Oklahoma Osteopathic Medicine Act".&nbsp;</span></p> <p><span class="cls0">B. The practice of osteopathic medicine is a privilege granted through the Oklahoma Osteopathic Medicine Act by the State Board of Osteopathic Examiners.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30. p. 47, &sect; 21; Laws 1983, c. 152, &sect; 19, emerg. eff. May 26, 1983. Renumbered from &sect; 640 of this title by Laws 1983, c. 152, &sect; 25, emerg. eff. May 26, 1983. Amended by Laws 1993, c. 230, &sect; 1, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59621. Osteopathic medicine defined.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Osteopathic Medicine Act:&nbsp;</span></p> <p><span class="cls0">"Osteopathic medicine" means a system of health care founded by Andrew Taylor Still and based on the theory that the body is capable of making its own remedies against disease and other toxic conditions when it is in normal structural relationship and has favorable environmental conditions and adequate nutrition. Osteopathic medicine utilizes generally accepted physical, pharmacological and surgical methods of diagnosis and therapy while placing strong emphasis on the importance of body mechanics and manipulative methods to detect and correct faulty structure and function.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 41, &sect; 1; Laws 1983, c. 152, &sect; 1, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 2, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-622. License required - Submission to jurisdiction of courts - Employing hospitals not regarded as practitioners.&nbsp;</span></p> <p><span class="cls0">A. 1. Except as otherwise provided by this section, it shall be unlawful for any person to practice as an osteopathic physician and surgeon in this state, without a license to do so, issued by the State Board of Osteopathic Examiners; provided, that any license or certificate heretofore issued under the laws of this state, authorizing its holder to practice osteopathic medicine, shall remain in full force and effect.&nbsp;</span></p> <p><span class="cls0">2. Osteopathic physicians engaged in postgraduate training beyond the internship year, also known as PGY-1, shall be licensed.&nbsp;</span></p> <p><span class="cls0">3. Osteopathic physicians engaged in interventional pain management pursuant to the Oklahoma Interventional Pain Management and Treatment Act shall be licensed by the State Board of Osteopathic Examiners.&nbsp;</span></p> <p><span class="cls0">B. 1. A person within or outside of this state who performs through electronic communications diagnostic or treatment services within the scope of practice of an osteopathic physician and surgeon, including but not limited to, stroke prevention and treatment, for any patient whose condition is being diagnosed or treated within this state shall be licensed in this state, pursuant to the provisions of the Oklahoma Osteopathic Medicine Act. However, in such cases, a nonresident osteopathic physician who, while located outside this state, consults on an irregular basis with a physician who is located in this state is not required to be licensed in this state.&nbsp;</span></p> <p><span class="cls0">2. Any osteopathic physician licensed in this state who engages in the prescription of drugs, devices, or treatments via electronic means may do so only in the context of an appropriate physician/patient relationship wherein a proper patient record is maintained including, at the minimum, a current history and physical.&nbsp;</span></p> <p><span class="cls0">3. Any commissioned medical officer of the armed forces of the United States or medical officer of the United States Public Health Service or the Veterans Administration of the United States, in the discharge of official duties and/or within federally controlled facilities, who is fully licensed to practice osteopathic medicine and surgery in one or more jurisdictions of the United States shall not be required to be licensed in this state pursuant to the Oklahoma Osteopathic Medicine Act, unless the person already holds an osteopathic medical license in this state pursuant to the Oklahoma Osteopathic Medicine Act. In such case, the medical officer shall be subject to the Oklahoma Osteopathic Medicine Act.&nbsp;</span></p> <p><span class="cls0">4. A person who performs any of the functions covered by this subsection submits themselves to the jurisdiction of the courts of this state for the purposes of any cause of action resulting from the functions performed.&nbsp;</span></p> <p><span class="cls0">C. A hospital or related institution, as such terms are defined in Section 1-701 of Title 63 of the Oklahoma Statutes, which has the principal purpose or function of providing hospital or medical care, including but not limited to any corporation, association, trust, or other organization organized and operated for such purpose, may employ one or more persons who are duly licensed to practice osteopathic medicine in this state without being regarded as itself practicing osteopathic medicine within the meaning and provisions of this section. The employment by the hospital or related institution of any person who is duly licensed shall not, in and of itself, be considered as an act of unprofessional conduct by the person so employed. Nothing provided herein shall eliminate, limit or restrict the liability for any act or failure to act of any hospital, any hospital's employees or persons duly licensed to practice osteopathic medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 30, p. 41, &sect; 2. Amended by Laws 1983, c. 152, &sect; 2, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 3, eff. July 1, 1993; Laws 1996, c. 147, &sect; 2, eff. Nov. 1, 1996; Laws 2001, c. 16, &sect; 1, eff. Nov. 1, 2001; Laws 2009, c. 148, &sect; 5, eff. Nov. 1, 2009; Laws 2010, c. 67, &sect; 3, emerg. eff. April 9, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59623. Medicine and surgery - Not affected by this act.&nbsp;</span></p> <p><span class="cls0">The practice of medicine and surgery by persons authorized under other licensing laws of this state shall in no way be affected by the provisions of the Oklahoma Osteopathic Medicine Act.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 41, &sect; 3; Laws 1983, c. 152, &sect; 3, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 4, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-624. State Board of Osteopathic Examiners - Members - Seal - Rules - Examinations.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created the State Board of Osteopathic Examiners to continue until July 1, 2015, in accordance with the provisions of the Oklahoma Sunset Law.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Osteopathic Examiners shall consist of eight (8) examiners appointed by the Governor, two of whom shall be lay persons. The remaining examiners shall be regularly licensed osteopathic physicians in good standing in this state who have been so engaged for a period of at least five (5) years immediately prior to their appointment. The osteopathic physician examiners shall be appointed by the Governor from a list of not less than six names submitted to the Governor by the Oklahoma Osteopathic Association annually, and any present member of the Board of Examiners shall be appointed to fill out the unexpired term. All appointments made to the Board shall be for terms of seven (7) years. In the event of a vacancy brought about for any reason, the post so vacated shall be filled from a list of not less than six names submitted by the Oklahoma Osteopathic Association.&nbsp;</span></p> <p><span class="cls0">C. The Board shall have and use a common seal, and make and adopt all necessary rules relating to the enforcement of the provisions of the Oklahoma Osteopathic Medicine Act.&nbsp;</span></p> <p><span class="cls0">D. Examinations may be held at the discretion of the Board, at the time and place fixed by the Board, and all applicants shall be notified in writing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 30, p. 41, &sect; 4. Amended by Laws 1955, p. 328, &sect; 1, emerg. eff. May 7, 1955; Laws 1983, c. 152, &sect; 4, emerg. eff. May 26, 1983; Laws 1988, c. 225, &sect; 11; Laws 1990, c. 66, &sect; 1, emerg. eff. April 16, 1990; Laws 1993, c. 5, &sect; 1; Laws 1993, c. 230, &sect; 5, eff. July 1, 1993; Laws 1995, c. 152, &sect; 2, eff. Nov. 1, 1995; Laws 1999, c. 12, &sect; 1; Laws 2005, c. 22, &sect; 1; Laws 2011, c. 44, &sect; 1.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59625. Oath of members Qualifications.&nbsp;</span></p> <p><span class="cls0">Each member of said Board shall, before entering upon the duties of the office, take the oath of office prescribed by the Constitution before someone qualified to administer oaths, and shall, except for the lay person, make oath that the member is a legally qualified practitioner of osteopathic medicine in this state; and that the member has been engaged in the active practice of osteopathic medicine in this state at least five (5) years preceding the appointment of such member.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 42, &sect; 5; Laws 1983, c. 152, &sect; 5, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 6, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-626. Organization - Officers - Duties - Bond - Expenditures - Employees - Inspection of records and facilities of licenses or applicant for license.&nbsp;</span></p> <p><span class="cls0">A. 1. The State Board of Osteopathic Examiners shall, immediately after the members have qualified, elect a president, vicepresident and secretarytreasurer.&nbsp;</span></p> <p><span class="cls0">2. The president of said Board shall preside at all meetings of the Board and perform such other duties as the Board by its rule may prescribe.&nbsp;</span></p> <p><span class="cls0">3. The vicepresident shall perform all the duties of the president, during the president's absence or disability.&nbsp;</span></p> <p><span class="cls0">4. The secretarytreasurer shall keep a record of all proceedings of the Board and perform such other duties as are prescribed in the Oklahoma Osteopathic Medicine Act, or which may be prescribed by said Board. It shall be the duty of the secretary-treasurer to receive and care for all monies coming into the hands of said Board, and to pay out the same upon orders of the Board.&nbsp;</span></p> <p><span class="cls0">B. The State Board and such employees as determined by the Board shall be bonded as required by Sections 85.26 through 85.31 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. The State Board may expend such funds as are necessary in implementing the duties of the Board. The Board may hire:&nbsp;</span></p> <p><span class="cls0">1. All necessary administrative, clerical and stenographic assistance as the Board shall deem necessary at a salary to be fixed by the Board;&nbsp;</span></p> <p><span class="cls0">2. An attorney, on a casebycase basis, to represent the Board in legal matters and to assist authorized state and county officers in prosecuting or restraining violations of the provisions of the Oklahoma Osteopathic Medicine Act. The Board shall fix the compensation of said attorney; and&nbsp;</span></p> <p><span class="cls0">3. One or more investigators as may be necessary to implement the provisions of the Oklahoma Osteopathic Medicine Act at an annual salary to be fixed by the Board, and may authorize necessary expenses. In addition, the investigators may investigate and inspect the nonfinancial business records of all persons licensed pursuant to the Oklahoma Osteopathic Medicine Act in order to determine whether or not licensees are in compliance with the Oklahoma Osteopathic Medicine Act and the Uniform Controlled Dangerous Substances Act or any other law, rule of the State of Oklahoma or any federal law or rule affecting the practice of osteopathic medicine.&nbsp;</span></p> <p><span class="cls0">D. Any licensee or applicant for license subject to the provisions of the Oklahoma Osteopathic Medicine Act shall be deemed to have given consent to any duly authorized employee or agent of the Board to access, enter, or inspect the records, either on-site or at the Board office, or facilities of such licensee or applicant subject to the Oklahoma Osteopathic Medicine Act. Refusal to allow such access, entry, or inspection may constitute grounds for the denial, nonrenewal, suspension, or revocation of a license. Upon refusal of such access, entry, or inspection, pursuant to this section, the Board or a duly authorized representative may make application for and obtain a search warrant from the district court where the facility or records are located to allow such access, entry, or inspection.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 42, &sect; 6; Laws 1983, c. 152, &sect; 6, emerg. eff. May 26, 1983; Laws 1989, c. 233, &sect; 1, operative July 1, 1989; Laws 1993, c. 230, &sect; 7, eff. July 1, 1993; Laws 2001, c. 16, &sect; 2, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-627. Record of proceedings - Contents - Copy submitted to Secretary of State - Certified copy as evidence.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Osteopathic Examiners shall preserve a record of its proceedings which shall be open to public inspection at all reasonable times, showing:&nbsp;</span></p> <p><span class="cls0">1. The name, age, and place of residence of each applicant;&nbsp;</span></p> <p><span class="cls0">2. The time spent in the study of osteopathic medicine;&nbsp;</span></p> <p><span class="cls0">3. The year and school from which degrees were granted;&nbsp;</span></p> <p><span class="cls0">4. Its proceeding relative to the issuance, refusal, renewal, suspension, or revocation of licenses applied for, and issued pursuant to the Oklahoma Osteopathic Medicine Act; and&nbsp;</span></p> <p><span class="cls0">5. The name, known place of business and residence, and the date and number of license of each registered osteopathic physician and surgeon.&nbsp;</span></p> <p><span class="cls0">The register shall be prima facie evidence of all matters contained therein.&nbsp;</span></p> <p><span class="cls0">B. The secretary of said Board shall on the first of March of each year submit an official copy of said register to the Secretary of State for permanent record. A certified copy of said register, or any part thereof, with the hand and seal of the secretary of said State Board of Osteopathic Examiners, or the Secretary of State, shall be admitted in evidence in all courts of the state.&nbsp;</span></p> <p><span class="cls0">C. It shall be the responsibility of each osteopathic physician licensed under this act to provide the Board with a notice of change of address within fourteen (14) business days after any relocation of practice activity.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 42, &sect; 7; Laws 1983, c. 152, &sect; 7, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 8, eff. July 1, 1993; Laws 2001, c. 16, &sect; 3, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-628. Repealed by Laws 2001, c. 16, &sect; 10, eff. Nov. 1 2001.&nbsp;</span></p> <p><span class="cls0">&sect;59629. Standards of preliminary education required.&nbsp;</span></p> <p><span class="cls0">The standards of preliminary education deemed requisite for admission to an accredited osteopathic school, college or institution in good standing are that an applicant shall have completed the admission requirements of an osteopathic college accredited by the Bureau of Professional Education of the American Osteopathic Association.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 43, &sect; 9; Laws 1975, c. 167, &sect; 1, emerg. eff. May 20, 1975; Laws 1983, c. 152, &sect; 9, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 10, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59630. Education and training required.&nbsp;</span></p> <p><span class="cls0">To practice as an osteopathic physician, the applicant shall be a graduate of a school or college of osteopathic medicine which is accredited by the Bureau of Professional Education of the American Osteopathic Association and shall have completed at least one (1) year of rotating internship or the equivalent thereof, in an accredited internship or residency program acceptable to the Board.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 43, &sect; 10; Laws 1975, c. 167, &sect; 2, emerg. eff. May 20, 1975; Laws 1983, c. 152, &sect; 10, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 11, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-631. School or college of osteopathic medicine defined.&nbsp;</span></p> <p><span class="cls0">The term school or college of osteopathic medicine shall mean a legally chartered and accredited school or college of osteopathic medicine requiring:&nbsp;</span></p> <p><span class="cls0">1. For admission to its courses of study, a preliminary education equal to the requirements established by the Bureau of Professional Education of the American Osteopathic Association; and&nbsp;</span></p> <p><span class="cls0">2. For granting the D.O. degree, Doctor of Osteopathy or Doctor of Osteopathic Medicine, actual attendance at such osteopathic school or college and demonstration of successful completion of the curriculum and recommendation for graduation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 30, p. 44, &sect; 11. Amended by Laws 1975, c. 167, &sect; 3, emerg. eff. May 20, 1975; Laws 1983, c. 152, &sect; 11, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 12, eff. July 1, 1993; Laws 1995, c. 152, &sect; 3, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-632. Examination - National Board of Osteopathic Medical Examiners.&nbsp;</span></p> <p><span class="cls0">A. The examination of those who desire to practice as osteopathic physicians shall embrace those general subjects and topics, a knowledge of which is commonly and generally required of candidates for a D.O. degree, Doctor of Osteopathy or Doctor of Osteopathic Medicine, by accredited osteopathic colleges in the United States. An examination furnished by the National Board of Osteopathic Medical Examiners shall be deemed to fulfill this requirement.&nbsp;</span></p> <p><span class="cls0">B. The applicant may be accepted who has successfully completed the examination sequence of the National Board of Osteopathic Medical Examiners and meets all other requirements.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 30, p. 45, &sect; 12. Amended by Laws 1978, c. 136, &sect; 1; Laws 1983, c. 152, &sect; 12, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 13, eff. July 1, 1993; Laws 1995, c. 152, &sect; 4, eff. Nov. 1, 1995; Laws 2001, c. 16, &sect; 4, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-633. Licensure.&nbsp;</span></p> <p><span class="cls0">Each applicant who has met all requirements for licensure shall be issued a license to practice as an osteopathic physician and surgeon. Upon application, the State Board of Osteopathic Examiners may also issue special licenses, including a Temporary License, a Resident Training License, a Telemedicine License or a Military Spouse License.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 30, p. 45, &sect; 13. Amended by Laws 1983, c. 152, &sect; 13, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 14, eff. July 1, 1993; Laws 2001, c. 16, &sect; 5, eff. Nov. 1, 2001; Laws 2013, c. 226, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59634. Reciprocal license.&nbsp;</span></p> <p><span class="cls0">The State Board of Osteopathic Examiners may issue a license without examination to a practitioner who is currently licensed in any country, state, territory or province, upon the following conditions:&nbsp;</span></p> <p><span class="cls0">1. That the applicant is of good moral character;&nbsp;</span></p> <p><span class="cls0">2. That the requirements of registration in the country, state, territory or province in which the applicant is licensed are deemed by the State Board to have been equivalent to the requirements of registration in force in this state at the date of such license;&nbsp;</span></p> <p><span class="cls0">3. That the applicant has no disciplinary matters pending against him in any country, state, territory or province; and&nbsp;</span></p> <p><span class="cls0">4. That the license being reciprocated must have been obtained by an examination in that country, state, territory or province deemed by the Board to be equivalent to that used by the Board, or obtained by examination of the National Board of Osteopathic Medical Examiners.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 45, &sect; 14; Laws 1983, c. 152, &sect; 14, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 15, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-635. Repealed by Laws 1990, c. 163, &sect; 7, eff. Sept. 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-635.1. Special volunteer medical license.&nbsp;</span></p> <p><span class="cls0">A. There is established a special volunteer medical license for physicians who are retired from active practice and wish to donate their expertise for the medical care and treatment of indigent and needy persons of the state. The special volunteer medical license shall be:&nbsp;</span></p> <p><span class="cls0">1. Issued by the State Board of Osteopathic Examiners to eligible physicians;&nbsp;</span></p> <p><span class="cls0">2. Issued without a payment of an application fee, license fee or renewal fee;&nbsp;</span></p> <p><span class="cls0">3. Issued or renewed without any continuing education requirements;&nbsp;</span></p> <p><span class="cls0">4. Issued for a fiscal year or part thereof; and&nbsp;</span></p> <p><span class="cls0">5. Renewable annually upon approval of the Board.&nbsp;</span></p> <p><span class="cls0">B. A physician must meet the following requirements to be eligible for a special volunteer medical license:&nbsp;</span></p> <p><span class="cls0">1. Completion of a special volunteer medical license application, including documentation of the physician&rsquo;s osteopathic school graduation and practice history;&nbsp;</span></p> <p><span class="cls0">2. Documentation that the physician has been previously issued a full and unrestricted license to practice medicine in Oklahoma or in another state of the United States and that he or she has never been the subject of any medical disciplinary action in any jurisdiction;&nbsp;</span></p> <p><span class="cls0">3. Acknowledgement and documentation that the physician&rsquo;s practice under the special volunteer medical license will be exclusively and totally devoted to providing medical care to needy and indigent persons in Oklahoma or to providing care under the Oklahoma Medical Reserve Corps; and&nbsp;</span></p> <p><span class="cls0">4. Acknowledgement and documentation that the physician will not receive or have the expectation to receive any payment or compensation, either direct or indirect, for any medical services rendered under the special volunteer medical license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 138, &sect; 2, eff. Nov. 1, 2003. Amended by Laws 2004, c. 523, &sect; 25, emerg. eff. June 9, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59636. Osteopathic physicians - Reports.&nbsp;</span></p> <p><span class="cls0">Osteopathic physicians shall observe and be subject to all state and municipal regulations relative to reporting all births and deaths, and all matters pertaining to the public health, with equal rights and obligations as physicians of other schools of medicine, and such reports shall be accepted by the officers of the department to which such reports are made.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 46, &sect; 16; Laws 1993, c. 230, &sect; 16, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-637. Refusal to issue or reinstate, suspension or revocation of license - Hearing, witnesses and evidence - Judicial review.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Osteopathic Examiners may refuse to admit a person to an examination or may refuse to issue or reinstate or may suspend or revoke any license issued or reinstated by the Board upon proof that the applicant or holder of such a license:&nbsp;</span></p> <p><span class="cls0">1. Has obtained a license, license renewal or authorization to sit for an examination, as the case may be, through fraud, deception, misrepresentation or bribery; or has been granted a license, license renewal or authorization to sit for an examination based upon a material mistake of fact;&nbsp;</span></p> <p><span class="cls0">2. Has engaged in the use or employment of dishonesty, fraud, misrepresentation, false promise, false pretense, unethical conduct or unprofessional conduct, as may be determined by the Board, in the performance of the functions or duties of an osteopathic physician, including but not limited to the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;obtaining or attempting to obtain any fee, charge, tuition or other compensation by fraud, deception or misrepresentation; willfully and continually overcharging or overtreating patients; or charging for visits to the physician's office which did not occur or for services which were not rendered,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;using intimidation, coercion or deception to obtain or retain a patient or discourage the use of a second opinion or consultation,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;willfully performing inappropriate or unnecessary treatment, diagnostic tests or osteopathic medical or surgical services,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;delegating professional responsibilities to a person who is not qualified by training, skill, competency, age, experience or licensure to perform them, noting that delegation may only occur within an appropriate doctor/patient relationship, wherein a proper patient record is maintained including, but not limited to, at the minimum, a current history and physical,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;misrepresenting that any disease, ailment, or infirmity can be cured by a method, procedure, treatment, medicine or device,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;acting in a manner which results in final disciplinary action by any professional society or association or hospital or medical staff of such hospital in this or any other state, whether agreed to voluntarily or not, if the action was in any way related to professional conduct, professional competence, malpractice or any other violation of the Oklahoma Osteopathic Medicine Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;signing a blank prescription form; or dispensing, prescribing, administering or otherwise distributing any drug, controlled substance or other treatment without sufficient examination or the establishment of a physician/patient relationship, or for other than medically accepted therapeutic or experimental or investigational purpose duly authorized by a state or federal agency, or not in good faith to relieve pain and suffering, or not to treat an ailment, physical infirmity or disease, or violating any state or federal law on controlled dangerous substances,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;engaging in any sexual activity within a physician/patient relationship,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;terminating the care of a patient without adequate notice or without making other arrangements for the continued care of the patient,&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;failing to furnish a copy of a patient's medical records upon a proper request from the patient or legal agent of the patient or another physician; or failing to comply with any other law relating to medical records,&nbsp;</span></p> <p class="cls2"><span class="cls0">k.&nbsp;&nbsp;failing to comply with any subpoena issued by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">l.&nbsp;&nbsp;violating a probation agreement or order with this Board or any other agency, and&nbsp;</span></p> <p class="cls2"><span class="cls0">m.&nbsp;&nbsp;failing to keep complete and accurate records of purchase and disposal of controlled drugs or narcotic drugs;&nbsp;</span></p> <p><span class="cls0">3. Has engaged in gross negligence, gross malpractice or gross incompetence;&nbsp;</span></p> <p><span class="cls0">4. Has engaged in repeated acts of negligence, malpractice or incompetence;&nbsp;</span></p> <p><span class="cls0">5. Has been finally adjudicated and found guilty, or entered a plea of guilty or nolo contendere in a criminal prosecution, for any offense reasonably related to the qualifications, functions or duties of an osteopathic physician, or for any offense involving moral turpitude, whether or not sentence is imposed, and regardless of the pendency of an appeal;&nbsp;</span></p> <p><span class="cls0">6. Has had the authority to engage in the activities regulated by the Board revoked, suspended, restricted, modified or limited, or has been reprimanded, warned or censured, probated or otherwise disciplined by any other state or federal agency whether or not voluntarily agreed to by the physician including, but not limited to, the denial of licensure, surrender of the license, permit or authority, allowing the license, permit or authority to expire or lapse, or discontinuing or limiting the practice of osteopathic medicine pending disposition of a complaint or completion of an investigation;&nbsp;</span></p> <p><span class="cls0">7. Has violated, or failed to comply with provisions of any act or regulation administered by the Board;&nbsp;</span></p> <p><span class="cls0">8. Is incapable, for medical or psychiatric or any other good cause, of discharging the functions of an osteopathic physician in a manner consistent with the public's health, safety and welfare;&nbsp;</span></p> <p><span class="cls0">9. Has been guilty of advertising by means of knowingly false or deceptive statements;&nbsp;</span></p> <p><span class="cls0">10. Has been guilty of advertising, practicing, or attempting to practice under a name other than one's own;&nbsp;</span></p> <p><span class="cls0">11. Has violated or refused to comply with a lawful order of the Board;&nbsp;</span></p> <p><span class="cls0">12. Has been guilty of habitual drunkenness, or habitual addiction to the use of morphine, cocaine or other habitforming drugs;&nbsp;</span></p> <p><span class="cls0">13. Has been guilty of personal offensive behavior, which would include, but not be limited to obscenity, lewdness, molestation and other acts of moral turpitude; and&nbsp;</span></p> <p><span class="cls0">14. Has been adjudicated to be insane, or incompetent, or admitted to an institution for the treatment of psychiatric disorders.&nbsp;</span></p> <p><span class="cls0">B. The State Board of Osteopathic Examiners shall neither refuse to renew, nor suspend, nor revoke any license, however, for any of these causes, unless the person accused has been given at least twenty (20) days' notice in writing of the charge against him or her and a public hearing by the State Board provided, threefourths (3/4) of a quorum present at a meeting may vote to suspend a license in an emergency situation if the licensee affected is provided a public hearing within thirty (30) days of the emergency suspension.&nbsp;</span></p> <p><span class="cls0">C. The State Board of Osteopathic Examiners shall have the power to order or subpoena the attendance of witnesses, the inspection of records and premises and the production of relevant books and papers for the investigation of matters that may come before them. The presiding officer of said Board shall have the authority to compel the giving of testimony as is conferred on courts of justice.&nbsp;</span></p> <p><span class="cls0">D. Any osteopathic physician in the State of Oklahoma whose license to practice osteopathic medicine is revoked or suspended under the previous paragraphs of this section shall have the right to seek judicial review of a ruling of the Board pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">E. The Board may enact rules and regulations pursuant to the Administrative Procedures Act setting out additional acts of unprofessional conduct; which acts shall be grounds for refusal to issue or reinstate, or for action to condition, suspend or revoke a license.&nbsp;</span></p> <p><span class="cls0">Laws 1921, c. 30, p. 46, &sect; 17; Laws 1955, p. 329, &sect; 2, emerg. eff. May 7, 1955; Laws 1978, c. 136, &sect; 2; Laws 1980, c. 208, &sect; 2, emerg. eff. May 30, 1980; Laws 1983, c. 152, &sect; 16, emerg. eff. May 26, 1983; Laws 1986, c. 50, &sect; 2, operative July 1, 1986; Laws 1989, c. 233, &sect; 2, operative July 1, 1989; Laws 1993, c. 230, &sect; 17, eff. July 1, 1993; Laws 2001, c. 16, &sect; 6, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-637.1. Alternatives to revoking, conditioning, suspending, reinstating or refusing to renew license.&nbsp;</span></p> <p><span class="cls0">A. In addition or as an alternative, as the case may be, to revoking, conditioning, suspending, reinstating or refusing to renew any license, the State Board of Osteopathic Examiners may, after affording opportunity to be heard:&nbsp;</span></p> <p><span class="cls0">1. Temporarily order suspension or limitation of license;&nbsp;</span></p> <p><span class="cls0">2. Issue an order of warning, reprimand or censure with regard to any act, conduct or practice which, in the judgment of the Board upon consideration of all relevant facts and circumstances, does not warrant the initiation of formal action;&nbsp;</span></p> <p><span class="cls0">3. Order that any person violating any provision of an act or regulation administered by the Board to cease and desist from future violations thereof or to take such affirmative corrective action as may be necessary with regard to any act or practice found unlawful by the Board;&nbsp;</span></p> <p><span class="cls0">4. Order any person as a condition for continued, reinstated or renewed licensure or as a condition for probation or suspension to secure medical or such other professional treatment as may be necessary to properly discharge licensee functions; or&nbsp;</span></p> <p><span class="cls0">5. Order any person as a condition of any suspension or probation or any disciplinary action, to attend and produce evidence of successful completion of a specific term of education, residency or training in enumerated fields and/or institutions as ordered by the Board based on the facts of the case. Said education, residency or training shall be at the expense of the person so ordered.&nbsp;</span></p> <p><span class="cls0">B. If after considering all the testimony presented, the State Board of Osteopathic Examiners finds that the respondent has violated any provision of the Oklahoma Osteopathic Medicine Act or any rule promulgated thereto, the Board may impose on the respondent as a condition of any suspension, revocation, or probation, or any other disciplinary action, the payment of costs expended by the Board in investigating and prosecuting said cause, such costs to include but not be limited to staff time, salary and travel expense, witness fees and attorney fees. In addition, the Board may impose an administrative fine in an amount not to exceed One Thousand Dollars ($1,000.00) for each count or separate violation.&nbsp;</span></p> <p><span class="cls0">C. The Secretary of the Board may issue a letter of concern to a licensee, without a hearing, when evidence does not warrant formal proceedings, but indications exist of possible errant conduct that could lead to serious consequences and formal action. The letter of concern may contain, at the Secretary's discretion, clarifying information from the licensee. Such letters of concern are considered remedial.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1983, c. 152, &sect; 17, emerg. eff. May 26, 1983. Amended by Laws 1989, c. 233, &sect; 3, operative July 1, 1989; Laws 1993, c. 230, &sect; 18, eff. July 1, 1993; Laws 1997, c. 222, &sect; 7, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-638. Acts punishable by fine or imprisonment &ndash; Separate criminal offense - False oath or affirmation as perjury.&nbsp;</span></p> <p><span class="cls0">A. Each of the following acts shall constitute a felony, punishable, upon conviction, by a fine of not less than One Thousand Dollars ($1,000.00) nor more than Ten Thousand Dollars ($10,000.00) or by imprisonment in the county jail for a term of not more than one (1) year or imprisonment in the custody of the Department of Corrections for a term of not more than four (4) years, or by both such fine and imprisonment:&nbsp;</span></p> <p><span class="cls0">1. The practice of osteopathic medicine or attempt to practice osteopathic medicine without a license issued by the State Board of Osteopathic Examiners;&nbsp;</span></p> <p><span class="cls0">2. Obtaining, or attempting to obtain, a license under the Oklahoma Osteopathic Medicine Act by fraud or false statements;&nbsp;</span></p> <p><span class="cls0">3. Obtaining, or attempting to obtain, money or any other thing of value, by fraudulent representation or false pretense;&nbsp;</span></p> <p><span class="cls0">4. Advertising as an osteopathic physician and surgeon, or practicing or attempting to practice osteopathic medicine under a false, assumed, or fictitious name, or a name other than the real name; or&nbsp;</span></p> <p><span class="cls0">5. Allowing any person in the licensee&rsquo;s employment or control to practice as an osteopathic physician and surgeon when not actually licensed to do so.&nbsp;</span></p> <p><span class="cls0">B. Each day a person is in violation of any provision of subsection A of this section shall constitute a separate criminal offense and, in addition, the district attorney may file a separate charge of medical battery for each person who is injured as a result of treatment or surgery performed in violation of subsection A of this section.&nbsp;</span></p> <p><span class="cls0">C. Any person making any willfully false oath or affirmation whenever oath or affirmation is required by the Oklahoma Osteopathic Medicine Act shall be deemed guilty of the felony of perjury, and upon conviction, shall be punished as prescribed by the general laws of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1921, c. 30, p. 47, &sect; 18. Amended by Laws 1983, c. 152, &sect; 18, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 19, eff. July 1, 1993; Laws 1997, c. 133, &sect; 509, eff. July 1, 1999; Laws 2004, c. 523, &sect; 12, emerg. eff. June 9, 2004; Laws 2008, c. 358, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex. Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 509 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-641. Osteopaths - Annual renewal of certificate - Fee - Attendance at educational program - Notice to licensee.&nbsp;</span></p> <p><span class="cls0">A. All persons legally licensed to practice osteopathic medicine in this state, on or before the first day of July of each year, shall apply to the secretarytreasurer of the Board, on forms furnished thereby, for a renewal certificate of registration entitling such licensee to practice osteopathic medicine and surgery in Oklahoma during the next ensuing fiscal year.&nbsp;</span></p> <p><span class="cls0">B. Each application shall be accompanied by a renewal fee in an amount sufficient to cover the cost and expense incurred by the State Board of Osteopathic Examiners, for a renewal of the person's certificate to practice osteopathic medicine.&nbsp;</span></p> <p><span class="cls0">C. In addition to the payment of the annual renewal fee each licensee applying for a renewal of the certificate shall furnish to the State Board of Osteopathic Examiners proof that the person has attended at least two (2) days of the annual educational program conducted by the Oklahoma Osteopathic Association, or its equivalent, as determined by the Board, in the fiscal year preceding the application for a renewal; provided, the Board may excuse the failure of the licensee to attend the educational program in the case of illness or other unavoidable casualty rendering it impossible for the licensee to have attended the educational program or its equivalent.&nbsp;</span></p> <p><span class="cls0">D. The secretary of the State Board of Osteopathic Examiners shall send a written notice to every person holding a legal certificate to practice osteopathic medicine in this state, at least thirty (30) days prior to the first day of July each year, directed to the lastknown address of the licensee, notifying the licensee that it will be necessary for the licensee to pay the renewal license fee as herein provided, and proper forms shall accompany the notice upon which the licensee shall make application for renewal of the certificate.&nbsp;</span></p> <p><span class="cls0">Laws 1939, p. 75, &sect; 1, emerg. eff. May 12, 1939; Laws 1963, c. 56, &sect; 1, emerg. eff. May 13, 1963; Laws 1974, c. 165, &sect; 1, emerg. eff. May 9, 1974; Laws 1980, c. 246, &sect; 1, emerg. eff. May 16, 1980; Laws 1983, c. 152, &sect; 20, emerg. eff. May 26, 1983; Laws 1986, c. 50, &sect; 3, operative July 1, 1986; Laws 1993, c. 230, &sect; 20, eff. July 1, 1993; Laws 2001, c. 16, &sect; 7, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59642. Failure to comply with license renewal requirements Cancellation of license Reinstatement Inactive status prohibited Voluntary cancellation of license.&nbsp;</span></p> <p><span class="cls0">A. If any licensee shall fail to comply with the requirements of Section 641 of this title or this section and such license is allowed to lapse, the licensee shall, upon order of the State Board of Osteopathic Examiners, forfeit the right to practice osteopathic medicine in this state and the license and certificate shall be canceled, provided, however, that the Board may reinstate such person upon the payment of all fees due, plus a penalty fee in the amount fixed by the State Board of Osteopathic Examiners not to exceed twice the amount of the license renewal fees as determined by the Board and upon the presentation of satisfactory evidence of the attendance at an educational program as provided for in Sections 637 and 641 of this title. The State Board of Osteopathic Examiners shall not place the license of any person authorized to practice osteopathic medicine in this state on inactive status.&nbsp;</span></p> <p><span class="cls0">B. Licensees who retire from such practice or desire to request cancellation of their license shall file with the State Board of Osteopathic Examiners an affidavit, on a form to be furnished by the Board, which states the date of retirement and such other facts to verify the retirement or other reasons for cancellation as the Board may deem necessary and the license shall be canceled. If a licensee desires to reengage the practice, the licensee shall reinstate the license as provided for in Sections 637 and 641 of this title and subsection A of this section.&nbsp;</span></p> <p><span class="cls0">Laws 1939, p. 76, &sect; 2, emerg. eff. May 12, 1939; Laws 1974, c. 165, &sect; 2, emerg. eff. May 9, 1974; Laws 1980, c. 246, &sect; 2, emerg. eff. May 16, 1980; Laws 1983, c. 152, &sect; 21, emerg. eff. May 26, 1983; Laws 1986, c. 50, &sect; 4, operative July 1, 1986; Laws 1989, c. 233, &sect; 4, operative July 1, 1989; Laws 1993, c. 230, &sect; 21, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-643. Use of fund.&nbsp;</span></p> <p><span class="cls0">The funds received pursuant to the Oklahoma Osteopathic Medicine Act shall be deposited to the credit of the State Board of Osteopathic Examiners Revolving Fund and may be expended by the State Board of Osteopathic Examiners and under its direction in assisting in the enforcement of the laws of this state prohibiting the unlawful practice of osteopathic medicine, assisting in the support of a peer assistance program, and for the dissemination of information to prevent the violation of such laws, and for the purchasing of supplies and such other expense as is necessary to properly carry out the provisions of the Oklahoma Osteopathic Medicine Act.&nbsp;</span></p> <p><span class="cls0">Laws 1939, p. 76, &sect; 3, emerg. eff. May 12, 1939; Laws 1955, p. 329, &sect; 3, emerg. eff. May 7, 1955; Laws 1980, c. 246, &sect; 3, emerg, eff. May 16, 1980; Laws 1983, c. 152, &sect; 22, emerg. eff. May 26, 1983; Laws 1993, c. 230, &sect; 22, eff. July 1, 1993; Laws 2001, c. 16, &sect; 8, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-644. State Board of Osteopathic Examiner's Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the State Board of Osteopathic Examiners, to be designated the "State Board of Osteopathic Examiner's Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board pursuant to the provisions of the Oklahoma Osteopathic Medicine Act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Board for the purpose of enforcing the laws of this state which prohibit the unlawful practice of osteopathic medicine, for the dissemination of information to prevent the violation of such laws, and for the purchase of supplies and such other expense as is necessary to properly implement the provisions of the Oklahoma Osteopathic Medicine Act. Expenditures from said fund shall be made upon warrants issued by the State Treasurer against claims signed by an authorized employee or employees of the State Board of Osteopathic Examiners and filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1983, c. 152, &sect; 23, emerg. eff. May 26, 1983. Amended by Laws 1993, c. 230, &sect; 23, eff. July 1, 1993; Laws 2001, c. 16, &sect; 9, eff. Nov. 1, 2001; Laws 2012, c. 304, &sect; 266.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59645. Rules Fees.&nbsp;</span></p> <p><span class="cls0">The State Board of Osteopathic Examiners shall adopt such rules as may be necessary to implement the provisions of the Oklahoma Osteopathic Medicine Act and may establish fees authorized but not specified in the Oklahoma Osteopathic Medicine Act.&nbsp;</span></p> <p><span class="cls0">Laws 1989, c. 233, &sect; 5, operative July 1, 1989; Laws 1993, c. 230, &sect; 24, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-650. Interventional pain management license.&nbsp;</span></p> <p><span class="cls0">A. This act shall be known and may be cited as the &ldquo;Oklahoma Interventional Pain Management and Treatment Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">B. As used in this section:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Chronic pain&rdquo; means a pain state which is subacute, persistent and intractable;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Fluoroscope&rdquo; means a radiologic instrument equipped with a fluorescent screen on which opaque internal structures can be viewed as moving shadow images formed by the differential transmission of X-rays throughout the body; and&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Interventional pain management&rdquo; means the practice of medicine devoted to the diagnosis and treatment of chronic pain, through the use of such techniques as:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;ablation of targeted nerves,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;percutaneous precision needle placement within the spinal column with placement of drugs such as local anesthetics, steroids, analgesics in targeted areas of the spinal column, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;surgical techniques, such as laser or endoscopic diskectomy, intrathecal infusion pumps and spinal cord stimulators.&nbsp;</span></p> <p><span class="cls0">C. It shall be unlawful to practice or offer to practice interventional pain management in this state unless such person has been duly licensed under the provisions of the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act or the Oklahoma Osteopathic Medicine Act.&nbsp;</span></p> <p><span class="cls0">D. Nothing in this section shall be construed to forbid the administration of lumbar intra-laminar epidural steroid injections or peripheral nerve blocks by a certified registered nurse anesthetist when requested to do so by a physician and under the supervision of an allopathic or osteopathic physician licensed in this state and under conditions in which timely on-site consultation by such allopathic or osteopathic physician is available.&nbsp;</span></p> <p><span class="cls0">E. A certified registered nurse anesthetist shall not operate a freestanding pain management facility without direct supervision of a physician who is board-certified in interventional pain management or its equivalent.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 67, &sect; 1, emerg. eff. April 9, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.1. Short title.&nbsp;</span></p> <p><span class="cls0">Chapter 15 of this title shall be known and may be cited as the &ldquo;Oklahoma Veterinary Practice Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 1, emerg. eff. May 4, 1971. Amended by Laws 1999, c. 94, &sect; 1, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Veterinary Practice Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Board&rdquo; means the State Board of Veterinary Medical Examiners;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Animal&rdquo; means any animal other than humans and includes, but is not limited to, fowl, fish, birds and reptiles, wild or domestic, living or dead;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Veterinarian&rdquo; means a person who has received a degree in veterinary medicine or its equivalent from a school of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Licensed veterinarian&rdquo; means any veterinarian who holds an active license to practice veterinary medicine in this state;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;School of veterinary medicine&rdquo; means any veterinary college or division of a university or college that offers the degree of doctor of veterinary medicine or its equivalent, which conforms to the standards required for accreditation by the American Veterinary Medical Association (AVMA) and which is recognized and approved by the Board;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Veterinary technician&rdquo; means a person who has graduated from a program accredited by the American Veterinary Medical Association, or its equivalent which is recognized and approved by the Board, and who has passed the examination requirements set forth by the Board, is certified to practice under the direct supervision of a licensed veterinarian. For the purpose of the Oklahoma Veterinary Practice Act, "registered veterinary technician (RVT)" will be used interchangeably with veterinary technician who is certified pursuant to Sections 698.21 through 698.26 of this title;&nbsp;</span></p> <p><span class="cls0">7. "Veterinary technologist" means a person who has successfully graduated from an AVMA-accredited bachelor degree program of veterinary technology, or its AVMA equivalent;&nbsp;</span></p> <p><span class="cls0">8. "Veterinary assistant" means an individual who may perform the duties of a veterinary technician or veterinary technologist, however, has not graduated from an AVMA-accredited technology program or its equivalent, and has not been certified by the Board;&nbsp;</span></p> <p><span class="cls0">9. "Veterinary technology" means the science and art of providing all aspects of professional medical care, services, and treatment for animals with the exception of diagnosis, prognosis, surgery, and prescription of any treatments, drugs, medications, or appliances, where a valid veterinarian-client-patient relationship exists;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Direct supervision&rdquo; means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;directions have been given to a veterinary technician, nurse, laboratory technician, intern, veterinary assistant or other employee for medical care following the examination of an animal by the licensed veterinarian responsible for the professional care of the animal, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;that, under certain circumstances following the examination of an animal by a licensed veterinarian responsible for the professional care of the animal, the presence of the licensed veterinarian on the premises in an animal hospital setting or in the same general area in a range setting is required after directions have been given to a veterinarian who has a certificate issued pursuant to Section 698.8 of this title;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;License&rdquo; means authorization to practice veterinary medicine granted by the Board to an individual found by the Board to meet certain requirements pursuant to the Oklahoma Veterinary Practice Act or any other applicable statutes;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Supervised Doctor of Veterinary Medicine Certificate&rdquo; means authorization to practice veterinary medicine with certain limitations or restrictions on that practice, set by the Board or authorization to perform certain enumerated functions peripheral to the practice of veterinary medicine as set by the Board and has a certificate issued pursuant to Section 698.8 of this title;&nbsp;</span></p> <p class="cls2"><span class="cls0">13. &ldquo;Veterinarian-client-patient relationship&rdquo; means when:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the licensed veterinarian has assumed the responsibility for making medical judgments regarding the health of an animal or animals and the need for medical treatment, and the client, owner or other caretaker has agreed to follow the instructions of the licensed veterinarian, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;there is sufficient knowledge of the animal or animals by the licensed veterinarian to initiate at least a general or preliminary diagnosis of the medical condition of the animal or animals in that:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;the licensed veterinarian has recently seen or is personally acquainted with the keeping and care of the animal or animals, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;the licensed veterinarian has made medically necessary and timely visits to the premises where the animal or animals are kept or both, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the licensed veterinarian is readily available for follow-up in case of adverse reactions or failure of the regimen of therapy, or has arranged for emergency medical coverage, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the licensed veterinarian&rsquo;s actions would conform to applicable federal law and regulations;&nbsp;</span></p> <p><span class="cls0">14. &ldquo;Veterinary premises&rdquo; means any facility where the practice of veterinary medicine occurs, including, but not limited to, a mobile unit, mobile clinic, outpatient clinic, satellite clinic, public service outreach of a veterinary facility, or veterinary hospital or clinic. The term &ldquo;veterinary premises&rdquo; shall not include the premises of a client of a licensed veterinarian or research facility;&nbsp;</span></p> <p><span class="cls0">15. &ldquo;Veterinary prescription drugs&rdquo; means such prescription items as are in the possession of a person regularly and lawfully engaged in the manufacture, transportation, storage, or wholesale or retail distribution of veterinary drugs and the federal Food and Drug Administration-approved human drugs for animals which because of their toxicity or other potential for harmful effects, or method of use, or the collateral measures necessary for use, are labeled by the manufacturer or distributor in compliance with federal law and regulations to be sold only to or on the prescription order or under the supervision of a licensed veterinarian for use in the course of professional practice. Veterinary prescription drugs shall not include over-the-counter products for which adequate directions for lay use can be written;&nbsp;</span></p> <p><span class="cls0">16. &ldquo;ECFVG certificate&rdquo; means a certificate issued by the American Veterinary Medical Association Education Commission for Foreign Veterinary Graduates, indicating that the holder has demonstrated knowledge and skill equivalent to that possessed by a graduate of an accredited or approved college of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">17. &ldquo;Executive Director&rdquo; means the Executive Director of the State Board of Veterinary Medical Examiners or the authorized representative of such official;&nbsp;</span></p> <p><span class="cls0">18. &ldquo;Telemedicine&rdquo; shall mean the transmission of diagnostic images such as, but not limited to, radiographs, ultrasound, cytology, endoscopy, photographs and case information over ordinary or cellular phone lines to a licensed veterinarian or board-certified medical specialist for the purpose of consulting regarding case management with the primary care licensed veterinarian who transmits the cases;&nbsp;</span></p> <p><span class="cls0">19. &ldquo;Person&rdquo; means any individual, firm, partnership, association, joint venture, cooperative, corporation, or any other group or combination acting in concert, and whether or not acting as a principal, trustee, fiduciary, receiver, or as any other kind of legal or personal representative, or as the successor in interest, assignee, agent, factor, servant, employee, director, officer, fictitious name certificate, or any other representative of such person;&nbsp;</span></p> <p><span class="cls0">20. &ldquo;Food animal&rdquo; means any mammalian, poultry, fowl, fish, or other animal that is raised primarily for human food consumption;&nbsp;</span></p> <p><span class="cls0">21. &ldquo;Surgery&rdquo; means the branch of veterinary science conducted under elective or emergency circumstances, which treats diseases, injuries and deformities by manual or operative methods including, but not limited to, cosmetic, reconstructive, ophthalmic, orthopedic, vascular, thoracic, and obstetric procedures. The provisions in Section 698.12 of this title shall not be construed as surgery;&nbsp;</span></p> <p><span class="cls0">22. &ldquo;Abandonment&rdquo; means to forsake entirely or to neglect or refuse to provide or perform the legal obligations for care and support of an animal by its owner, or the owner&rsquo;s agent. Abandonment shall constitute the relinquishment of all rights and claims by the owner to an animal;&nbsp;</span></p> <p><span class="cls0">23. &ldquo;Animal chiropractic diagnosis and treatment&rdquo; means treatment that includes vertebral subluxation complex (vcs) and spinal manipulation of nonhuman vertebrates. The term &ldquo;animal chiropractic diagnosis and treatment&rdquo; shall not be construed to allow the:&nbsp;</span></p> <p class="cls15"><span class="cls0">a.&nbsp;&nbsp;use of x-rays,&nbsp;</span></p> <p class="cls15"><span class="cls0">b.&nbsp;&nbsp;performing of surgery,&nbsp;</span></p> <p class="cls15"><span class="cls0">c.&nbsp;&nbsp;dispensing or administering of medications, or&nbsp;</span></p> <p class="cls15"><span class="cls0">d.&nbsp;&nbsp;performance of traditional veterinary care;&nbsp;</span></p> <p><span class="cls0">24. &ldquo;Animal euthanasia technician&rdquo; means an employee of a law enforcement agency, an animal control agency, or animal shelter that is recognized and approved by the Board, who is certified by the Board and trained to administer sodium pentobarbital to euthanize injured, sick, homeless or unwanted domestic pets and other animals;&nbsp;</span></p> <p><span class="cls0">25. &ldquo;Teeth floating&rdquo;, as provided by a nonveterinary equine dental care provider, means the removal of enamel points and the smoothing, contouring and leveling of dental arcades and incisors of equine and other farm animals. It shall not include dental procedures on canines and felines;&nbsp;</span></p> <p><span class="cls0">26. &ldquo;Nonveterinary reproductive services&rdquo; means nonveterinary services provided by an individual certified by the Board as a nonveterinary reproductive services technician, and involves and shall be limited to nonsurgical embryo transfer in ruminating animals including cattle, sheep, goats, farmed deer and other ruminating exotic animals such as those found in zoos, and may include basic ultrasonography of their ovaries to evaluate the response to embryo-transfer-associated procedures and of the uterus to determine pregnancy by the detection of a heartbeat within the transferred embryo at or greater than twenty-eight (28) days of gestation of such ruminating animals;&nbsp;</span></p> <p><span class="cls0">27. &ldquo;Embryo transfer&rdquo; means the biosecure process of inducing increased ovulations within a donor female for the in vivo production of embryos, the flushing of those embryos, collecting, grading and transferring of those embryos to recipient females, or the cryopreservation of those embryos for storage and later transfer to recipient females;&nbsp;</span></p> <p><span class="cls0">28. &ldquo;Animal Technology Advisory Committee&rdquo; means the advisory committee established by the Board pursuant to Section 4 of this act to advise and make recommendations to the Board regarding any new and evolving technology, procedure, method or practice that may be considered or otherwise designated as an act of animal husbandry that should be included as an act not prohibited in paragraph 1 of Section 698.12 of the Oklahoma Veterinary Practice Act. Reference to the advisory committee in this act shall mean the Animal Technology Advisory Committee; and&nbsp;</span></p> <p><span class="cls0">29. &ldquo;Examination Committee&rdquo; means the committee established and described in subsection E of Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 2, emerg. eff. May 4, 1971. Amended by Laws 1982, c. 192, &sect; 1, emerg. eff. April 22, 1982; Laws 1990, c. 314, &sect; 1, eff. Sept. 1, 1990; Laws 1998, c. 80, &sect; 1, eff. Nov. 1, 1998; Laws 1999, c. 94, &sect; 2, eff. Nov. 1, 1999; Laws 2000, c. 199, &sect; 7, eff. Nov. 1, 2000; Laws 2000, c. 334, &sect; 5, eff. Nov. 1, 2000; Laws 2002, c. 172, &sect; 1, eff. Nov. 1, 2002; Laws 2010, c. 112, &sect; 1; Laws 2011, c. 83, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p><span class="cls0">NOTE: Laws 2000, c. 131, &sect; 4 repealed by Laws 2000, c. 334, &sect; 9, eff. Nov. 1, 2000.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.3. State Board of Veterinary Medical Examiners - Purpose - Conflicts of interest - Liability.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Veterinary Medical Examiners is hereby re-created, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, to regulate and enforce the practice of veterinary medicine in this state in accordance with the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">B. 1. The duty of determining a person's initial and continuing qualification and fitness for the practice of veterinary medicine, of proceeding against the unlawful and unlicensed practice of veterinary medicine and of enforcing the Oklahoma Veterinary Practice Act is hereby delegated to the Board. That duty shall be discharged in accordance with the Oklahoma Veterinary Practice Act and other applicable statutes.&nbsp;</span></p> <p class="cls2"><span class="cls0">2.&nbsp;&nbsp;a.&nbsp;&nbsp;It is necessary that the powers conferred on the Board by the Oklahoma Veterinary Practice Act be construed to protect the health, safety and welfare of the people of this state.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;No member of the Board, acting in that capacity or as a member of any Board committee, shall participate in the making of any decision or the taking of any action affecting such member&rsquo;s own personal, professional or pecuniary interest, or that of a person related to the member within the third degree by consanguinity, marriage or adoption or of a business or professional associate.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;With advice of legal counsel, the Board shall adopt and annually review a conflict of interest policy to enforce the provisions of the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">C. The practice of veterinary medicine is a privilege granted by the people of this state acting through their elected representatives. It is not a natural right of individuals. In the interest of the public, and to protect the public, it is necessary to provide laws and rules to govern the granting and subsequent use of the privilege to practice veterinary medicine. The primary responsibility and obligation of the Board is to protect the public from the unprofessional, improper, incompetent and unlawful practice of veterinary medicine.&nbsp;</span></p> <p><span class="cls0">D. The liability of any member or employee of the Board acting within the scope of Board duties or employment shall be governed by The Governmental Tort Claims Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 3, emerg. eff. May 4, 1971. Amended by Laws 1982, c. 32, &sect; 1, emerg. eff. March 26, 1982; Laws 1988, c. 225, &sect; 12; Laws 1990, c. 314, &sect; 2, eff. Sept. 1, 1990; Laws 1994, c. 112, &sect; 1, eff. July 1, 1994; Laws 1999, c. 94, &sect; 3, eff. Nov. 1, 1999; Laws 2000, c. 89, &sect; 1; Laws 2006, c. 48, &sect; 1; Laws 2012, c. 60, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.4. Appointment - Qualifications - Terms - Removal for cause.&nbsp;</span></p> <p><span class="cls0">A. 1. The State Board of Veterinary Medical Examiners shall consist of six (6) members, appointed by the Governor with the advice and consent of the Senate. The Board shall consist of five licensed veterinarian members, and one lay person representing the general public.&nbsp;</span></p> <p><span class="cls0">2. Each veterinary member shall be a graduate of an approved school of veterinary medicine, shall be a currently licensed veterinarian and shall have held an active license for the three (3) years preceding appointment to the Board. One member shall be appointed from each congressional district and any remaining members shall be appointed from the state at large. However, when congressional districts are redrawn each member appointed prior to July 1 of the year in which such modification becomes effective shall complete the current term of office and appointments made after July 1 of the year in which such modification becomes effective shall be based on the redrawn districts. Appointments made after July 1 of the year in which such modification becomes effective shall be from any redrawn districts which are not represented by a board member until such time as each of the modified congressional districts are represented by a board member. No appointments may be made after July 1 of the year in which such modification becomes effective if such appointment would result in more than two members serving from the same modified district.&nbsp;</span></p> <p><span class="cls0">3. Of the five licensed veterinarian members, one must be an equine practitioner and one must be a large animal practitioner.&nbsp;</span></p> <p><span class="cls0">4. The lay member shall have no financial interest in the profession other than as a consumer or potential consumer of its services.&nbsp;</span></p> <p><span class="cls0">5. Members must be residents of the State of Oklahoma and be persons of integrity and good reputation. No member shall be a registered lobbyist. No member shall be an officer, board member or employee of a statewide or national organization established for the purpose of advocating the interests of or conducting peer review of veterinarians licensed pursuant to the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Members of the Board shall be appointed for a term of five (5) years. No member shall serve consecutively for more than two (2) terms. Not more than two (2) terms shall expire in each year, and vacancies for the remainder of an unexpired term shall be filled by appointment by the Governor. Members shall serve beyond the expiration of their term until a successor is appointed by the Governor. The initial appointee for the Board position created on November 1, 1999, shall be appointed for less than five (5) years to abide by staggered term requirements. The Governor shall appoint to a vacancy within ninety (90) days of the beginning of the vacancy. Nominees considered by the Governor for appointment to the Board must be free of pending disciplinary action or active investigation by the Board.&nbsp;</span></p> <p><span class="cls0">C. A member may be removed from the Board by the Governor for cause which shall include, but not be limited to, if a member:&nbsp;</span></p> <p><span class="cls0">1. Ceases to be qualified;&nbsp;</span></p> <p><span class="cls0">2. Is found guilty by a court of competent jurisdiction of a felony or unlawful act which involves moral turpitude;&nbsp;</span></p> <p><span class="cls0">3. Is found guilty of malfeasance, misfeasance or nonfeasance in relation to Board duties;&nbsp;</span></p> <p><span class="cls0">4. Is found mentally incompetent by a court of competent jurisdiction;&nbsp;</span></p> <p><span class="cls0">5. Is found in violation of the Oklahoma Veterinary Practice Act; or&nbsp;</span></p> <p><span class="cls0">6. Fails to attend three successive Board meetings without just cause as determined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 4, emerg. eff. May 4, 1971. Amended by Laws 1990, c. 314, &sect; 3, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 4, eff. Nov. 1, 1999; Laws 2002, c. 375, &sect; 8, eff. Nov. 5, 2002; Laws 2010, c. 112, &sect; 2.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59698.5. Oath of office Officers, powers and duties Reports - Standing or ad hoc committees.&nbsp;</span></p> <p><span class="cls0">A. 1. Each member of the State Board of Veterinary Medical Examiners shall take the constitutional oath of office.&nbsp;</span></p> <p><span class="cls0">2. The Board shall organize annually, at the last meeting of the Board before the beginning of the next fiscal year, by electing from the Board membership a president, vicepresident and secretarytreasurer. Officers of the Board shall serve for terms of one (1) year or until their successors are elected. Officers shall not succeed themselves for more than one term. The lay member appointed to the Board shall not hold elective office.&nbsp;</span></p> <p><span class="cls0">B. 1. The president shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;preside at Board meetings,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;arrange the Board agenda,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;sign Board orders and other required documents,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;appoint Board committees and their chairpersons,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;coordinate Board activities,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;represent the Board before legislative committees, and&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;perform those other duties assigned by the Board and this section.&nbsp;</span></p> <p><span class="cls0">2. The vicepresident shall perform the duties of president during the president&rsquo;s absence or disability and shall assist the president in duties as requested.&nbsp;</span></p> <p><span class="cls0">3. The secretary-treasurer shall be responsible for the administrative functions of the Board.&nbsp;</span></p> <p><span class="cls0">4. The employment of administrative, investigative, legal and clerical personnel shall be subject to the approval of the Board.&nbsp;</span></p> <p><span class="cls0">5. At the end of each fiscal year the president and secretarytreasurer shall prepare or cause to be prepared and submit to the Governor a report on the transactions of the Board.&nbsp;</span></p> <p><span class="cls0">C. To facilitate its work effectively, fulfill its duties and exercise its powers, the Board may establish standing or ad hoc committees. The president shall appoint members and chairpersons of the committees and determine the length of terms of service. The president may appoint individuals to serve on a standing or ad hoc committee for a term not to exceed one (1) year.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 5, emerg. eff. May 4, 1971. Amended by Laws 1980, c. 159, &sect; 13, emerg. eff. April 2, 1980; Laws 1990, c. 314, &sect; 4, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 5, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.5a. Authority and duties.&nbsp;</span></p> <p><span class="cls0">A. 1. Investigators for the State Board of Veterinary Medical Examiners shall perform such services as are necessary in the investigation of criminal activity or preparation of administrative actions.&nbsp;</span></p> <p><span class="cls0">2. In addition, investigators shall have the authority and duty to investigate and inspect the records of all licensees in order to determine whether the licensee is in compliance with applicable narcotics and dangerous drug laws and regulations.&nbsp;</span></p> <p><span class="cls0">B. Any investigator certified as a peace officer by the Council on Law Enforcement Education and Training shall have statewide jurisdiction to perform the duties authorized by this section. In addition, the investigator shall be considered a peace officer and shall have the powers now or hereafter vested by law in peace officers.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1998, c. 80, &sect; 2, eff. Nov. 1, 1998. Amended by Laws 1999, c. 94, &sect; 6, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59698.6. Meetings Notice - Emergency meetings - Travel expenses - Revenues and funds - Increases in fees, charges, etc.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Veterinary Medical Examiners shall meet at least once each year in the first half of the calendar year and once each year in the second half of the calendar year. In addition, the Board may meet at other times of the year as is deemed necessary to conduct the business of the Board. The Board shall meet at the time and place fixed by order of the Board president or by order of three members of the Board acting jointly upon refusal of the president to call for or fix a time and place for said meeting.&nbsp;</span></p> <p><span class="cls0">B. 1. Notice of meetings shall be filed in conformance with the Oklahoma Open Meeting Act. Members shall be notified of each meeting at least twenty (20) days before said meeting, except in the case of a meeting called for emergency purposes.&nbsp;</span></p> <p><span class="cls0">2. Emergency meetings may be called at any time by the president or at the request of three Board members as required to enforce the Oklahoma Veterinary Practice Act. The Board may establish procedures by which the Board may call an emergency meeting in accordance with the Oklahoma Open Meeting Act. The Board may establish procedures by which committee advice may be obtained in cases of emergency.&nbsp;</span></p> <p><span class="cls0">3. The Board shall establish a system for giving all Board and committee members and the public reasonable notice of scheduled meetings.&nbsp;</span></p> <p><span class="cls0">4. Minutes of all Board and committee meetings shall be kept in accordance with promulgated rules of the Board and other applicable statutes.&nbsp;</span></p> <p><span class="cls0">C. All meetings of the Board and its committees shall be open to the public except as set out in Article II of the Administrative Procedures Act and the Oklahoma Open Meeting Act.&nbsp;</span></p> <p><span class="cls0">D. Each Board member shall receive reimbursement for expenses in accordance with the Oklahoma Travel Reimbursement Act and rules promulgated by the Board.&nbsp;</span></p> <p><span class="cls0">E. 1. The Board shall be fully supported by the revenues generated from its activities, including fees, charges and reimbursed costs.&nbsp;</span></p> <p><span class="cls0">2. All such revenues, with the exception of the ten percent (10%) of its revenue required to be deposited in the General Revenue Fund, shall be deposited to the Veterinary Medical Examiners Fund and shall be credited to the account of the State Board of Veterinary Medical Examiners. Any revenue remaining in the revolving fund at the end of any fiscal year shall be carried over to the next fiscal year in the account of the State Board of Veterinary Medical Examiners.&nbsp;</span></p> <p><span class="cls0">3. The Board shall operate on the fiscal year beginning July 1 and ending June 30 of each year.&nbsp;</span></p> <p><span class="cls0">4. The Board shall develop and adopt its own budget reflecting revenues, including reimbursed costs associated with the administrative, investigative, and legal expenditures for taking disciplinary action, and the establishment and maintenance of a reasonable reserve fund.&nbsp;</span></p> <p><span class="cls0">F. All fees, charges, reimbursement minimums and other revenue generating amounts shall be promulgated by the Board by rule and shall reflect normal increases due to inflation or cost of doing business.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 6, emerg. eff. May 4, 1971. Amended by Laws 1982, c. 192, &sect; 2, emerg. eff. April 22, 1982; Laws 1985, c. 178, &sect; 36, operative July 1, 1985; Laws 1990, c. 314, &sect; 5, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 7, eff. Nov. 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1982, c. 32, &sect; 2 repealed by Laws 1985, c. 178, &sect; 81, operative July 1, 1985.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.7. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">The State Board of Veterinary Medical Examiners shall have the powers and it shall also be its duty to regulate the practice of veterinary medicine. In addition to any other powers placed on it by the Oklahoma Veterinary Practice Act or as otherwise provided by law, the Board shall have the power and duty to:&nbsp;</span></p> <p class="cls2"><span class="cls0">1.&nbsp;&nbsp;a.&nbsp;&nbsp;set standards for licensure or certification by examination and develop such examinations as will provide assurance of competency to practice, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;employ or enter into agreements with organizations or agencies to provide examinations acceptable to the Board or employ or enter into agreements with organizations or agencies to provide administration, preparation or scoring of examinations;&nbsp;</span></p> <p><span class="cls0">2. Set fees;&nbsp;</span></p> <p><span class="cls0">3. Prescribe the time, place, method, manner, scope and subjects of examination for licensure;&nbsp;</span></p> <p><span class="cls0">4. Prepare or select, conduct or direct the conduct of, set minimum requirements for, and assure security of licensing and other required examinations;&nbsp;</span></p> <p class="cls2"><span class="cls0">5.&nbsp;&nbsp;a.&nbsp;&nbsp;issue or deny licenses and certificates and renewals thereof,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;acquire information about and evaluate the professional education and training of applicants for licensure or certification; and accept or deny applications for licensure, certification or renewal of either licensure or certification based on the evaluation of information relating to applicant fitness, performance or competency to practice,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;determine which professional schools, colleges, universities, training institutions and educational programs are acceptable in connection with licensure pursuant to the Oklahoma Veterinary Practice Act, and accept the approval of such facilities and programs by American-Veterinary-Medical-Association-accredited institutions in the United States and Canada,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;require supporting documentation or other acceptable verifying evidence for any information provided the Board by an applicant for licensure or certification, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;require information on an applicant's fitness, qualification and previous professional record and performance from recognized data sources including, but not limited to, other licensing and disciplinary authorities of other jurisdictions, professional education and training institutions, liability insurers, animal health care institutions and law enforcement agencies;&nbsp;</span></p> <p><span class="cls0">6. Develop and use applications and other necessary forms and related procedures for purposes of the Oklahoma Veterinary Practice Act;&nbsp;</span></p> <p class="cls2"><span class="cls0">7.&nbsp;&nbsp;a.&nbsp;&nbsp;review and investigate complaints and adverse information about licensees and certificate holders,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;conduct hearings in accordance with the Oklahoma Veterinary Practice Act and the Administrative Procedures Act, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;adjudicate matters that come before the Board for judgment pursuant to the Oklahoma Veterinary Practice Act upon clear and convincing evidence and issue final decisions on such matters to discipline licensees and certificate holders;&nbsp;</span></p> <p class="cls2"><span class="cls0">8.&nbsp;&nbsp;a.&nbsp;&nbsp;impose sanctions, deny licenses and certificates and renewals thereof, levy reimbursement costs, seek appropriate administrative, civil or criminal penalties or any combination of these against those who violate examination security, who attempt to or who do obtain licensure or certification by fraud, who knowingly assist in illegal activities, or who aid and abet the illegal practice of veterinary medicine,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;review and investigate complaints and adverse information about licensees and certificate holders,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;discipline licensees and certificate holders,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;institute proceedings in courts of competent jurisdiction to enforce Board orders and provisions of the Oklahoma Veterinary Practice Act,&nbsp;</span></p> <p class="cls3"><span class="cls0">e.&nbsp;&nbsp;(1)&nbsp;&nbsp;establish mechanisms for dealing with licensees and certificate holders who abuse or are dependent on or addicted to alcohol or other chemical substances, and enter into agreements, at its discretion, with professional organizations whose relevant procedures and techniques it has evaluated and approved for their cooperation or participation in the rehabilitation of the licensee or certificate holder,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;establish by rules cooperation with other professional organizations for the identification and monitoring of licensees and certificate holders in treatment who are chemically dependent or addicted, and&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;issue conditional, restricted or otherwise circumscribed modifications to licensure or certification as determined to be appropriate by due process procedures and summarily suspend a license if the Board has cause to believe by clear and convincing evidence such action is required to protect public or animal health and safety or to prevent continuation of incompetent practices;&nbsp;</span></p> <p><span class="cls0">9. Promulgate rules of professional conduct and require all licensees and certificate holders to practice in accordance therewith;&nbsp;</span></p> <p><span class="cls0">10. Act to halt the unlicensed or illegal practice of veterinary medicine and seek administrative, criminal and civil penalties against those engaged in such practice;&nbsp;</span></p> <p><span class="cls0">11. Establish appropriate fees and charges to ensure active and effective pursuit of Board responsibilities;&nbsp;</span></p> <p><span class="cls0">12. Employ, direct, reimburse, evaluate and dismiss staff in accordance with state procedures;&nbsp;</span></p> <p><span class="cls0">13. Establish policies for Board operations;&nbsp;</span></p> <p><span class="cls0">14. Respond to legislative inquiry regarding those changes in, or amendments to, the Oklahoma Veterinary Practice Act;&nbsp;</span></p> <p><span class="cls0">15. Act on its own motion in disciplinary matters, administer oaths, issue notices, issue subpoenas in the name of the State of Oklahoma, including subpoenas for client and animal records, hold hearings, institute court proceedings for contempt or to compel testimony or obedience to its orders and subpoenas, take evidentiary depositions and perform such other acts as are reasonable and necessary under law to carry out its duties;&nbsp;</span></p> <p><span class="cls0">16. Use clear and convincing evidence as the standard of proof and issue final decisions when acting as trier of fact in the performance of its adjudicatory duties;&nbsp;</span></p> <p><span class="cls0">17. Determine and direct Board operating, administrative, personnel and budget policies and procedures in accordance with applicable statutes;&nbsp;</span></p> <p><span class="cls0">18. Promulgate uniform rules such as may be necessary for carrying out and enforcing the provisions of the Oklahoma Veterinary Practice Act and such as in its discretion may be necessary to protect the health, safety and welfare of the public;&nbsp;</span></p> <p><span class="cls0">19. Determine continuing education requirements;&nbsp;</span></p> <p><span class="cls0">20. Establish minimum standards for veterinary premises;&nbsp;</span></p> <p><span class="cls0">21. Establish standards for veterinary labeling and dispensing of veterinary prescription drugs and federal Food and Drug Administration-approved human drugs for animals which would conform to current applicable state and federal law and regulations;&nbsp;</span></p> <p><span class="cls0">22. Promulgate rules such as may be necessary for carrying out and enforcing provisions relating to certification of animal euthanasia technicians and approval of drugs to be used for euthanasia of animals in an animal shelter pursuant to the requirements of Section 502 of Title 4 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">23. Shall conduct a national criminal history records search for certified animal euthanasia technicians:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the applicant shall furnish the Board two completed fingerprint cards and a money order or cashier's check made payable to the Oklahoma State Bureau of Investigation,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the Board shall forward the fingerprint cards, along with the applicable fee for a national fingerprint criminal history records search, to the Bureau, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the Bureau shall retain one set of fingerprints in the Automated Fingerprint Identification System (AFIS) and submit the other set to the Federal Bureau of Investigation (FBI) for a national criminal history records search;&nbsp;</span></p> <p><span class="cls0">24. Establish standards for animal chiropractic diagnosis and treatment. The standards shall include but not be limited to a requirement that a veterinarian who holds himself or herself out to the public as certified to engage in animal chiropractic diagnosis and treatment shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;carry at least One Million Dollars ($1,000,000.00) of additional malpractice coverage to perform animal chiropractic diagnosis and treatment, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;have appropriate training in animal chiropractic diagnosis and treatment. The Veterinary Examining Board shall have the authority to establish educational criteria for certification standards in animal chiropractic diagnosis and treatment. The Veterinary Examining Board shall work in conjunction with the Board of Chiropractic Examiners to establish comparable standards for the practice of animal chiropractic diagnosis and treatment for both medical professions within thirty (30) days after the effective date of this act. The Board shall certify any licensed veterinarian wishing to engage in animal chiropractic diagnosis and treatment who meets the standards established by the Board pursuant to this paragraph. Upon request, the Board shall make available to the public a list of licensed veterinarians so certified; and&nbsp;</span></p> <p><span class="cls0">25. Perform such other duties and exercise such other powers as the provisions and enforcement of the Oklahoma Veterinary Practice Act may require.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 7, emerg. eff. May 4, 1971. Amended by Laws 1982, c. 192, &sect; 3, emerg. eff. April 22, 1982; Laws 1990, c. 314, &sect; 6, eff. Sept. 1, 1990; Laws 1997, c. 143, &sect; 1, eff. Nov. 1, 1997; Laws 1999, c. 94, &sect; 8, eff. Nov. 1, 1999; Laws 2000, c. 199, &sect; 5, eff. Nov. 1, 2000; Laws 2000, c. 334, &sect; 6, eff. Nov. 1, 2000; Laws 2002, c. 172, &sect; 2, eff. Nov. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2000, c. 131, &sect; 5 repealed by Laws 2000, c. 334, &sect; 9, eff. Nov. 1, 2000.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59698.8. Licenses Evidence of suitability to practice - Practice without license - Certificate in lieu of license.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful to practice veterinary medicine in this state without a license or certificate issued by the State Board of Veterinary Medical Examiners.&nbsp;</span></p> <p><span class="cls0">B. Requirements for licensure or certification shall be set by the Board and may be changed as the education and training for the practice of veterinary medicine changes. Prior to issuance of a license or certificate to practice veterinary medicine in this state, the applicant shall have been found by the Board to be of good moral character and the Board shall consider but not be limited to the following evidence of suitability to practice:&nbsp;</span></p> <p class="cls2"><span class="cls0">1. a.&nbsp;&nbsp;Graduation from an approved school of veterinary medicine whose requirements at the time of graduation are acceptable to the Board.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Graduates of schools of veterinary medicine located outside the United States and Canada shall be held to the same standards for evidence of suitability to practice as are graduates of schools of veterinary medicine located within the United States in that applicants shall conform in all respects to the requirements set forth in this section. Where necessary, further examination shall be administered by the Board or its designee to determine competency to practice. In addition, applicants shall demonstrate a command of the English language satisfactory to the Board. Documents and material submitted in support of application for licensure or certification, if in a foreign language, shall be translated and certified as accurate by an organization acceptable to the Board;&nbsp;</span></p> <p><span class="cls0">2. Satisfactory completion of a minimum number of months of education in veterinary medicine as a requirement for graduation from a school of veterinary medicine as set by the Board;&nbsp;</span></p> <p><span class="cls0">3. Evidence that the applicant for licensure or certification is of good moral character;&nbsp;</span></p> <p class="cls15"><span class="cls0">4. a.&nbsp;&nbsp;Except as otherwise provided by this paragraph, evidence that the applicant has passed examinations satisfactory to the Board and that the examination score is acceptable to the Board. The Board may set minimum passing scores for examinations and limit the number of times an applicant may take an examination in this state.&nbsp;</span></p> <p class="cls15"><span class="cls0">b.&nbsp;&nbsp;In lieu of national examination requirements, an applicant shall have actively engaged in the clinical practice of veterinary medicine for a period of at least five thousand (5,000) hours during the five (5) consecutive years immediately prior to making application in Oklahoma and hold a license to practice veterinary medicine in another state, territory, district or province of the United States and Canada and successfully passed the Oklahoma State Jurisprudence Examination;&nbsp;</span></p> <p><span class="cls0">5. Evidence that the applicant has demonstrated familiarity with the statutes and rules set by the Board;&nbsp;</span></p> <p><span class="cls0">6. Evidence that the applicant is mentally and professionally capable of practicing veterinary medicine in a competent manner as determined by the Board and willing to submit, if deemed appropriate by the Board, to an evaluation of skills and abilities;&nbsp;</span></p> <p><span class="cls0">7. Evidence that the applicant has not been found guilty by a court of law of any conduct that would constitute grounds for disciplinary action under the Oklahoma Veterinary Practice Act or rules of the Board, and there has been no disciplinary action taken against the applicant by any public agency concerned with the practice of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">8. If the Board deems it necessary, a personal appearance by the applicant before the Board in support of the applicant&rsquo;s application for licensure or certification. If the Board is not satisfied with the credentials of the applicant, or demonstration of knowledge or skills presented, the Board may require further examination or supervised practice before reconsideration of the application; and&nbsp;</span></p> <p><span class="cls0">9. Evidence that all required fees have been paid.&nbsp;</span></p> <p><span class="cls0">C. Practice without the legal possession of an active license or certificate shall be prohibited, and evidence of said practice shall be reported by the Board to the district attorney of the county in which the practice is found to occur.&nbsp;</span></p> <p><span class="cls0">D. Certificates may be issued to any veterinarian who has failed to obtain or failed to maintain a regular license to practice veterinary medicine. Such certificates may be issued by the Board at such times as the Board determines that all requirements for possession of such certificate have been met as set by rules and policies of the Board. Certificates may be issued for, but not limited to, the practice of veterinary medicine under the direct supervision of a licensed veterinarian while the application for full licensure is pending.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 8, emerg. eff. May 4, 1971. Amended by Laws 1976, c. 48, &sect; 1, emerg. eff. April 9, 1976; Laws 1982, c. 192, &sect; 4, emerg. eff. April 22, 1982; Laws 1990, c. 314, &sect; 7, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 9, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.8a. Veterinary faculty license.&nbsp;</span></p> <p><span class="cls0">The State Board of Veterinary Medical Examiners may issue a veterinary faculty license to any qualified applicant associated with one of the state's institutions of higher learning and involved in the instructional program of either undergraduate or graduate veterinary medical students, subject to the following conditions:&nbsp;</span></p> <p><span class="cls0">1. The holder of the veterinary faculty license shall be remunerated for the practice aspects of the services of the holder solely from state, federal or institutional funds and not from the patient-owner beneficiary of his practice efforts;&nbsp;</span></p> <p><span class="cls0">2. The applicant will furnish the Board with such proof as the Board may deem necessary to demonstrate that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the applicant is a graduate of a reputable school or college of veterinary medicine,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the applicant has or will have a faculty position at one of the state's institutions of higher learning and will be involved in the instructional program of either undergraduate or graduate veterinary medical students, as certified by an authorized administrative official at such institution, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the applicant understands and agrees that the faculty license is valid only for the practice of veterinary medicine as a faculty member of the institution;&nbsp;</span></p> <p><span class="cls0">3. The license issued pursuant to this section may be revoked, suspended or not renewed or the licensee may be placed on probation or otherwise disciplined in accordance with the provisions of the Oklahoma Veterinary Practice Act; and&nbsp;</span></p> <p><span class="cls0">4. The license issued pursuant to this section may be canceled by the Board upon receipt of information that the holder of the veterinary faculty license has left or has otherwise been discontinued from faculty employment at an institution of higher learning of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 265, &sect; 21, eff. Oct. 1, 1991. Amended by Laws 1999, c. 94, &sect; 10, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.9. Repealed by Laws 1990, c. 314, &sect; 16, eff. Sept. 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-698.9a. Reinstatement of suspended, revoked or nonrenewed licenses or certificates.&nbsp;</span></p> <p><span class="cls0">A. 1. Licenses or certificates suspended, revoked or not renewed for any purpose may be reinstated upon the motion of the State Board of Veterinary Medical Examiners upon proper application of the licensee or certificate holder.&nbsp;</span></p> <p><span class="cls0">2. A license or certificate suspended for failure to renew may be reinstated by the president or secretary-treasurer of the Board. Provided, such action shall be approved or ratified, or may be rescinded by the Board at the Board meeting following such action.&nbsp;</span></p> <p><span class="cls0">B. Requirements for reinstatement of a license or certificate which has been suspended, revoked or not renewed shall be by rule and shall include, but not be limited to, evidence that:&nbsp;</span></p> <p><span class="cls0">1. All requirements for full licensure or certification have been met; and&nbsp;</span></p> <p><span class="cls0">2. The applicant has not been convicted or the applicant&rsquo;s license or certificate suspended, revoked or not renewed or placed on probation in another state for violations of an act that would constitute the same or similar penalty in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 314, &sect; 8, eff. Sept. 1, 1990. Amended by Laws 1999, c. 94, &sect; 11, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.10. Repealed by Laws 1990, c. 314, &sect; 16, eff. Sept. 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-698.10a. Renewal certificate of registration - Application - Failure to renew - Fee - Automatic suspension.&nbsp;</span></p> <p><span class="cls0">A. Every licensed veterinarian who is the holder of a license or certificate authorizing the practice of veterinary medicine in any manner whatsoever shall on or before the first day of July of each and every year apply to the State Board of Veterinary Medical Examiners on forms furnished by the Board, for a renewal certificate of registration entitling such veterinarian to practice veterinary medicine in this state during the next fiscal year. Each such application shall be accompanied by a renewal fee in an amount fixed by the Board.&nbsp;</span></p> <p><span class="cls0">B. The Board may modify the terms and dates of renewal requirements in order to expedite the efficiency of the procedure and to prevent inequitable financial burden on its applicants and licensees.&nbsp;</span></p> <p><span class="cls0">C. 1. Failure to renew a license or certificate properly shall be evidence of noncompliance with the laws of this state and rules of the Board.&nbsp;</span></p> <p><span class="cls0">2. The license or certificate shall automatically be placed in an inactive status for failure to renew and shall be considered inactive and not in good standing for purposes of practice of veterinary medicine.&nbsp;</span></p> <p><span class="cls0">D. 1. If, within sixty (60) calendar days after July 1 the licensee or certificate holder pays the renewal fee plus any reactivation fee set by rule by the Board, the president or secretary-treasurer of the Board may reactivate the license or certificate.&nbsp;</span></p> <p><span class="cls0">2. If sixty (60) calendar days elapses and the license or certificate is not reactivated, the license or certificate shall be automatically suspended for failure to renew.&nbsp;</span></p> <p><span class="cls0">3. A license or certificate suspended for failure to renew may be reinstated pursuant to the provisions of Section 698.9a of this title.&nbsp;</span></p> <p><span class="cls0">E. Practice of veterinary medicine is prohibited unless the license or certificate is active and in good standing with the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 314, &sect; 9, eff. Sept. 1, 1990. Amended by Laws 1999, c. 94, &sect; 12, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.11. Practice defined.&nbsp;</span></p> <p><span class="cls0">A. The practice of veterinary medicine shall include, but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Diagnosing, surgery, treating, correcting, changing, relieving, or preventing animal disease, deformity, defect, injury or other physical or mental conditions including the prescribing or administering of any drug, medicine, biologic, apparatus, application, anesthetic, telemedicine, animal chiropractic diagnosis and treatment, or other therapeutic diagnostic substance or technique; dentistry; complementary and alternative therapies to be defined by rule pursuant to Section 698.7 of Title 59 of the Oklahoma Statutes; testing for pregnancy or correcting sterility or enhancing fertility; or rendering advice or recommendation with regard to any of the above; &nbsp;</span></p> <p><span class="cls0">2. Representing, directly or indirectly, publicly or privately, an ability and willingness to do any act prescribed in paragraph 1 of this subsection; and&nbsp;</span></p> <p><span class="cls0">3. Using any title words, abbreviation or letters by any person other than a licensed veterinarian in a manner or under circumstances which induce the belief that the person using them is qualified to do any act described in paragraph 1 of this subsection. Such use shall be prima facie evidence of the intention to represent oneself as a licensed veterinarian engaged in the practice of veterinary medicine.&nbsp;</span></p> <p><span class="cls0">B. Any person licensed to practice veterinary medicine pursuant to the Oklahoma Veterinary Practice Act, may use the word &ldquo;Doctor&rdquo;, or an abbreviation thereof, and shall have the right to use, whether or not in conjunction with the word &ldquo;Doctor&rdquo; or any abbreviation thereof, the designation &ldquo;D.V.M.&rdquo; or &ldquo;V.M.D.&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 11, emerg. eff. May 4, 1971. Amended by Laws 1990, c. 314, &sect; 10, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 13, eff. Nov. 1, 1999; Laws 2000, c. 131, &sect; 6, eff. Nov. 1, 2000; Laws 2003, c. 84, &sect; 1, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.12. Acts not prohibited.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Veterinary Practice Act shall not be construed to prohibit:&nbsp;</span></p> <p><span class="cls0">1. Acts of animal husbandry consisting of dehorning, branding, tagging or notching ears, teeth floating, farriery, pregnancy checking by transrectal palpation, collecting semen, preparing semen, freezing semen, castrating, worming, vaccinating, injecting or nonsurgical artificial insemination of farm animals; or the acts or conduct of a person advising with respect to nutrition, feeds or feeding; and such other acts designated by administrative rule of the Board which may be recommended by the Animal Technology Advisory Committee;&nbsp;</span></p> <p><span class="cls0">2. The owner of an animal or the owner's employees or helpers from caring for or treating animals belonging to the owner; provided that, the acts of the owner's employees or helpers otherwise prohibited by the Oklahoma Veterinary Practice Act are only an incidental part of the employment duties and for which no special compensation is made;&nbsp;</span></p> <p><span class="cls0">3. Acts of a person in lawful possession of an animal for some other purpose than practicing veterinary medicine; provided that, no charge may be made or included in any other charge or fee or adjustment otherwise made of any charge or fee for acts performed pursuant to this subsection unless the acts are performed by a licensed veterinarian as provided by the Oklahoma Veterinary Practice Act;&nbsp;</span></p> <p><span class="cls0">4. Acts of auction markets and other shippers of food animals in preparing such animals for shipment;&nbsp;</span></p> <p><span class="cls0">5. Acts of a person who is a student in good standing in a veterinary school, in performing duties or functions assigned by the student&rsquo;s instructors, or working under the direct supervision of a licensed veterinarian for each individual case and acts performed by an instructor or student in a school of veterinary medicine recognized by the Board and performed as a part of the educational and training curriculum of the school under the direct supervision of faculty. The unsupervised or unauthorized practice of veterinary medicine even though on the premises of a school of veterinary medicine is prohibited;&nbsp;</span></p> <p><span class="cls0">6. Acts of any employee in the course of employment by the federal government or acts of a veterinarian practicing on property and persons outside the jurisdiction of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">7. A veterinarian currently licensed in another state from consulting with a licensed veterinarian of this state;&nbsp;</span></p> <p><span class="cls0">8. Acts of agriculture education instructors or students while engaged in regular agriculture education instruction in programs approved by the Oklahoma Department of Career and Technology Education; provided that said acts are under the supervision of instructors and are carried out in the usual course of instruction and not as independent practice by an unlicensed veterinarian without supervision;&nbsp;</span></p> <p><span class="cls0">9. Any person employed by a licensed veterinarian who is assisting with the professional duties of the licensed veterinarian and who is under the direct supervision of the licensed veterinarian from administering medication or rendering auxiliary or supporting assistance under the direct supervision of such licensed veterinarian, provided that the practice is conducted in compliance with all laws of this state and rules of this Board;&nbsp;</span></p> <p><span class="cls0">10. Any chiropractic physician licensed in this state who is certified by the Board of Chiropractic Examiners to engage in animal chiropractic diagnosis and treatment from practicing animal chiropractic diagnosis and treatment;&nbsp;</span></p> <p><span class="cls0">11. Any chiropractic physician licensed in this state who is not certified to practice animal chiropractic diagnosis and treatment by the Board of Chiropractic Examiners from providing chiropractic treatment to an animal referred to such chiropractic physician by a licensed veterinarian;&nbsp;</span></p> <p><span class="cls0">12. Any individual that is certified in animal massage therapy and acquires liability insurance from engaging in animal massage therapy after referral from a licensed veterinarian; &nbsp;</span></p> <p><span class="cls0">13. Any individual that is certified by the State Board of Veterinary Medical Examiners and pays a certification fee of Two Hundred Dollars ($200.00) under subsection A of Section 698.30 of this title from engaging in nonveterinary equine dental care; or&nbsp;</span></p> <p><span class="cls0">14. Any individual that is certified by the Board pursuant to Section 3 of this act and pays a certification fee of Two Hundred Dollars ($200.00) from providing nonveterinary reproductive services as defined by Section 698.2 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 12, emerg. eff. May 4, 1971. Amended by Laws 1982, c. 192, &sect; 6, emerg. eff. April 22, 1982; Laws 1990, c. 314, &sect; 11, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 14, eff. Nov. 1, 1999; Laws 2000, c. 131, &sect; 7, eff. Nov. 1, 2000; Laws 2002, c. 172, &sect; 3, eff. Nov. 1, 2002; Laws 2005, c. 172, &sect; 1, eff. Nov. 1, 2005; Laws 2010, c. 112, &sect; 3; Laws 2011, c. 83, &sect; 2, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.13. Repealed by Laws 1999, c. 94, &sect; 30, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-698.14. Repealed by Laws 1990, c. 314, &sect; 16, eff. Sept. 1, 1990.&nbsp;</span></p> <p><span class="cls0">&sect;59-698.14a. Sanctions &ndash; Enforcement actions &ndash; Injunctions &ndash; Suspension or revocation of license or certificate &ndash; Complaints &ndash; Hearings &ndash; Penalties.&nbsp;</span></p> <p><span class="cls0">A. A range of sanctions is hereby made available to the State Board of Veterinary Medical Examiners which includes, but is not limited to:&nbsp;</span></p> <p><span class="cls0">1. Revocation of licensure or certification;&nbsp;</span></p> <p><span class="cls0">2. Suspension of licensure or certification;&nbsp;</span></p> <p><span class="cls0">3. Probation of licensure or certification;&nbsp;</span></p> <p><span class="cls0">4. Refusal to renew a license or certification;&nbsp;</span></p> <p><span class="cls0">5. Injunctions and other civil court actions;&nbsp;</span></p> <p><span class="cls0">6. Reprimand, censure, agreement to voluntary stipulation of facts and imposition of terms of disciplinary action;&nbsp;</span></p> <p><span class="cls0">7. Administrative citation and administrative penalties; and&nbsp;</span></p> <p><span class="cls0">8. Prosecution through the office of the district attorney.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board may take such action as the nature of the violation requires.&nbsp;</span></p> <p><span class="cls0">2. Upon a determination that a violation has been committed, the Board shall, by clear and convincing evidence, have the authority to impose upon the alleged violator, the payment of costs expended by the Board in investigating and prosecuting the cause, to include, but not be limited to, staff time, salary and travel expenses, witness fees and attorney fees and same shall be considered part of the order of the Board.&nbsp;</span></p> <p><span class="cls0">3. The Board shall make report of action to any association, organization or entity deemed appropriate for transmittal of the public record but shall in no cause be held liable for the content of the reported action or be made a party to action taken as a result of the sanction imposed by the State Board of Veterinary Medical Examiners.&nbsp;</span></p> <p><span class="cls0">C. The president or secretary-treasurer of the Board may issue a confidential letter of concern to a licensee or certificate holder when, though evidence does not warrant formal proceedings, there has been noted indications of possible misconduct by the licensee or certificate holder that could lead to serious consequences and formal action.&nbsp;</span></p> <p><span class="cls0">D. The Board may require an applicant for licensure or certification or a licensee or certificate holder to be examined on the applicant&rsquo;s or holder&rsquo;s medical knowledge and skills should the Board find, after due process, that there is probable cause to believe the licensee or certificate holder or applicant may be deficient in such knowledge and skills.&nbsp;</span></p> <p><span class="cls0">E. The Board may take disciplinary action or other sanctions upon clear and convincing evidence of unprofessional or dishonorable conduct, which shall include, but not be limited to:&nbsp;</span></p> <p><span class="cls0">1. Fraud or misrepresentation in applying for or procuring a license or certificate to practice veterinary medicine in any federal, state or local jurisdiction;&nbsp;</span></p> <p><span class="cls0">2. Cheating on or attempting to cheat on or subvert in any manner whatsoever the licensing or certificate examination or any portion thereof;&nbsp;</span></p> <p><span class="cls0">3. The conviction of or entry of a guilty plea or plea of nolo contendere involving a felony in this or any other jurisdiction, whether or not related to the practice of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">4. Conduct likely to deceive, defraud, or harm the public;&nbsp;</span></p> <p><span class="cls0">5. The making of a false or misleading statement regarding one&rsquo;s skill or the efficacy or value of the medicine, treatment or remedy prescribed by the licensed veterinarian or at the licensed veterinarian&rsquo;s direction in the treatment of any disease or other condition of the animal;&nbsp;</span></p> <p><span class="cls0">6. Representing to a client that a manifestly incurable condition, sickness, disease or injury can be cured or healed;&nbsp;</span></p> <p><span class="cls0">7. Negligence in the practice of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">8. Practice or other behavior that demonstrates a manifest incapacity or incompetence to practice veterinary medicine;&nbsp;</span></p> <p><span class="cls0">9. The use of any false, fraudulent or deceptive statement in any document connected with the practice of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">10. Failure to notify the Board of current address of practice;&nbsp;</span></p> <p><span class="cls0">11. Aiding or abetting the practice of veterinary medicine by an unlicensed, incompetent or impaired person;&nbsp;</span></p> <p><span class="cls0">12. Habitual use or abuse of alcohol or of a habit-forming drug or chemical which impairs the ability of the licensee or certificate holder to practice veterinary medicine;&nbsp;</span></p> <p><span class="cls0">13. Violation of any laws relating to the administration, prescribing or dispensing of controlled dangerous substances or violation of any laws of the federal government or any state of the United States relative to controlled dangerous substances;&nbsp;</span></p> <p><span class="cls0">14. Obtaining a fee by fraud or misrepresentation;&nbsp;</span></p> <p><span class="cls0">15. Directly or indirectly giving or receiving any fee, commission, rebate or other compensation for professional services not actually and personally rendered, not to preclude the legal function of a lawful professional partnership, corporation or association;&nbsp;</span></p> <p><span class="cls0">16. Failure to report to the Board any adverse action taken by another jurisdictional body, by any peer review body, health-related licensing or disciplinary jurisdiction, law enforcement agency or court for acts or conduct related to the practice of veterinary medicine;&nbsp;</span></p> <p><span class="cls0">17. Failure to report to the Board surrender of a license or other certificate of authorization to perform functions based on the holding of a license or certificate to practice veterinary medicine or surrender of membership in any organization or association related to veterinary medicine while under investigation by that association or organization for conduct similar to or the same as acts which would constitute grounds for action as defined in the Oklahoma Veterinary Practice Act;&nbsp;</span></p> <p><span class="cls0">18. Failure to furnish the Board, its staff or agents information legally requested or failure to cooperate with a lawful investigation conducted by or on behalf of the Board;&nbsp;</span></p> <p><span class="cls0">19. Failure to pay appropriately assessed fees or failure to make any personal appearance required by the Board or any of its officers;&nbsp;</span></p> <p><span class="cls0">20. The practice of veterinary medicine in the absence of a bona fide veterinarian-client-patient relationship. The preclusion of a veterinarian-client-patient relationship by a veterinarian who in good faith renders or attempts to render emergency care to a victim pursuant to a Good Samaritan application shall not constitute grounds for discipline pursuant to the Oklahoma Veterinary Practice Act;&nbsp;</span></p> <p><span class="cls0">21. Providing vaccinations or elective surgical procedures on skunks, namely Mephitis mephitis (striped), Conepatus mesoleusus (hog-nosed), and Spilogale putorius (spotted), unless the animal is under the custody and care of a recognized zoological institution, research facility, or person possessing an appropriate and current wildlife permit issued by the Oklahoma Department of Wildlife Conservation or Oklahoma Department of Agriculture; or&nbsp;</span></p> <p><span class="cls0">22. Violation of any provisions of the Oklahoma Veterinary Practice Act or the rules and policies of the Board or of an action, stipulation or agreement of the Board.&nbsp;</span></p> <p><span class="cls0">F. 1. The Board may commence any legal action to enforce the provision of the Oklahoma Veterinary Practice Act and may exercise full discretion and authority with respect to enforcement actions. Administrative sanctions taken by the Board shall be made in accordance with Article II of the Administrative Procedures Act, the Oklahoma Veterinary Practice Act, and other applicable laws of this state. The Board shall take appropriate enforcement action when required, assuring fairness and due process to the defendant.&nbsp;</span></p> <p><span class="cls0">2. The Board or its designee may hold informal conferences to negotiate a settlement of a dispute; provided that the conference is agreed to in writing by all parties and said conference does not preclude a hearing on the same matters. The Board shall not consider the agreement binding should a hearing be held subsequent to the agreement.&nbsp;</span></p> <p><span class="cls0">G. The Board may summarily suspend a license or certificate prior to a formal hearing when it has found upon clear and convincing evidence that such action is required to protect the public or animal health or welfare or when a person under the jurisdiction of the Board is convicted of a felony, whether or not related to the practice of veterinary medicine; provided such action is taken simultaneously with proceedings for setting a formal hearing to be held within thirty (30) days after the summary suspension.&nbsp;</span></p> <p><span class="cls0">H. 1. The Board may issue an order to any licensee or certificate holder, obtain an injunction or take other administrative, civil or criminal court action against any person or any corporation or association, its officers, or directors, to restrain said persons from violating the provisions of the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">2. Violations of an injunction shall be punishable as contempt of court. No proof of actual damage to any animal shall be required for issuance of an order or an injunction, nor shall an injunction relieve those enjoined from administrative, civil or criminal prosecution for violation of the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">I. 1. The State Board of Veterinary Medical Examiners may suspend, revoke or refuse to renew the license or certificate of any person holding license or certificate to practice veterinary medicine in this state or place such person on probation for unprofessional conduct, but no such suspension or revocation or refusal to renew, or probation shall be made, unless otherwise provided for herein, until such be cited to appear for hearing. No such citation shall be issued except upon a sworn complaint filed with the president or secretary-treasurer of said Board charging the licensee or certificate holder with having been guilty of unprofessional conduct and setting forth the particular act or acts alleged to constitute such unprofessional conduct.&nbsp;</span></p> <p><span class="cls0">2. In the event it comes to the attention of the Board that a violation of the rules of professional conduct may have occurred, even though a formal complaint or charge may not have been filed, the Board may conduct an investigation of such possible violation, and may, upon its own motion, institute a formal complaint. In the course of such investigation, persons appearing before the Board may be required to testify under oath.&nbsp;</span></p> <p><span class="cls0">J. 1. Upon the filing of a complaint, either by an individual or the Board, the citation shall be issued by the president or secretary-treasurer of the Board over such officer&rsquo;s signature and seal of the Board, setting forth the particulars of the complaint, and giving due notice of the time and place of the hearing by the Board. The citation shall be made returnable at the next meeting of the Board at which hearing is set and shall be no less than thirty (30) days after issuance of the citation;&nbsp;</span></p> <p><span class="cls0">2. The accused shall file a written answer under oath with notice of intent to appear or be represented within twenty (20) days after the service of the citation. Failure to respond to the citation within the prescribed time shall constitute default;&nbsp;</span></p> <p><span class="cls0">3. The license or certificate of the accused shall be suspended, revoked or not renewed if the charges are found, by clear and convincing evidence, sufficient by the Board; provided, the president or secretary-treasurer of the Board may extend the time of answer upon satisfactory showing that the defendant is for reasonable cause, unable to answer within the prescribed twenty (20) days, but in no case shall the time be extended beyond the date of the next scheduled meeting for hearing the complaint, unless continuance thereof be granted by the Board; and&nbsp;</span></p> <p><span class="cls0">4. All citations and subpoenas under the contemplation of the Oklahoma Veterinary Practice Act shall be served in general accordance with the statutes of this state applying to the service of such documents. All provisions of the statutes of this state relating to citations and subpoenas are hereby made applicable to the citations and subpoenas herein provided. All the provisions of the statutes of this state governing the taking of testimony by depositions are made applicable to the taking of depositions pursuant to the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">K. The Executive Director, secretary-treasurer, designee, or prosecuting attorney for the Board, during the course of any lawful investigation, may order or subpoena the attendance of witnesses, the inspection of records, and premises and the production of relevant records, books, memoranda, documents, radiographs, or other papers or things for the investigation of matters that may come before the Board.&nbsp;</span></p> <p><span class="cls0">L. 1. The attendance of witnesses may be compelled in such hearings by subpoenas issued by the president or secretary-treasurer of the Board over the seal thereof, and the president or secretary-treasurer shall in no case refuse to issue subpoenas upon praecipe filed therefor accompanied by the fee set by the Board by rule for the issuance of such subpoenas.&nbsp;</span></p> <p><span class="cls0">2. If any person refuses to obey a subpoena properly served upon such person or in the manner, the fact of such refusal shall be certified by the secretary-treasurer of the Board over the seal thereof to the district attorney of the county in which such service was had, and the court shall proceed to hear said matter in accordance with the statutes of this state then in force governing contempt as for disobedience of its own process.&nbsp;</span></p> <p><span class="cls0">M. 1. The State of Oklahoma is a proper and necessary party in the prosecution of all such actions and hearings before the Board in all matters pertaining to unprofessional conduct and disciplinary action. The Attorney General of the state, in person or by deputy, is authorized to appear in behalf thereof. The defendant in any such actions shall have the right to be represented by counsel.&nbsp;</span></p> <p><span class="cls0">2. The Board is empowered to enter into agreement with or employ one or more attorneys to conduct the business of the Board in the absence of representation by the Attorney General or designee or in conjunction with representation by the Attorney General or designee.&nbsp;</span></p> <p><span class="cls0">3. The Board shall sit as a trial body and the rulings of the Board shall be by majority vote. Appeal to the rulings thereof shall be by petition to the district court of the district in which the hearing was held. The secretary-treasurer of the Board shall cause a record of all proceedings to be made and a transcript of the proceedings or any part thereof may be obtained by payment of actual cost of taking and preparation of transcript of such proceedings or part thereof.&nbsp;</span></p> <p><span class="cls0">N. All final disciplinary actions, license denials, related findings of fact and conclusions of law are matters of public record. Voluntary surrender of and voluntary limitations on the veterinarian's practice or license shall be public record.&nbsp;</span></p> <p><span class="cls0">O. Certificate holders or faculty of veterinary medical schools shall report to the Board in writing any information that gives reason to believe a veterinarian is incompetent, guilty of unprofessional conduct or is unable to engage safely in the practice of veterinary medicine. Cause for reporting shall be for, but not limited to, the following instances:&nbsp;</span></p> <p><span class="cls0">1. Voluntary resignation from a professional partnership, corporation or practice for reason of inability to practice;&nbsp;</span></p> <p><span class="cls0">2. Malpractice claims, judgments, settlements or awards;&nbsp;</span></p> <p><span class="cls0">3. Civil or criminal convictions; or&nbsp;</span></p> <p><span class="cls0">4. Other actions that indicate inability to practice with reasonable skill and safety.&nbsp;</span></p> <p><span class="cls0">P. The Board shall consider violation of any of the Rules of Professional Conduct a violation of the Oklahoma Veterinary Practice Act section on unprofessional conduct and shall proceed with disciplinary action as set out in the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">Q. 1. In addition to other penalties prescribed by the Oklahoma Veterinary Practice Act, any person who the Board has determined by clear and convincing evidence to have violated any provisions of the Oklahoma Veterinary Practice Act, or any rule or order issued pursuant thereto shall be liable for an administrative penalty of not more than Five Thousand Dollars ($5,000.00) for each day that the violation continues.&nbsp;</span></p> <p><span class="cls0">2. The amount of the penalty shall be assessed by the Board pursuant to the provisions of paragraph 1 of this subsection, after notice and hearing. In determining the amount of the penalty, the Board shall, by clear and convincing evidence, include, but not be limited to, consideration of the nature, circumstances, and gravity of the violation and, with respect to the person found to have committed the violation, the degree of culpability, the effect on ability of the person to continue to do business, and any show of good faith in attempting to achieve compliance with the provisions of the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">3. All penalties collected pursuant to the provisions of this subsection shall be deposited in the Veterinary Medical Examiners Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 314, &sect; 13, eff. Sept. 1, 1990. Amended by Laws 1997, c. 143, &sect; 2, eff. Nov. 1, 1997; Laws 1999, c. 94, &sect; 15, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.14b. Inability to practice due to mental illness or drug abuse - Required submission to alcohol or drug testing - Actions of Board - Reporting of impaired performance.&nbsp;</span></p> <p><span class="cls0">A. Impairment is defined as the inability of a person to practice veterinary medicine with reasonable skill and safety by reason of:&nbsp;</span></p> <p><span class="cls0">1. Mental illness; or&nbsp;</span></p> <p><span class="cls0">2. Habitual use or excessive use or abuse of drugs or chemicals defined in law as controlled substances or habit-forming substances, to include, but not be limited to, alcohol or other substances that impair the ability of the licensee or certificate holder to practice veterinary medicine.&nbsp;</span></p> <p><span class="cls0">B. Upon probable cause, the State Board of Veterinary Medical Examiners may require a licensee or certificate holder or applicant for license or certificate to submit to any test to determine the use of alcohol or drugs which affects the ability of the licensee or certificate holder to practice veterinary medicine. The Board, by rule, shall establish the nature and criteria for any such test. The results of the test shall be admissible in any hearing before the Board. Failure to submit to the required test by any licensee, certificate holder or applicant when properly directed to do so by the Board shall be grounds for disciplinary action against a licensee or certificate holder and, for any applicant, shall be grounds for denial of license or certificate.&nbsp;</span></p> <p><span class="cls0">C. Upon findings by the Board, after evaluation and hearing, that the licensee, certificate holder or applicant is impaired, the Board may take one of the following actions or any other action deemed appropriate to the circumstances by the Board:&nbsp;</span></p> <p><span class="cls0">1. Direct the person to submit to care, counseling or treatment acceptable to the Board;&nbsp;</span></p> <p><span class="cls0">2. Suspend, limit or restrict the license or certificate to practice for the duration of the impairment; or&nbsp;</span></p> <p><span class="cls0">3. Revoke or refuse to renew the license or certificate or deny the application.&nbsp;</span></p> <p><span class="cls0">D. Any person who is prohibited from practicing pursuant to the provisions of this section shall be afforded at reasonable intervals the opportunity to present evidence or material not before seen by the Board to demonstrate to the satisfaction of the Board that such person can resume or begin the practice of veterinary medicine with reasonable skill and safety; provided, that all fees have been paid and all requirements for licensure, certification, reinstatement or other form of authorization to practice have been satisfactorily completed.&nbsp;</span></p> <p><span class="cls0">E. 1. All licensees, certificate holders or faculty of veterinary medical schools shall report to the Board information about any and all colleagues that shows the colleagues are impaired.&nbsp;</span></p> <p><span class="cls0">2. The Board may establish rules for the approval of medically directed, nonprofit, voluntary treatment programs for impaired practitioners and to set standards for the treatment of practitioners.&nbsp;</span></p> <p><span class="cls0">3. The Board may exempt from reporting those who are conducting a Board-approved treatment program; provided that the impaired veterinarian who is participating in the program is doing so satisfactorily. Should the impaired veterinarian leave the program without first achieving a release by the program, the administrator of the program is required to report same to the Board. Participation in an approved treatment program does not protect an impaired veterinarian from Board action resulting from a report from another source of violation of the Oklahoma Veterinary Practice Act, whether related to the impairment or not.&nbsp;</span></p> <p><span class="cls0">4. Programs for the treatment of impaired professionals approved by this Board shall be reviewed annually or more frequently at the Board's discretion.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 314, &sect; 14, eff. Sept. 1, 1990. Amended by Laws 1999, c. 94, &sect; 17, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59698.15. Report of contagious or infectious diseases.&nbsp;</span></p> <p><span class="cls0">It shall be the duty of every person engaged in the practice of veterinary medicine to report to the State Veterinarian of the State of Oklahoma the name of the owner or person in possession of all domestic animals afflicted with any contagious or infectious disease required to be reported to the State Board of Agriculture together with the location of the animals and the disease with which the animals are afflicted immediately upon such knowledge or information coming to such practitioners.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 15, emerg. eff. May 4, 1971. Amended by Laws 1999, c. 94, &sect; 18, eff. Nov. 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59698.16. Abandoned animals.&nbsp;</span></p> <p><span class="cls0">A. 1. Any animal except domestic animals as such term is defined in Section 85.1 of Title 4 of the Oklahoma Statutes placed in the custody of a licensed veterinarian for services which is abandoned by its owner, the owner&rsquo;s agent, or any other person for a period of more than three (3) days after written notice is given by registered or certified mail, return receipt, is receipted, refused, unclaimed or by actual hand-delivery to the owner or the owner&rsquo;s agent at the lastknown address of the owner or the owner&rsquo;s agent, shall be deemed abandoned and may be sold, disposed of in a humane manner by the veterinarian or turned over to the custody of the nearest humane society, or animal shelter.&nbsp;</span></p> <p><span class="cls0">2. Any animal except domestic animals as such term is defined in Section 85.1 of Title 4 of the Oklahoma Statutes placed in the custody of a licensed veterinarian for, but not limited to, boarding, treatment, or any other care, which is abandoned by an anonymous individual for a period of more than five (5) days, shall be deemed to be abandoned and may be sold, disposed of in a humane manner by the veterinarian or turned over to the custody of the nearest humane society or animal shelter.&nbsp;</span></p> <p><span class="cls0">B. Any domestic animal as such term is defined by Section 85.1 of Title 4 of the Oklahoma Statutes placed in the custody of a licensed veterinarian for boarding, treatment or any other reason which is abandoned by the owner, the owner&rsquo;s agent or by an anonymous individual may be disposed of as required for estrays pursuant to Chapter 4 of Title 4 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. 1. Compliance with the notice provisions of this section by the licensed veterinarian or the disposal of an animal pursuant to subsection B of this section, as provided in subsection A of this section, shall relieve the licensed veterinarian and any custodian to whom such animal may be given of any further liability for disposal.&nbsp;</span></p> <p><span class="cls0">2. Such procedure by a licensed veterinarian shall not constitute grounds for disciplining pursuant to the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">3. Compliance with this section shall relieve the veterinarian from liability for such disposal or sale.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 16, emerg. eff. May 4, 1971. Amended by Laws 1982, c. 192, &sect; 9, emerg. eff. April 22, 1982; Laws 1990, c. 314, &sect; 15, eff. Sept. 1, 1990; Laws 1999, c. 94, &sect; 19, eff. Nov. 1, 1999; Laws 2005, c. 172, &sect; 2, eff. Nov. 1, 2005; Laws 2006, c. 72, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.16a. Animal health records &ndash; Disclosure &ndash; Liability.&nbsp;</span></p> <p><span class="cls0">A. Animal health records shall be the property of the owner or manager of a veterinary practice that has prepared such records, and shall include, but not be limited to, written records and notes, radiographs, sonographic images, video tapes, photographs, laboratory reports, or other diagnostic or case management information received as the result of consulting with other licensed veterinarians or medical specialists.&nbsp;</span></p> <p><span class="cls0">B. Each licensed veterinarian shall keep and maintain a legible patient record for a period of thirty-six (36) months from the date of the last visit of the patient. Each licensed or certificate holder veterinarian shall maintain records in a manner that will permit any authorized licensed veterinarian to proceed with the care and treatment of the animal, if required, by reading the medical record of that particular patient, and the record shall clearly explain the initial examination. The State Board of Veterinary Medical Examiners shall promulgate such rules as may be necessary to ensure that patient records include certain necessary elements.&nbsp;</span></p> <p><span class="cls0">C. The owner or manager of any veterinary practice maintaining animal health records shall provide the client or client&rsquo;s agent copies or a detailed written summary within ten (10) working days of a request made in writing by the owner, unless the records are required in an immediate life-threatening situation, at which time the original records, copies of the written records or a detailed written summary shall be forwarded to the attending or primary care-licensed veterinarian within the same working day. The owner or manager of any veterinary practice maintaining records shall furnish the copies pertaining to the case upon tender of the expense of such copy or copies. Cost of each copy shall not exceed the amount specified in the Open Records Act per page, and no more than a reasonable cost of duplicating diagnostic images, tapes, or radiographs. There shall be no search fees assessed for the production or retrieval of any medical records.&nbsp;</span></p> <p><span class="cls0">D. 1. No veterinarian licensed pursuant to the Oklahoma Veterinary Practice Act shall be required to disclose any information concerning the licensed veterinarian&rsquo;s care of an animal except on written authorization or by other waiver by the licensed veterinarian&rsquo;s client or on appropriate court order, by subpoena or as otherwise provided by this section.&nbsp;</span></p> <p><span class="cls0">2. Copies of or information from veterinary records shall be provided without the owner&rsquo;s consent to public or animal health, wildlife or agriculture authorities, employed by federal, state or local governmental agencies who have a legitimate interest in the contents of said records for the protection of animal and public health.&nbsp;</span></p> <p><span class="cls0">E. 1. Any licensed veterinarian releasing information under written authorization or other waiver by the client or under court order, by subpoena or as otherwise provided by this section shall not be liable to the client or any other person.&nbsp;</span></p> <p><span class="cls0">2. The privilege provided by this section shall be waived to the extent that the licensed veterinarian&rsquo;s client or the owner of the animal places the licensed veterinarian&rsquo;s care and treatment of the animal or the nature and extent of injuries to the animal at issue in any civil or criminal proceeding.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 94, &sect; 20, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.16b. Persons reporting information or investigating &ndash; Liability.&nbsp;</span></p> <p><span class="cls0">No person or entity which, in good faith, reports or provides information or investigates any person as authorized by the Oklahoma Veterinary Practice Act, shall be liable in a civil action for damages or relief arising from the reporting, providing of information or investigation except upon clear and convincing evidence that the report of information was completely false, or that the investigation was based on false information, and that the falsity was actually known to the person or entity making the report, providing the information or conducting the investigation at the time thereof.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 94, &sect; 21, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59698.17. Good faith rendering of emergency care or treatment to animal or human victim &ndash; Liability.&nbsp;</span></p> <p><span class="cls0">Any veterinarian or registered veterinary technician who is licensed or certified in this state or licensed veterinarian or licensed veterinary technician who is a resident of another state or the District of Columbia, and who in good faith renders or attempts to render emergency care or treatment to an animal at the scene of an accident or disaster or emergency care or treatment to a human victim thereof, shall not be liable for any civil damages as a result of any acts or omissions by such person rendering or attempting to render the emergency care or treatment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 17, emerg. eff. May 4, 1971. Amended by Laws 1999, c. 94, &sect; 22, eff. Nov. 1, 1999; Laws 2002, c. 172, &sect; 4, eff. Nov. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.18. Penalties.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person to practice or attempt to practice veterinary medicine without a current license or certificate issued pursuant to the Oklahoma Veterinary Practice Act, or to knowingly aid or abet another person in the unlicensed practice or attempted practice of veterinary medicine in this state.&nbsp;</span></p> <p><span class="cls0">B. Any person who violates any of the provisions of subsection A of this section shall, upon conviction, be guilty of a misdemeanor punishable by a fine in an amount not less than Five Hundred Dollars ($500.00), nor more than Five Thousand Dollars ($5,000.00), or by imprisonment in the county jail for a term of not more than six (6) months, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 126, &sect; 18, emerg. eff. May 4, 1971. Amended by Laws 1999, c. 94, &sect; 23, eff. Nov. 1, 1999; Laws 2008, c. 358, &sect; 4, eff. Nov. 1, 2008; Laws 2009, c. 237, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.19A. Field citation &ndash; Probable cause committee &ndash; Contest hearing &ndash; Fine.&nbsp;</span></p> <p><span class="cls0">A. 1. If, upon completion of an investigation, the Executive Director of the State Board of Veterinary Medical Examiners has probable cause to believe that a licensed veterinarian or any other person has violated provisions of the Oklahoma Veterinary Practice Act or rules promulgated thereto, the Executive Director may issue a field citation to the licensed veterinarian or other person, as provided in this section. Each field citation shall be in writing and shall describe with particularity the nature of the violation, including but not limited to a reference to the provision of the Oklahoma Veterinary Practice Act alleged to have been violated.&nbsp;</span></p> <p><span class="cls0">2. In addition, each field citation may contain an order of abatement fixing a reasonable time for abatement of the violation, and may contain an assessment of an administrative penalty not to exceed Five Hundred Dollars ($500.00) for a first offense and not to exceed Five Thousand Dollars ($5,000.00) for a second or each subsequent offense. Each day such violation continues shall constitute a separate offense.&nbsp;</span></p> <p><span class="cls0">3. The field citation shall be served upon the licensed veterinarian or other person personally or by any certified mail, return receipt requested.&nbsp;</span></p> <p><span class="cls0">B. Before any field citation shall be issued to any licensed veterinarian, the Executive Director shall have submitted the alleged violation for the review and examination to a probable cause committee, comprised of the Board&rsquo;s attorney, an investigator, and a veterinarian licensed in the state of Oklahoma. The probable cause committee, during its review, may contact the licensed veterinarian to discuss and resolve the alleged violation. Upon conclusion of the probable cause committee&rsquo;s review, the committee shall prepare findings of fact and a recommendation. If the committee concludes that probable cause exists that the veterinarian has violated any provisions of the Oklahoma Veterinary Practice Act or rules promulgated thereto, an administrative penalty shall be assessed upon the licensed veterinarian.&nbsp;</span></p> <p><span class="cls0">C. 1. If a licensed veterinarian or other person who has been determined by the Board or agent thereof to have violated any provision of the Oklahoma Veterinary Practice Act or rules promulgated or issued pursuant thereto desires to contest a field citation or the proposed assessment of an administrative penalty therefore, the licensed veterinarian or other person shall, within ten (10) business days after service of the field citation, notify the Executive Director in writing, requesting an informal conference with the probable cause committee.&nbsp;</span></p> <p><span class="cls0">2. The probable cause committee shall hold, within sixty (60) days from the receipt of the written request, an informal conference. After the conclusion of the informal conference, and based on recommendations thereof, the Executive Director may affirm, modify or dismiss the field citation or proposed assessment of an administrative penalty and the Executive Director shall state with particularity in writing the reasons for the action, and shall immediately transmit a copy thereof to the licensed veterinarian or other person and the person who submitted the complaint.&nbsp;</span></p> <p><span class="cls0">D. 1. If the veterinarian or person desires to contest administratively, a decision made after the informal conference, the licensed veterinarian or other person shall inform the Executive Director in writing within thirty (30) calendar days after such person receives the decision resulting from the informal conference.&nbsp;</span></p> <p><span class="cls0">2. If the licensed veterinarian or other person fails to request an informal conference within the time specified in this section, the field citation, the proposed assessment of the administrative penalty or the decision made after an informal conference shall be deemed a final order of the Board and shall not be subject to further administrative reviews.&nbsp;</span></p> <p><span class="cls0">E. If a fine is paid to satisfy an assessment based on the findings of a violation, payment of the fine shall be represented as satisfactory resolution of the matter for the purposes of public disclosure.&nbsp;</span></p> <p><span class="cls0">F. A veterinarian or other person, in lieu of contesting a field citation pursuant to this section, may transmit to the Board the amount assessed in the citation as an administrative penalty, within thirty (30) days after service of the field citation. If a hearing is not requested pursuant to this section, payment of any fine shall not constitute an admission of the violation charged.&nbsp;</span></p> <p><span class="cls0">G. 1. If a veterinarian or other person has notified the Executive Director within ten (10) working days of the issuance of the assessment or field citation that such veterinarian or other person intends to contest the decision made after the informal conference, the Board shall hold a hearing to be held in accordance with the Administrative Procedures Act and adjudicating such matters for judgment only upon clear and convincing evidence as required by the Oklahoma Veterinary Practice Act with the Board having all of the powers granted therein.&nbsp;</span></p> <p><span class="cls0">2. After the hearing, the Board shall issue a decision based on findings of the fact, affirming, modifying or vacating the citation, or directing other appropriate relief which shall include, but need not be limited to, a notice that the failure of the veterinarian or other person to comply with any provision of the Board&rsquo;s decision may subject such veterinarian or person to the imposition of the sanctions authorized by the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">H. After the exhaustion of the review procedures provided for in this section, the Board may bring an action for judicial review and administrative penalty and obtain an order compelling the cited person to comply with any order issued pursuant to this section.&nbsp;</span></p> <p><span class="cls0">I. Failure of a licensee to pay a fine within thirty (30) days of the date of assessment, unless the field citation is being appealed may result in action being taken by the Board. When a citation is not contested and a fine is not paid, the full amount of the assessed fine shall be added to the fee for the renewal of the license. A license shall not be renewed without payment of the renewal fee and fine.&nbsp;</span></p> <p><span class="cls0">J. The Board shall promulgate rules covering the issuance of field citations, the assessment of administrative penalties and other duties specified by this section pursuant to this section which give due consideration to the appropriateness of the penalty with respect to the following factors:&nbsp;</span></p> <p class="cls2"><span class="cls0">a. the gravity of the violation,&nbsp;</span></p> <p class="cls16"><span class="cls0">b. the good faith of the person being charged, and&nbsp;</span></p> <p class="cls16"><span class="cls0">c. the history of previous violations.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 94, &sect; 16, eff. Nov. 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.20. Repealed by Laws 1999, c. 94, &sect; 30, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59698.21. Certified veterinary technician &ndash; Use of terms and titles - Person not considered to be veterinary technician.&nbsp;</span></p> <p><span class="cls0">A. Individuals certified as veterinary technicians pursuant to the Oklahoma Veterinary Practice Act may use the terms registered veterinary technician, veterinary technician, or abbreviations such as CVT, RVT, and VT.&nbsp;</span></p> <p><span class="cls0">B. It shall be unlawful for any person to use any recognized title, abbreviation, or sign to indicate that such person is a registered veterinary technician, unless that person has been certified as having met the qualifications provided for in the Oklahoma Veterinary Practice Act. Such use shall be prima facie evidence of the intention to represent oneself as a registered veterinary technician.&nbsp;</span></p> <p><span class="cls0">C. A person shall not act as a veterinary technician in this state unless that person is certified by the Board and is under direct supervision of a veterinarian licensed pursuant to the provisions of the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">D. A person shall not be considered to be a registered veterinary technician in this state who:&nbsp;</span></p> <p><span class="cls0">1. Administers to animals for which such person holds title, unless such person has received title for the purpose of circumventing the Oklahoma Veterinary Practice Act; or&nbsp;</span></p> <p><span class="cls0">2. Is a regular student in a legally chartered and recognized curriculum for veterinary technician training, while in the performance of studies and acts assigned by that person's instructors.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 138, &sect; 2, eff. Oct. 1, 1980. Amended by Laws 1992, c. 56, &sect; 2, eff. Sept. 1, 1992; Laws 1999, c. 94, &sect; 24, eff. Nov. 1, 1999; Laws 2002, c. 172, &sect; 5, eff. Nov. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59698.22. Candidates for examination Employment by veterinarian of registered veterinary technician not required.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Veterinary Medical Examiners shall examine a candidate for certification as a veterinary technician. A candidate for examination shall pay to the secretary of the Board a reasonable fee established by rule of the Board and shall furnish satisfactory proof of graduation from a program of veterinary technology accredited by the American Veterinary Medical Association and approved by the Board.&nbsp;</span></p> <p><span class="cls0">B. The provisions of the Oklahoma Veterinary Practice Act shall not require a licensed veterinarian to hire a registered veterinary technician nor prohibit a licensed veterinarian from employing a veterinary assistant. Licensed veterinarians may delegate animal care responsibilities to employees commensurate with their training, experience, and skills.&nbsp;</span></p> <p><span class="cls0">C. On or before July 1 of each year, every registered veterinary technician shall apply to the State Board of Veterinary Medical Examiners for a renewal certificate of registration. Completion of the renewal certificate will permit the veterinary technician to be registered in Oklahoma during the next fiscal year. Forms for the renewal registration shall be furnished by the Board. Each renewal application shall be accompanied by a renewal fee in an amount to be established by the Board by rule.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 138, &sect; 3, eff. Oct. 1, 1980. Amended by Laws 1992, c. 56, &sect; 3, eff. Sept. 1, 1992; Laws 1999, c. 94, &sect; 25, eff. Nov. 1, 1999; Laws 2002, c. 172, &sect; 6, eff. Nov. 1, 2002; Laws 2005, c. 172, &sect; 3, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59698.23. Issuance of certificate.&nbsp;</span></p> <p><span class="cls0">Upon receiving from the State Board of Veterinary Medical Examiners a report that an applicant has successfully passed the examination and is recommended for certification, the Board shall issue a certificate in a form approved by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 138, &sect; 4, eff. Oct. 1, 1980. Amended by Laws 1999, c. 94, &sect; 26, eff. Nov. 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.24. Repealed by Laws 1999, c. 94, &sect; 30, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-698.25. Revocation, suspension or refusal to renew - Probation.&nbsp;</span></p> <p><span class="cls0">The State Board of Veterinary Medical Examiners may revoke, suspend or refuse to renew the certificate of a veterinary technician or place the veterinary technician on probation, after notice and opportunity for a hearing, upon a determination based on clear and convincing evidence of a violation of the Oklahoma Veterinary Practice Act or rules promulgated or orders issued pursuant thereto or any other law or rule relating to the practice of veterinary medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 138, &sect; 6, eff. Oct. 1, 1980. Amended by Laws 1992, c. 56, &sect; 5, eff. Sept. 1, 1992; Laws 1997, c. 143, &sect; 3, eff. Nov. 1, 1997; Laws 1999, c. 94, &sect; 27, eff. Nov. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.26. Unauthorized practice of veterinary medicine &ndash; Emergency treatment &ndash; Improper use of title - Penalties.&nbsp;</span></p> <p><span class="cls0">A. It is unlawful for a registered veterinary technician, veterinary technologist, nurse, veterinary assistant or other employee to diagnose animal diseases, prescribe medical or surgical treatment, or perform as a surgeon and such acts shall constitute the unlawful practice of veterinary medicine as prohibited in Section 698.18 of this title.&nbsp;</span></p> <p><span class="cls0">B. It is unlawful for any person to assume the title of registered veterinary technician, or the abbreviation RVT, or any other words, letters, signs, or figures that might induce a person to believe that the person using the name is a registered veterinary technician, when in fact such person is not certified.&nbsp;</span></p> <p><span class="cls0">C. A registered veterinary technician may perform emergency treatments in a life saving situation in accordance with rules promulgated by the Board.&nbsp;</span></p> <p><span class="cls0">D. Except as provided in Section 698.18 of this title, any person certified as a veterinary technician, veterinary technologist, veterinary nurse, or veterinary assistant who practices veterinary medicine contrary to the provisions of the Oklahoma Veterinary Practice Act, or any person who aids or abets another in the practice or attempted practice as a veterinary technician, veterinary technologist, veterinary nurse, or veterinary assistant without license or certification, or any person violating any provision of subsection B of this section, upon conviction, shall be guilty of a misdemeanor punishable by a fine of not less than Five Hundred Dollars ($500.00) nor more than Two Thousand Five Hundred Dollars ($2,500.00), or by imprisonment in the county jail for a term of not less than thirty (30) days, nor more than six (6) months, or by both such fine and imprisonment. In addition to criminal penalties, the violator shall be subject to denial, revocation, suspension, probation or nonrenewal of certification by the Board.&nbsp;</span></p> <p><span class="cls0">E. The penalties provided in subsection D of this section shall not apply to a student enrolled in an accredited school of veterinary technology while the student is under the supervision of an instructor and is performing activities required as a part of the student's training.&nbsp;</span></p> <p><span class="cls0">F. Any veterinarian licensed in this state who permits or directs a veterinary technician, veterinary technologist, veterinary nurse, aide or animal attendant to perform a task or procedure in violation of the provisions of the Oklahoma Veterinary Practice Act, upon conviction, shall be guilty of aiding or abetting the unlicensed practice of veterinary medicine as prohibited by Section 698.18 of this title, and shall be, in addition to any criminal penalties, subject to revocation, probation, nonrenewal or suspension of license by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 138, &sect; 7, eff. Oct. 1, 1980. Amended by Laws 1992, c. 56, &sect; 6, eff. Sept. 1, 1992; Laws 1999, c. 94, &sect; 28, eff. Nov. 1, 1999; Laws 2002, c. 172, &sect; 7, eff. Nov. 1, 2002; Laws 2008, c. 358, &sect; 5, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.27. Repealed by Laws 1999, c. 94, &sect; 30, eff. Nov. 1, 1999.&nbsp;</span></p> <p><span class="cls0">&sect;59-698.28. Veterinary Medical Examiners Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund to be designated the "Veterinary Medical Examiners Fund" which shall consist of all monies received by the State Board of Veterinary Medical Examiners as provided by statute. The fund shall be a continuing fund not subject to fiscal year limitations. Monies accruing to the credit of the fund are hereby appropriated and may be expended by the Board for carrying out the provisions of the Oklahoma Veterinary Practice Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims submitted by the Board to the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 192, &sect; 10, emerg. eff. April 22, 1982. Amended by Laws 1999, c. 94, &sect; 29, eff. Nov. 1, 1999; Laws 2012, c. 304, &sect; 267.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.29. Confidentiality of information.&nbsp;</span></p> <p><span class="cls0">A. Except as provided in subsection D of this section, the State Board of Veterinary Medical Examiners and its employees, independent contractors, appointed committee members, or other agents shall keep confidential, all information obtained:&nbsp;</span></p> <p><span class="cls0">1. During an investigation of citizen complaints into allegations of violations of the Oklahoma Veterinary Practice Act, including:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any review or investigation made to determine whether to allow an applicant to take an examination, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;whether the Board shall grant a certificate, license, or permit; and&nbsp;</span></p> <p><span class="cls0">2. In the course of conducting an investigation, including:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;investigative reports provided to the Board by a registrant, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;examinations and test scores.&nbsp;</span></p> <p><span class="cls0">B. To ensure the confidentiality of the information for the protection of the affected individual or entity, the information obtained shall not be deemed to be a record as that term is defined in the Oklahoma Open Records Act.&nbsp;</span></p> <p><span class="cls0">C. Except as provided in subsection D of this section, information obtained by the Board or any of its agents shall be considered competent evidence in a court of competent jurisdiction only in matters directly related to actions of the Board and the affected individual or entity as a result of the Board obtaining the information and the information shall not be admissible as evidence in any other type of civil or criminal action.&nbsp;</span></p> <p><span class="cls0">D. At the discretion of the Board or any committee designated by the Board and in the interest of protecting the health, safety and welfare of the public, any information contained in the investigation files of the Board may upon request be provided to the following:&nbsp;</span></p> <p><span class="cls0">1. Any board or commission of the District of Columbia or any state or territory of the United States which exercises disciplinary authority; and&nbsp;</span></p> <p><span class="cls0">2. Any law enforcement agency which makes a proper showing that such information is necessary to conduct or complete a pending investigation of a crime not covered by the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 78, &sect; 1, eff. Nov. 1, 2004. Amended by Laws 2006, c. 72, &sect; 2, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-698.30. Nonveterinary equine dental care provider certification.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Veterinary Medical Examiners shall annually certify any practitioner of teeth floating, known as a nonveterinary equine dental care provider and as defined by paragraph 25 of Section 698.2 of Title 59 of the Oklahoma Statutes. Certification shall be issued within ninety (90) days of application, and to be eligible for this certification, nonveterinary equine dental care providers shall provide proof of qualification to be a nonveterinary equine dental care provider using one of the following methods:&nbsp;</span></p> <p><span class="cls0">1. Completion of at least eighty (80) hours of training in equine dentistry at the Texas Institute of Equine Dentistry, the Academy of Equine Dentistry or a similar program approved by the State Board of Veterinary Medical Examiners; or&nbsp;</span></p> <p><span class="cls0">2. Certification as an equine dental technician by the International Association of Equine Dentistry or its equivalent by a similar certifying organization approved by the State Board of Veterinary Medical Examiners.&nbsp;</span></p> <p><span class="cls0">B. Prior to July 1, 2011, teeth floaters shall be granted certification upon submission of a signed and notarized affidavit from three persons who are residents of this state, stating that they know this individual and the individual is known by the community to be a nonveterinary equine dental care provider. Of the three residents, one shall be from a veterinarian that is licensed to practice in the state; and one shall be from the current president of any official statewide association representing horses, horse breeds or horsemen, or a horse owner currently residing in the state.&nbsp;</span></p> <p><span class="cls0">C. Proof of four (4) hours of continuing education shall be required for annual certification renewal for teeth floaters. This continuing education shall be a course approved by the Texas Institute of Equine Dentistry, the Academy of Equine Dentistry, the State Board of Veterinary Medical Examiners, the International Association of Equine Dentistry or a similar organization approved by the State Board of Veterinary Medical Examiners and shall be obtained in the twelvemonth period immediately preceding the year for which the certification is to be issued.&nbsp;</span></p> <p><span class="cls0">D. If prescription drugs, not to include any controlled dangerous substances as defined in the Uniform Controlled Dangerous Substances Act, are to be used in nonveterinary equine dental care procedures, the equine owner shall contact a veterinarian licensed by the state. If the veterinarian deems that prescription drugs, not to include any controlled dangerous substances as defined in the Uniform Controlled Dangerous Substances Act, are necessary, the veterinarian may assemble those drugs and may allow the owner or the owner&rsquo;s agent, who can be a nonveterinary equine dental care provider, to pick up those drugs and deliver them to the equine owner. No prescription drugs shall be prescribed, dispensed, or administered without the establishment of a valid client-patient relationship between the equine owner and the veterinarian. Prescription drugs must be used in accordance with United States Food and Drug Administration regulations.&nbsp;</span></p> <p><span class="cls0">E. Complaints related to any teeth floater shall be filed with the State Veterinarian through the Oklahoma Department of Agriculture, Food, and Forestry. The State Veterinarian may investigate complaints, and may forward findings as it deems appropriate to the appropriate law enforcement entity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 112, &sect; 4.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.30a. Nonveterinary reproductive services technician - Certification requirements.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Veterinary Medical Examiners shall certify an individual as a nonveterinary reproductive services technician who qualifies and passes a written certification examination approved by the Board and who holds a Ph.D. from an accredited college or university with emphasis in animal reproductive physiology, or a Master of Science degree from an accredited college or university with emphasis in animal reproductive physiology and Board Certification in animal physiology by the American Registry of Professional Animal Scientists, which certification authorizes them to provide nonveterinary reproductive services as defined in the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Prior to July 1, 2012, an individual with a Bachelor of Science degree from an accredited college or university, which includes completion of at least six (6) semester hours in reproductive physiology and who has practical experience in embryo transfer in ruminating animals as verified in writing by sworn affidavit from at least two client animal owners and from two approved certified members of the American Embryo Transfer Association, shall be allowed to become certified as a nonveterinary reproductive services technician upon passing a written certification examination approved by the Board. &nbsp;</span></p> <p><span class="cls0">C. In connection with performing nonveterinary reproductive services, federal legend drugs shall be prescribed and dispensed only on the order of a licensed veterinarian who has an existing veterinarian-client-patient relationship as defined by the Oklahoma Veterinary Practice Act and the rules of the Board and shall only be administered in accordance with the act. Every nonveterinary reproductive services technician shall keep and maintain medical records that include the source of any prescription drugs used in connection with providing nonveterinary reproductive services, including the name and address of the veterinarian prescribing or dispensing the drugs, the date the drugs are received, the species and description of the animal involved, the animal owner or client name and address, and the medications administered including date and dosage. All medical records pertaining to prescription drugs shall be made available for inspection by the Board or the Board&rsquo;s agent upon request and must be kept and maintained for a period of two (2) years from the date the drug was administered.&nbsp;</span></p> <p><span class="cls0">D. Proof of at least eight (8) hours of continuing education from courses and study approved by the Board shall be required for annual certification renewal as a nonveterinarian reproductive services technician.&nbsp;</span></p> <p><span class="cls0">E. The certification examination and continuing education described in this section shall be approved by the Examination Committee that is overseen by the Board and consists of:&nbsp;</span></p> <p><span class="cls0">1. A veterinarian designated by the Dean of the Oklahoma State University Center of Veterinary Health Sciences; &nbsp;</span></p> <p><span class="cls0">2. An animal scientist with a Ph.D. with an emphasis in animal reproductive physiology designated by the head of the Oklahoma State University Department of Animal Science; and &nbsp;</span></p> <p><span class="cls0">3. An animal embryologist as designated by the American Embryo Transfer Association.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 83, &sect; 3, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.30b. Animal Technology Advisory Committee - Oversight - Members.&nbsp;</span></p> <p><span class="cls0">A. The Animal Technology Advisory Committee shall be overseen by the Board and the Oklahoma Department of Agriculture, Food, and Forestry and shall investigate, examine, discuss and determine whether any new or evolving technology, procedure, method or practice should be considered or designated an act of animal husbandry, the practice of veterinary medicine, or added to the list of acts not prohibited in paragraph 1 of Section 698.12 of the Oklahoma Veterinary Practice Act.&nbsp;</span></p> <p><span class="cls0">B. The Animal Technology Advisory Committee shall be chaired by the State Veterinarian employed by the Department who shall have the following duties:&nbsp;</span></p> <p><span class="cls0">1. Call and give notice of all meetings of the committee;&nbsp;</span></p> <p><span class="cls0">2. Establish the agenda for the meetings of the committee;&nbsp;</span></p> <p><span class="cls0">3. Keep and maintain minutes of all meetings of the committee; and&nbsp;</span></p> <p><span class="cls0">4. Publish and distribute all determinations of the committee to the State Board of Veterinary Medical Examiners and Oklahoma Department of Agriculture, Food, and Forestry.&nbsp;</span></p> <p><span class="cls0">C. In addition to the chairperson, who shall be a nonvoting member, the Animal Technology Advisory Committee shall be comprised of the following voting members:&nbsp;</span></p> <p><span class="cls0">1. Two veterinarians appointed by the Board;&nbsp;</span></p> <p><span class="cls0">2. One veterinarian appointed by the head of the Oklahoma State University Center of Veterinary Health Sciences;&nbsp;</span></p> <p><span class="cls0">3. Two individuals actively involved in the livestock industry appointed by the Secretary of Agriculture; and&nbsp;</span></p> <p><span class="cls0">4. One faculty member of the Oklahoma State University Department of Animal Science appointed by the head of the Department.&nbsp;</span></p> <p><span class="cls0">D. Recommendations of the Advisory Committee shall be made by a majority vote of the voting members of the committee and shall be presented to the Board, in writing, for consideration and review at least thirty (30) days before a regularly scheduled meeting of the Board. The Board shall consider the committee recommendations and if approved take necessary action through the rulemaking process to adopt the rules accordingly.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 83, &sect; 4, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.31. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Large Animal Veterinarian Incentive Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 338, &sect; 1, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.32. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Large Animal Veterinarian Incentive Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Veterinary Center&rdquo; means the Center for Veterinary Health Sciences at Oklahoma State University;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Program&rdquo; means the veterinary training program for rural Oklahoma established pursuant to Section 3 of this act; and&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Program agreement&rdquo; means an agreement to meet all the obligations provided in Section 3 of this act by a person who is a first-year veterinary student at the Veterinary Center or currently practicing large animal veterinarian in exchange for the benefits provided in Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 338, &sect; 2, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-698.33. Veterinary training program for rural Oklahoma.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established the veterinary training program for rural Oklahoma to be administered by the Oklahoma State University Center for Veterinary Health Sciences. The program shall be developed and implemented in order to provide encouragement, opportunities, and incentives for persons pursuing a veterinary medicine degree at Oklahoma State University to locate their veterinary practice in rural Oklahoma communities, and receive specialized training targeted to meet the needs of livestock producers in rural Oklahoma communities.&nbsp;</span></p> <p><span class="cls0">B. Subject to available funds, each year the Veterinary Center may enter into program agreements with up to three first-year veterinary students or currently practicing large animal veterinarians with qualifying school loans, as determined by the Veterinary Center. Preference shall be given to those students and large animal veterinarians who are Oklahoma residents and who agree to serve in a community as described in paragraph 3 of subsection D of this section, which is determined by the Veterinary Center to be an underserved area for the practice of veterinary medicine.&nbsp;</span></p> <p><span class="cls0">C. Subject to available funds, each student or large animal veterinarian entering into a program agreement under this section shall receive assistance in an amount not to exceed Twenty Thousand Dollars ($20,000.00) per year for not more than four (4) years for tuition, books, supplies, and other school expenses, and travel and training expenses incurred by the student in pursuing a veterinary medicine degree. Upon satisfaction of all commitments under the provisions of the agreement and the provisions of this section, the financial obligations pursuant to this section shall be deemed satisfied and forgiven.&nbsp;</span></p> <p><span class="cls0">D. Each program agreement shall require that the person receiving the assistance:&nbsp;</span></p> <p><span class="cls0">1. Complete the veterinary medicine degree program at the Veterinary Center;&nbsp;</span></p> <p><span class="cls0">2. Complete all requirements in public health, livestock biosecurity, foreign animal disease diagnosis, regulatory veterinary medicine and zoonotic disease, and an externship and mentoring requirement with a licensed, accredited veterinarian in rural Oklahoma as required by the Veterinary Center;&nbsp;</span></p> <p><span class="cls0">3. Engage in the full-time practice of veterinary medicine in any community in Oklahoma which has a population not exceeding twenty-five thousand (25,000) as determined by the most recent Federal Decennial Census at the time the person entered into the program agreement for a period of at least twelve (12) continuous months for each separate year a student receives assistance under the program, unless the obligation is otherwise satisfied as provided in this section. If, after the date a program agreement was entered into by the parties, a community no longer meets the maximum population requirements provided in this paragraph, a person engaging in the full-time practice of veterinary medicine pursuant to the program agreement shall continue to practice in that designated community; and&nbsp;</span></p> <p><span class="cls0">4. Commence the full-time practice of veterinary medicine in that community within ninety (90) days after completion of the person&rsquo;s degree program, or if the person enters a postdegree training program, such as a graduate school or internship or residency program, within ninety (90) days after completion of the postdegree training program.&nbsp;</span></p> <p><span class="cls0">E. Upon the failure of a person to satisfy the obligation to engage in the full-time practice of veterinary medicine in accordance with the provisions of this section, that person shall repay to the Veterinary Center, within ninety (90) days of the failure, the amount equal to the assistance provided to the person less a prorated amount based on any periods of practice of veterinary medicine meeting the requirements of this section, plus interest at the prime rate of interest plus two percent (2%) from the date the assistance accrued. The interest shall be compounded annually.&nbsp;</span></p> <p><span class="cls0">F. An obligation to engage in the practice of veterinary medicine in accordance with the provisions of this section shall be postponed during:&nbsp;</span></p> <p><span class="cls0">1. Any period of temporary medical disability during which the person obligated is unable to practice veterinary medicine due to the disability; and&nbsp;</span></p> <p><span class="cls0">2. Any other period of postponement agreed to or determined in accordance with criteria agreed to in the practice agreement.&nbsp;</span></p> <p><span class="cls0">G. An obligation to engage in the practice of veterinary medicine in accordance with the provisions of the agreement and this section shall be satisfied:&nbsp;</span></p> <p><span class="cls0">1. If the obligation to engage in the practice of veterinary medicine in accordance with the agreement has been completed;&nbsp;</span></p> <p><span class="cls0">2. If, because of permanent disability, the person obligated is unable to practice veterinary medicine; or&nbsp;</span></p> <p><span class="cls0">3. The person who is obligated dies.&nbsp;</span></p> <p><span class="cls0">H. The Veterinary Center may adopt additional provisions, requirements, or conditions to participate in this program as are practicable and appropriate to accomplish the provisions of the program or may be required for the implementation or administration of the program, and are not inconsistent with the provisions of this section.&nbsp;</span></p> <p><span class="cls0">I. The Veterinary Center shall not enter into any program agreements pursuant to the provisions of this section after July 1, 2018. All agreements entered into prior to such date shall be valid.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 338, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-725.1. Branch of healing art indicated by appending words or letters to name.&nbsp;</span></p> <p><span class="cls0">A. Every person who writes or prints, or causes to be written or printed, his or her name (whether or not the word "Doctor", or an abbreviation thereof, is used in connection therewith) in connection with, as engaging in, or holding himself or herself out as engaging in, any of the branches of the healing art shall append to his or her name the letters or words set forth in Section 725.2 of this title if the person is one of the nine classes of persons listed in subsection A of Section 725.2 of this title.&nbsp;</span></p> <p><span class="cls0">B. If the person is not one of the nine classes of persons listed in subsection A of Section 725.2 of this title and is engaged in a branch of the healing art, the person shall write or print, in the same size letters as his or her name, appropriate and generally and easily understood words or letters, which clearly show and indicate the branch of the healing art in which he or she is licensed to practice and is engaged.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 357, &sect; 1, emerg. eff. March 13, 1947. Amended by Laws 2009, c. 148, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-725.2. Designations to be used and by whom.&nbsp;</span></p> <p><span class="cls0">A. The following nine classes of persons may use the word &ldquo;Doctor&rdquo;, or an abbreviation thereof, and shall have the right to use, whether or not in conjunction with the word &ldquo;Doctor&rdquo;, or any abbreviation thereof, the following designations:&nbsp;</span></p> <p><span class="cls0">1. The letters &ldquo;D.P.M.&rdquo; or the words podiatrist, doctor of podiatry, podiatric surgeon, or doctor of podiatric medicine by a person licensed to practice podiatry under the Podiatric Medicine Practice Act;&nbsp;</span></p> <p><span class="cls0">2. The letters &ldquo;D.C.&rdquo; or the words chiropractor or doctor of chiropractic by a person licensed to practice chiropractic under the Oklahoma Chiropractic Practice Act;&nbsp;</span></p> <p><span class="cls0">3. The letters &ldquo;D.D.S.&rdquo; or &ldquo;D.M.D.&rdquo;, as appropriate, or the words dentist, doctor of dental surgery, or doctor of dental medicine, as appropriate, by a person licensed to practice dentistry under the State Dental Act;&nbsp;</span></p> <p><span class="cls0">4. The letters &ldquo;M.D.&rdquo; or the words surgeon, medical doctor, or doctor of medicine by a person licensed to practice medicine and surgery under the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act;&nbsp;</span></p> <p><span class="cls0">5. The letters &ldquo;O.D.&rdquo; or the words optometrist or doctor of optometry by a person licensed to practice optometry under Sections 581 through 606 of this title;&nbsp;</span></p> <p><span class="cls0">6. The letters &ldquo;D.O.&rdquo; or the words surgeon, osteopathic surgeon, osteopath, doctor of osteopathy, or doctor of osteopathic medicine by a person licensed to practice osteopathy under the Oklahoma Osteopathic Medicine Act;&nbsp;</span></p> <p><span class="cls0">7. The letters &ldquo;Ph.D.&rdquo;, &ldquo;Ed.D.&rdquo;, or &ldquo;Psy.D.&rdquo; or the words psychologist, therapist, or counselor by a person licensed as a health service psychologist pursuant to the Psychologists Licensing Act;&nbsp;</span></p> <p><span class="cls0">8. The letters &ldquo;Ph.D.&rdquo;, &ldquo;Ed.D.&rdquo;, or other letters representing a doctoral degree or the words language pathologist, speech pathologist, or speech and language pathologist by a person licensed as a speech and language pathologist pursuant to the Speech-Language Pathology and Audiology Licensing Act and who has earned a doctoral degree from a regionally accredited institution of higher learning in the field of speech and language pathology; and&nbsp;</span></p> <p><span class="cls0">9. The letters &ldquo;Ph.D.&rdquo;, &ldquo;Ed.D.&rdquo;, or other letters representing a doctoral degree or the word audiologist by a person licensed as an audiologist pursuant to the Speech-Language Pathology and Audiology Licensing Act and who has earned a doctoral degree from a regionally accredited institution of higher learning in the field of audiology.&nbsp;</span></p> <p><span class="cls0">B. Unless otherwise specifically provided in a particular section or chapter of the Oklahoma Statutes, the word &ldquo;doctor&rdquo; or &ldquo;doctors&rdquo; shall mean and include each of the nine classes of persons listed in subsection A and the word &ldquo;physician&rdquo; or &ldquo;physicians&rdquo;, as provided in subsection C of this section. Any other person using the term doctor, or any abbreviation thereof, shall designate the authority under which the title is used or the college or honorary degree that gives rise to use of the title.&nbsp;</span></p> <p><span class="cls0">C. Unless otherwise specifically provided in a particular section or chapter of the Oklahoma Statutes, the word &ldquo;physician&rdquo; or &ldquo;physicians&rdquo; shall mean and include each of the classes of persons listed in paragraphs 1 through 6 of subsection A and the word &ldquo;doctor&rdquo; or &ldquo;doctors&rdquo; as provided in subsection B of this section. The term &ldquo;physician&rdquo; shall not include any person specified in paragraphs 7 through 9 of subsection A of this section unless such person is otherwise authorized to use such designation pursuant to this section.&nbsp;</span></p> <p><span class="cls0">D. For purposes of this section, &ldquo;provider&rdquo; means and includes:&nbsp;</span></p> <p><span class="cls0">l. Each of the nine classes of persons listed in subsection A of this section and referred to in subsections B and C of this section; and&nbsp;</span></p> <p><span class="cls0">2. Any other person using the term doctor or any abbreviation thereof.&nbsp;</span></p> <p><span class="cls0">E. Persons in each of the nine classes listed in subsection A, and referred to in subsections B and C, of this section shall identify through written notice, which may include the wearing of a name tag, the type of license under which the doctor is practicing, utilizing the designations provided in subsections A, B and C of this section. Each applicable licensing board is authorized by rule to determine how its license holders may comply with this disclosure requirement.&nbsp;</span></p> <p><span class="cls0">F. 1. Any advertisement for health care services naming a provider shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;identify the type of license of the doctor utilizing the letters or words set forth in this section if the person is one of the classes of persons listed in subsection A of this section, and referred to in subsections B and C of this section, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;utilize appropriate, accepted, and easily understood words or letters, which clearly show and indicate the branch of the healing art in which the person is licensed to practice and is engaged in, if the person is not one of the nine classes of persons listed in subsection A of this section, or referred to in subsections B and C of this section.&nbsp;</span></p> <p><span class="cls0">2. The term &ldquo;advertisement&rdquo; includes any printed document including letterhead, video clip, or audio clip created by, for, or at the direction of the provider or providers and advertised for the purpose of promoting the services of the doctor or provider.&nbsp;</span></p> <p><span class="cls0">G. 1. It shall be unlawful for any medical doctor, doctor of osteopathic medicine, doctor of dental surgery, doctor of dental medicine, doctor of optometry, doctor of podiatry, or doctor of chiropractic to make any deceptive or misleading statement, or engage in any deceptive or misleading act, that deceives or misleads the public or a prospective or current patient, regarding the training and the license under which the person is authorized to practice.&nbsp;</span></p> <p><span class="cls0">2. The term &ldquo;deceptive or misleading statement or act&rdquo; includes, but is not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;such statement or act in any advertising medium,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;making a false statement regarding the education, skills, training, or licensure of a person, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;in any other way describing the profession, skills, training, expertise, education, or licensure of a person in a fashion that causes the public, a potential patient, or current patient to believe that the person is a medical doctor, doctor of osteopathic medicine, doctor of dental surgery, doctor of dental medicine, doctor of optometry, doctor of podiatry, or doctor of chiropractic when that person does not hold such credentials.&nbsp;</span></p> <p><span class="cls0">H. Notwithstanding any other provision of this section, a person licensed in this state to perform speech pathology or audiology services is designated to be a practitioner of the healing art for purposes of making a referral for speech pathology or audiology services pursuant to the provisions of the Individuals with Disabilities Education Act, Amendment of 1997, Public Law 105-17, and Section 504 of the Rehabilitation Act of 1973.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 357, &sect; 2, emerg. eff. March 13, 1947. Amended by Laws 1991, c. 265, &sect; 20, eff. Oct. 1, 1991; Laws 1993, c. 168, &sect; 1, eff. Sept. 1, 1993; Laws 2000, c. 52, &sect; 1, emerg. eff. April 14, 2000; Laws 2004, c. 543, &sect; 5, eff. July 1, 2004; Laws 2009, c. 148, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-725.3. Violations &ndash; Administrative penalties &ndash; Investigation and prosecution by Attorney General.&nbsp;</span></p> <p><span class="cls0">A. 1. Any licensed health care provider found by the appropriate licensing board or state agency to be in violation of the provisions of subsection E of Section 725.2 of this title shall be punished by an administrative penalty of not less than Twenty-five Dollars ($25.00) nor more than One Thousand Dollars ($1,000.00) to be administered and collected by the appropriate licensing board or state agency.&nbsp;</span></p> <p><span class="cls0">2. Any person who is not a licensed health care provider and found by the appropriate licensing board or state agency to be in violation of the provisions of subsection E of Section 725.2 of this title, shall be punished by an administrative penalty of not less than Twenty-five Dollars ($25.00) nor more than One Thousand Dollars ($1,000.00) to be administered and collected by the appropriate licensing board or state agency. Each day this act is violated shall constitute a separate offense and shall be punishable as such.&nbsp;</span></p> <p><span class="cls0">B. 1. Any licensed health care provider found by the appropriate licensing board or state agency to be in violation of the provisions of this act, other than subsection E of Section 725.2 of this title, shall be punished by a fine of not less than Five Hundred Dollars ($500.00) nor more than Five Thousand Dollars ($5,000.00) to be administered and collected by the appropriate licensing board or state agency.&nbsp;</span></p> <p><span class="cls0">2. Any person who is not a licensed health care provider and found by the appropriate licensing board or state agency to be in violation of the provisions of this act, other than subsection E of Section 725.2 of this title, shall be punished by an administrative penalty of not less than Five Hundred Dollars ($500.00) nor more than Five Thousand Dollars ($5,000.00) to be administered and collected by the appropriate licensing board or state agency.&nbsp;</span></p> <p><span class="cls0">3. Each day this act is violated shall constitute a separate offense and shall be punishable as such.&nbsp;</span></p> <p><span class="cls0">C. A case shall be referred to the Attorney General for investigation and prosecution if a licensing board or state agency makes a finding of gross or repeated violations of this act by a licensed health care provider or an unlicensed health care provider.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 357, &sect; 3, emerg. eff. March 13, 1947. Amended by Laws 2009, c. 148, &sect; 3, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-725.4. Referral of patients or clients to testing center or laboratory - Disclosure of financial interest or remuneration - Disciplinary actions - Injunctions.&nbsp;</span></p> <p><span class="cls0">A. Any health or mental health care professional or health care provider who refers patients or clients to a testing center or laboratory shall provide written disclosure to such patient or client or the guardian of such patient or client of any financial interest of the professional or provider in the center or laboratory or any remuneration received by the professional or provider for referrals to the center or laboratory. Provided, however, that disclosure shall not be required where:&nbsp;</span></p> <p><span class="cls0">1. The testing center or laboratory is an extension of or ancillary to the health or mental health care professional's or health care provider's practice;&nbsp;</span></p> <p><span class="cls0">2. The testing center or laboratory is not a separate business entity and is not billed as a separate entity; and&nbsp;</span></p> <p><span class="cls0">3. The health or mental health care professional or health care provider provides for and supervises the services at the facility.&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;B. Any person who has been determined to be in violation of subsection A of this section by the State Board of Health, after notice and a hearing by the Board shall be subject to a fine of not less than One Hundred Dollars ($100.00) or more than One Thousand Dollars ($1,000.00).&nbsp;</span></p> <p><span class="cls0">C. In addition to any other penalties or remedies provided by law:&nbsp;</span></p> <p><span class="cls0">1. A violation of this section by a health or mental health care professional or health care provider shall be grounds for disciplinary action by the state agency licensing, certifying or registering such professional or provider; and&nbsp;</span></p> <p><span class="cls0">2. A state agency licensing, certifying or registering such professional or provider may institute an action to enjoin violation or potential violation of this section. The action for an injunction shall be in addition to any other action, proceeding or remedy authorized by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1992, c. 356, &sect; 3, emerg. eff. June 4, 1992. Amended by Laws 1993, c. 165, &sect; 2, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-725.5. Limitation of liability for doctors rendering medical care on volunteer basis.&nbsp;</span></p> <p><span class="cls0">A health care provider authorized to use the designation &ldquo;Doctor&rdquo;, or an abbreviation thereof pursuant to the provisions of Section 725.2 of Title 59 of the Oklahoma Statutes, who renders medical care on a voluntary basis at a free medical clinic or an educational sporting event is not liable for any civil damages, other than for injuries resulting in death, caused by acts or omissions of the health care provider while rendering such medical care unless it is plainly alleged in the complaint and later proven that the acts or omissions of the health care provider constituted gross negligence or willful or wanton wrongs during the rendering of such medical care.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 523, &sect; 26, emerg. eff. June 9, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59731.1. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in Sections 731.1 through 731.7 of this title:&nbsp;</span></p> <p><span class="cls0">1. "Person" means any individual, or association of individuals or group of individuals;&nbsp;</span></p> <p><span class="cls0">2. "Human ill" or "human illness" means any human disease, ailment, deformity, injury or unhealthy or abnormal physical and/or mental condition of any nature;&nbsp;</span></p> <p><span class="cls0">3. "Diagnosis" means the use professionally of any means for the discovery or determination of any human ill as herein defined, or the cause of any such human ill; and&nbsp;</span></p> <p><span class="cls0">4. "Treatment" means the use of drugs, surgery, including appliances, manual or mechanical means, or any other means of any nature whatsoever, for the cure, relief, palliation, adjustment or correction of any human ill as defined herein.&nbsp;</span></p> <p><span class="cls0">Laws 1947, p. 357, &sect; 1, emerg. eff. May 22, 1947; Laws 1993, c. 168, &sect; 2, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59731.2. Use of word &ldquo;Doctor&rdquo; or abbreviation &ldquo;Dr.&rdquo;, etc. as evidence.&nbsp;</span></p> <p><span class="cls0">A. Proof that any class of persons identified in Section 725.2 of this title appends to their name the word "Doctor", the abbreviation "Dr.", or any other word, abbreviation or designation, which word, abbreviation or designation, indicate that such person is qualified for diagnosis or treatment, as herein defined, shall constitute prima facie evidence that such person is holding himself or herself out, within the meaning of this act, as qualified to engage in diagnosis or treatment.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this section shall be construed to prevent a person specified in paragraphs 7 through 9 of subsection A of Section 725.2 of this title from appending to such person&rsquo;s name the word "Doctor", so long as such person follows such name and designation with the letters signifying the recognized doctoral degrees specified in paragraphs 7 through 9 of subsection A of Section 725.2 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 358, &sect; 2, emerg. eff. May 22, 1947. Amended by Laws 1993, c. 168, &sect; 3, eff. Sept. 1, 1993; Laws 2000, c. 52, &sect; 2, emerg. eff. April 14, 2000.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59731.3. Unlicensed person not to hold himself out as qualified.&nbsp;</span></p> <p><span class="cls0">Except as authorized by the provisions of Sections 492 and 731.5 of this title and Section 5 of this act, no person shall in any manner engage in, offer to engage in, or hold himself out as qualified to engage in the diagnosis and/or treatment of any human ill unless such person is the holder of a legal and unrevoked license or certificate issued under the laws of Oklahoma authorizing such person to practice the healing art covered by such license and is practicing thereunder in the manner and subject to the limitations provided by the laws of the State of Oklahoma for the issuance of such license or certificate for the practice thereunder.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 192, 4, emerg. eff. May 14, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59731.4. Punishment for violations.&nbsp;</span></p> <p><span class="cls0">Any person who shall violate the provisions of this act shall be guilty of a misdemeanor and upon conviction thereof shall be punished by a fine of not less than Fifty Dollars ($50.00), nor more than Five Hundred Dollars ($500.00), or by imprisonment in the county jail for not less than five (5) days, nor more than thirty (30) days, or by both such fine and imprisonment. Each day upon which this act shall be violated shall constitute a separate offense and be punishable as such.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1947, p. 358, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59-731.5. Application of law.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall apply to:&nbsp;</span></p> <p><span class="cls0">1. Any commissioned officer in any of the healing arts licensed as such in the United States Army, Navy, Marines, Public Health Service, or Marine Hospital Service, in the discharge of the professional duties of such officer;&nbsp;</span></p> <p><span class="cls0">2. Any legally qualified person when engaged exclusively in the practice of the particular profession of such person, as defined by law;&nbsp;</span></p> <p><span class="cls0">3. Any licensed person practicing any of the healing arts from another state or territory, when in actual consultation with a licensed practitioner in this state;&nbsp;</span></p> <p><span class="cls0">4. Any physician's trained assistant who is assisting a licensed physician to render services within the licensed scope of practice of the physician, if the assistant is under the supervision and control of the physician;&nbsp;</span></p> <p><span class="cls0">5. Any student in any recognized school of the healing arts in carrying out prescribed courses of study provided such school is a recognized institution by the statutes of Oklahoma, and its practitioners are duly licensed as prescribed by law;&nbsp;</span></p> <p><span class="cls0">6. The practice of those who endeavor to prevent, or cure, disease or suffering, by spiritual means or prayer; or&nbsp;</span></p> <p><span class="cls0">7. Any legally qualified person specified in paragraphs 7 through 9 of subsection A of Section 725.2 of this title in the discharge of the professional duties of the person, so long as such person is employed by any state or governmental agency, or any recognized college or university.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1947, p. 358, &sect; 5, emerg. eff. May 22, 1947. Amended by Laws 1980, c. 258, &sect; 1, eff. Oct. 1, 1980; Laws 1997, c. 222, &sect; 6, eff. Nov. 1, 1997; Laws 2000, c. 52, &sect; 3, emerg. eff. April 14, 2000.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59731.6. Partial invalidity.&nbsp;</span></p> <p><span class="cls0">If any section, paragraph or clause of this act is for any reason held invalid, such fact shall not affect the validity of any other portion hereof.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1947, p. 359, &sect; 6. &nbsp;</span></p> <p><span class="cls0">&sect;59-731.7. Spinal manipulation.&nbsp;</span></p> <p><span class="cls0">A. No person shall perform spinal manipulation in this state until first being adequately trained in this procedure through formal education at an accredited college or school.&nbsp;</span></p> <p><span class="cls0">B. As used in this section, "spinal manipulation" means a manual procedure that involves a directed thrust to move a spinal joint past the physiological range of motion, without exceeding the anatomical limit.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 317, &sect; 3, emerg. eff. June 24, 1986. Amended by Laws 1997, c. 90, &sect; 3, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-736.2. Injunction.&nbsp;</span></p> <p><span class="cls0">Provided that any violation hereof shall be enjoined by any court having jurisdiction of the parties on the application or petition of the county attorney of the county in which the violation occurred, and upon his refusal, by the Attorney General.&nbsp;</span></p> <p><span class="cls0">Laws 1947, p.359, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-738.1. Injunctions granted without bond to specified boards.&nbsp;</span></p> <p><span class="cls0">Injunctions, without bond, may be granted by district courts to the Board of Podiatric Medical Examiners, the Board of Chiropractic Examiners, the State Board of Medical Licensure and Supervision, the Board of Examiners in Optometry, the Board of Pharmacy, the Board of Dentistry, the Board of Veterinary Medical Examiners or the State Board of Osteopathic Examiners, for the purpose of enforcing the respective acts and laws creating and establishing these boards.&nbsp;</span></p> <p><span class="cls0">Laws 1951, p. 166, &sect; 1; Laws 1987, c. 118, &sect; 43, operative July 1, 1987; Laws 1995, c. 207, &sect; 4, eff. Nov. 1, 1995; Laws 2011, c. 262, &sect; 6, eff. July 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59738.2. Consent of Board issuing license Laws governing Duty of Attorney General.&nbsp;</span></p> <p><span class="cls0">None of the Boards referred to in Section 1 of this act shall be permitted to institute an action to enjoin any person who holds a valid license regularly issued by any other of the abovenamed Boards without first obtaining the written consent of said other Board to file such injunction proceedings. The terms and provisions of the respective acts and laws creating and establishing the Boards above referred to are set forth in Title 59, Oklahoma Statutes 1951, as Chapters 4, 5, 7, 8, 11, 13 and 14. Provided, that in the event any of the abovenamed Boards as to an injunction action, or the proper district attorney as to a criminal action, fails or refuses to file such an action to enforce the respective acts and laws applicable to any such Board within ninety (90) days after complaint of violation thereof is made thereto, it shall be the duty of the Attorney General of the State of Oklahoma, if such a sworn complaint is made thereto, to file and prosecute an appropriate injunction or criminal action to enforce said act or law, that is, if he finds there is sufficient competent evidence to support such action.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1951, p. 166, &sect; 2. &nbsp;</span></p> <p><span class="cls0">&sect;59738.3. Attorneys, employment of.&nbsp;</span></p> <p><span class="cls0">Each of the Boards referred to in Section 1 of this act shall have the authority to employ attorneys to advise and assist such Boards in the performance of its official duties and functions and in carrying out the provisions of this act; provided, that the compensation of such attorney shall be paid from the fund, or monies, from which other expenses of the Board are paid and shall not be a charge against the State of Oklahoma.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1951, p. 166, &sect; 3. &nbsp;</span></p> <p><span class="cls0">&sect;59738.4. District attorney's right not abrogated.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall abrogate the right of any district attorney in this state to institute an action to enjoin or prosecute for violations of any of the laws of this state relating to the practice of any of the healing arts.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1951, p. 166, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59-738.6. Actions for declaratory rulings.&nbsp;</span></p> <p><span class="cls0">Notwithstanding any other provision of law, no board referred to in Section 738.1 of Title 59 of the Oklahoma Statutes may bring or maintain any action for declaratory ruling against any person or entity, including any agency of this state, other than licensees of that board or persons holding themselves out as licensees of that board, to determine if any act performed by such person or entity constitutes the unauthorized practice of a healing art regulated by that board.&nbsp;</span></p> <p><span class="cls0">The provisions of this section shall not be construed to impair or in any manner affect any civil action for a declaratory ruling brought or for any actions arising pursuant to Section 491.1 of Title 59 of the Oklahoma Statutes prior to September 1, 1996.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 6, &sect; 1, eff. Sept. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59858101. Title and construction.&nbsp;</span></p> <p><span class="cls0">This Code shall be known and cited as "The Oklahoma Real Estate License Code".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1974, c. 121, &sect; 101, operative July 1, 1974. &nbsp;</span></p> <p><span class="cls0">&sect;59-858-102. Definitions.&nbsp;</span></p> <p><span class="cls0">When used in this Code, unless the context clearly indicates otherwise, the following words and terms shall be construed as having the meanings ascribed to them in this section:&nbsp;</span></p> <p><span class="cls0">1. The term &ldquo;real estate&rdquo; shall include any interest or estate in real property, within or without the State of Oklahoma, whether vested, contingent or future, corporeal or incorporeal, freehold or nonfreehold, and including leaseholds, options and unit ownership estates to include condominiums, time-shared ownerships and cooperatives; provided, however, that the term &ldquo;real estate&rdquo; shall not include oil, gas or other mineral interests, or oil, gas or other mineral leases; and provided further, that the provisions of this Code shall not apply to any oil, gas, or mineral interest or lease or the sale, purchase or exchange thereof;&nbsp;</span></p> <p><span class="cls0">2. The term &ldquo;real estate broker&rdquo; shall include any person, partnership, association or corporation, foreign or domestic, who for a fee, commission or other valuable consideration, or who with the intention or expectation of receiving or collecting a fee, commission or other valuable consideration, lists, sells or offers to sell, buys or offers to buy, exchanges, rents or leases any real estate, or who negotiates or attempts to negotiate any such activity, or solicits listings of places for rent or lease, or solicits for prospective tenants, purchasers or sellers, or who advertises or holds himself out as engaged in such activities;&nbsp;</span></p> <p><span class="cls0">3. The term &ldquo;broker associate&rdquo; shall include any person who has qualified for a license as a broker and who is employed or engaged by, associated as an independent contractor with, or on behalf of, a broker to do or deal in any act, acts or transaction set out in the definition of a broker;&nbsp;</span></p> <p><span class="cls0">4. The term &ldquo;real estate sales associate&rdquo; shall include any person having a renewable license and employed or engaged by, or associated as an independent contractor with, or on behalf of, a real estate broker to do or deal in any act, acts or transactions set out in the definition of a real estate broker;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Provisional sales associate&rdquo; shall include any person who has been licensed after June 30, 1993, employed or engaged by, or associated as an independent contractor with, or on behalf of, a real estate broker to do or deal in any act, acts or transactions set out in the definition of a real estate broker and subject to an additional forty-five-clock-hour postlicensing educational requirement to be completed within the first twelve-month license term. However, the Oklahoma Real Estate Commission shall promulgate rules for those persons called into active military service for purposes of satisfying the postlicensing educational requirement. The license of a provisional sales associate shall be nonrenewable unless the postlicensing requirement is satisfied prior to the expiration date of the license. Further, the term sales associate and provisional sales associate shall be synonymous in meaning except where specific exceptions are addressed in the Oklahoma Real Estate License Code;&nbsp;</span></p> <p><span class="cls0">6. The term &ldquo;successful completion&rdquo; shall include prelicense, postlicense, and distance education courses in which an approved public or private school entity has examined the individual, to the satisfaction of the entity and standards as established by the Commission, in relation to the course material presented during the offering;&nbsp;</span></p> <p><span class="cls0">7. The term &ldquo;renewable license&rdquo; shall refer to a sales associate who is a holder of such license or to a provisional sales associate who has completed both the prelicense and postlicense educational requirements within the required time period as stated in the Code;&nbsp;</span></p> <p><span class="cls0">8. The term &ldquo;nonrenewable license&rdquo; shall refer to a provisional sales associate who is the holder of such license and who has not completed the postlicense educational requirement;&nbsp;</span></p> <p><span class="cls0">9. The term &ldquo;surrendered license&rdquo; shall refer to a real estate license which is surrendered, upon the request of the licensee, due to a pending investigation or disciplinary proceedings;&nbsp;</span></p> <p><span class="cls0">10. The term &ldquo;canceled license&rdquo; shall refer to a real estate license which is canceled, upon the request of the licensee and approval of the Commission, due to a personal reason or conflict;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Licensee&rdquo; shall include any person who performs any act, acts or transactions set out in the definition of a broker and licensed under the Oklahoma Real Estate License Code;&nbsp;</span></p> <p><span class="cls0">12. The word &ldquo;Commission&rdquo; shall mean the Oklahoma Real Estate Commission;&nbsp;</span></p> <p><span class="cls0">13. The word &ldquo;person&rdquo; shall include and mean every individual, partnership, association or corporation, foreign or domestic;&nbsp;</span></p> <p><span class="cls0">14. Masculine words shall include the feminine and neuter, and the singular includes the plural; and&nbsp;</span></p> <p><span class="cls0">15. The word &ldquo;associate&rdquo; shall mean a broker associate, sales associate or provisional sales associate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 102, operative July 1, 1974. Amended by Laws 1991, c. 43, &sect; 2, eff. July 1, 1993; Laws 1992, c. 94, &sect; 1, eff. July 1, 1993; Laws 1994, c. 149, &sect; 1, eff. July 1, 1994; Laws 1998, c. 60, &sect; 1, eff. Jan. 1, 1999; Laws 1999, c. 26, &sect; 1, eff. Nov. 1, 1999; Laws 2001, c. 235, &sect; 1, eff. Aug. 1, 2001; Laws 2004, c. 142, &sect; 1, eff. Nov. 1, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-201. Oklahoma Real Estate Commission.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created, to continue until July 1, 2017, in accordance with the provisions of the Oklahoma Sunset Law, the Oklahoma Real Estate Commission, which shall consist of seven (7) members. The Commission shall be the sole governmental entity, state, county or municipal, which shall have the authority to regulate and issue real estate licenses in the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">B. All members of the Commission shall be citizens of the United States and shall have been residents of the State of Oklahoma for at least three (3) years prior to their appointment.&nbsp;</span></p> <p><span class="cls0">C. Five members shall be licensed real estate brokers and shall have had at least five (5) years' active experience as real estate brokers prior to their appointment and be engaged full time in the real estate brokerage business. One member shall be a lay person not in the real estate business, and one member shall be an active representative of a school of real estate located within the State of Oklahoma and approved by the Oklahoma Real Estate Commission.&nbsp;</span></p> <p><span class="cls0">D. No more than two members shall be appointed from the same congressional district according to the latest congressional redistricting act. However, when congressional districts are redrawn, each member appointed prior to July 1 of the year in which such modification becomes effective shall complete the current term of office and appointments made after July 1 of the year in which such modification becomes effective shall be based on the redrawn districts. No appointments may be made after July 1 of the year in which such modification becomes effective if such appointment would result in more than two members serving from the same modified district.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 201, operative July 1, 1974. Amended by Laws 1979, c. 122, &sect; 1, emerg. eff. May 1, 1979; Laws 1982, c. 194, &sect; 1, emerg. eff. April 26, 1982; Laws 1985, c. 231, &sect; 1, operative July 1, 1985; Laws 1991, c. 39, &sect; 1, emerg. eff. April 3, 1991; Laws 1991, c. 335, &sect; 17, emerg. eff. June 15, 1991; Laws 1994, c. 76, &sect; 1, eff. July 1, 1994; Laws 1997, c. 38, &sect; 1; Laws 1998, c. 60, &sect; 2, eff. Jan. 1, 1999; Laws 2002, c. 375, &sect; 9, eff. Nov. 5, 2002; Laws 2003, c. 229, &sect; 2, emerg. eff. May 20, 2003; Laws 2009, c. 19, &sect; 1; Laws 2013, c. 296 &sect; 1, emerg. eff. May 16, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1991, c. 43, &sect; 1 repealed by Laws 1991, c. 335, &sect; 37, emerg. eff. June 15, 1991. Laws 2003, c. 13, &sect; 1 repealed by Laws 2003, c. 229, &sect; 10, emerg. eff. May 20, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-202. Appointment - Tenure - Vacancies - Removal.&nbsp;</span></p> <p><span class="cls0">A. Members of the Oklahoma Real Estate Commission shall be appointed by the Governor with the advice and consent of the Senate.&nbsp;</span></p> <p><span class="cls0">B. Members of the Commission shall serve until their terms expire. The terms of the Commission members shall be for four (4) years and until their successors are appointed and qualified.&nbsp;</span></p> <p><span class="cls0">C. Each successor member and any vacancy which may occur in the membership of the Commission shall be filled by appointment of the Governor with the advice and consent of the Senate.&nbsp;</span></p> <p><span class="cls0">D. The Governor may select appointees from a list of at least three qualified persons submitted by the Oklahoma Association of Realtors, Incorporated.&nbsp;</span></p> <p><span class="cls0">E. Each person who shall have been appointed to fill a vacancy shall serve for the remainder of the term for which the member whom he will succeed was appointed and until his successor, in turn, shall have been appointed and shall have qualified.&nbsp;</span></p> <p><span class="cls0">F. Members of the Commission may be removed from office by the Governor for inefficiency, neglect of duty or malfeasance in office in the manner provided by law for the removal of officers not subject to impeachment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 202, operative July 1, 1974. Amended by Laws 1982, c. 194, &sect; 2, emerg. eff. April 26, 1982; Laws 1985, c. 231, &sect; 2, operative July 1, 1985; Laws 1998, c. 60, &sect; 3, eff. Jan. 1, 1999; Laws 2007, c. 42, &sect; 1, eff. Jan. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-204. Officers - Employees - Duties and compensation - Meetings.&nbsp;</span></p> <p><span class="cls0">A. The members of the Commission, within thirty (30) days after their appointment, shall organize and elect a chairman and vice-chairman. Annually thereafter the offices of chairman and vice-chairman shall be attained through election by Commission members.&nbsp;</span></p> <p><span class="cls0">B. The Commission, as soon after the election of the chairman and vice-chairman as practicable, shall employ a secretary-treasurer and such clerks and assistants as shall be deemed necessary to discharge the duties imposed by the provisions of this Code, and shall determine their duties and fix their compensation subject to the general laws of this state.&nbsp;</span></p> <p><span class="cls0">C. The chairman of the Commission, and in his absence the vice-chairman, shall preside at all meetings of the Commission and shall execute such duties as the Commission, by its rules, shall prescribe.&nbsp;</span></p> <p><span class="cls0">D. The secretary-treasurer shall keep a complete and permanent record of all proceedings of the Commission and perform such other duties as the Commission shall prescribe.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 204, operative July 1, 1974. Amended by Laws 1982, c. 194, &sect; 3, emerg. eff. April 26, 1982; Laws 1998, c. 60, &sect; 4, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-205. Oklahoma Real Estate Commission Revolving Fund.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created in the State Treasury a revolving fund for the Oklahoma Real Estate Commission, to be designated the "Oklahoma Real Estate Commission Revolving Fund". The fund shall consist of all monies received by the Oklahoma Real Estate Commission other than the Oklahoma Real Estate Education and Recovery Fund fees or appropriated funds. The revolving fund shall be a continuing fund not subject to fiscal year limitations and shall be under the control and management of the Oklahoma Real Estate Commission.&nbsp;</span></p> <p><span class="cls0">B. The Oklahoma Real Estate Commission may invest all or part of the monies of the fund in securities offered through the "Oklahoma State Treasurer's Cash Management Program". Any interest or dividends accruing from the securities and any monies generated at the time of redemption of the securities shall be deposited in the General Operating Fund of the Oklahoma Real Estate Commission. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Oklahoma Real Estate Commission.&nbsp;</span></p> <p><span class="cls0">C. Expenditures from this fund shall be made pursuant to the purposes of this Code and without legislative appropriation. Warrants for expenditures shall be drawn by the State Treasurer based on claims signed by an authorized employee or employees of the Oklahoma Real Estate Commission and approved for payment by the Director of the Office of Management and Enterprise Services.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 205, operative July 1, 1974. Amended by Laws 1977, c. 182, &sect; 1, eff. July 1, 1977; Laws 1979, c. 47, &sect; 39, emerg. eff. April 9, 1979; Laws 1992, c. 94, &sect; 2, eff. July 1, 1992; Laws 1998, c. 60, &sect; 5, eff. Jan. 1, 1999; Laws 2010, c. 413, &sect; 19, eff. July 1, 2010; Laws 2012, c. 304, &sect; 268.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-206. Suits - Service - Seal - Certified copies - Location of office.&nbsp;</span></p> <p><span class="cls0">A. The Commission may sue and be sued in its official name, and service of summons upon the secretary-treasurer of the Commission shall constitute lawful service upon the Commission.&nbsp;</span></p> <p><span class="cls0">B. The Commission shall have a seal which shall be affixed to all licenses, certified copies of records and papers on file, and to such other instruments as the Commission may direct, and all courts shall take judicial notice of such seal.&nbsp;</span></p> <p><span class="cls0">C. Copies of records and proceedings of the Commission and all papers on file in the office, certified under the seal, shall be received as evidence in all courts of record.&nbsp;</span></p> <p><span class="cls0">D. The office of the Commission shall be at Oklahoma City, Oklahoma.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 206, operative July 1, 1974. Amended by Laws 1998, c. 60, &sect; 6, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59858207. Annual report of fees.&nbsp;</span></p> <p><span class="cls0">The Commission shall at the close of each fiscal year file with the Governor and State Auditor and Inspector a true and correct report of all fees charged, collected and received during the previous fiscal year, and shall pay into the General Revenue Fund of the State Treasury ten percent (10%) of the license fees collected and received during the fiscal year.&nbsp;</span></p> <p><span class="cls0">Amended by Laws 1982, c. 194, &sect; 4, emerg. eff. April 26, 1982; Laws 1983, c. 289, &sect; 1, emerg. eff. June 24, 1983; Laws 1985, c. 231, &sect; 4, operative July 1, 1985; Laws 1990, c. 264, &sect; 125, operative July 1, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-208. Powers and duties of Commission.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Commission shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To promulgate rules, prescribe administrative fees by rule, and make orders as it may deem necessary or expedient in the performance of its duties;&nbsp;</span></p> <p><span class="cls0">2. To administer examinations to persons who apply for the issuance of licenses;&nbsp;</span></p> <p><span class="cls0">3. To sell to other entities or governmental bodies, not limited to the State of Oklahoma, computer testing and license applications to recover expended research and development costs;&nbsp;</span></p> <p><span class="cls0">4. To issue licenses in the form the Commission may prescribe to persons who have passed examinations or who otherwise are entitled to such licenses;&nbsp;</span></p> <p><span class="cls0">5. To issue licenses to and regulate the activities of real estate brokers, provisional sales associates, sales associates, branch offices, nonresidents, associations, corporations, and partnerships;&nbsp;</span></p> <p><span class="cls0">6. Upon showing good cause as provided for in The Oklahoma Real Estate License Code, to discipline licensees, instructors and real estate school entities by:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;reprimand,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;probation for a specified period of time,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;requiring education in addition to the educational requirements provided by Section 858-307.2 of this title,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;suspending real estate licenses and approvals for specified periods of time,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;revoking real estate licenses and approvals,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;imposing administrative fines pursuant to Section 858-402 of this title, or&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;any combination of discipline as provided by subparagraphs a through f of this paragraph;&nbsp;</span></p> <p><span class="cls0">7. Upon showing good cause, to modify any sanction imposed pursuant to the provisions of this section and to reinstate licenses;&nbsp;</span></p> <p><span class="cls0">8. To conduct, for cause, disciplinary proceedings;&nbsp;</span></p> <p><span class="cls0">9. To prescribe penalties as it may deem proper to be assessed against licensees for the failure to pay the license renewal fees as provided for in this Code;&nbsp;</span></p> <p><span class="cls0">10. To initiate the prosecution of any person who violates any of the provisions of this Code;&nbsp;</span></p> <p><span class="cls0">11. To approve instructors and organizations offering courses of study in real estate and to further require them to meet standards to remain qualified as is necessary for the administration of this Code;&nbsp;</span></p> <p><span class="cls0">12. To contract with attorneys and other professionals to carry out the functions and purposes of this Code;&nbsp;</span></p> <p><span class="cls0">13. To apply for injunctions and restraining orders for violations of the Code or the rules of the Commission;&nbsp;</span></p> <p><span class="cls0">14. To create an Oklahoma Real Estate Contract Form Committee by rule that will be required to draft and revise real estate purchase and/or lease contracts and any related addenda for voluntary use by real estate licensees;&nbsp;</span></p> <p><span class="cls0">15. To enter into contracts and agreements for the payment of food and other reasonable expenses as authorized in the State Travel Reimbursement Act necessary to host, conduct, or participate in meetings or training sessions as is reasonable for the administration of this Code;&nbsp;</span></p> <p><span class="cls0">16. To conduct an annual performance review of the Executive Director and submit the report to the Legislature; and&nbsp;</span></p> <p><span class="cls0">17. To enter into reciprocal agreements with other real estate licensing regulatory jurisdictions with equivalent licensing, education and examination requirements.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 208, operative July 1, 1974. Amended by Laws 1980, c. 165, &sect; 1, eff. Oct. 1, 1980; Laws 1984, c. 74, &sect; 1, eff. Nov. 1, 1984; Laws 1989, c. 235, &sect; 2, emerg. eff. May 12, 1989; Laws 1990, c. 264, &sect; 126, operative July 1, 1990; Laws 1991, c. 43, &sect; 3, eff. July 1, 1993; Laws 1993, c. 54, &sect; 1, eff. Sept. 1, 1993; Laws 1994, c. 149, &sect; 2, eff. July 1, 1995; Laws 1996, c. 159, &sect; 1, eff. Nov. 1, 1996; Laws 2001, c. 235, &sect; 2, eff. Aug. 1, 2001; Laws 2005, c. 85, &sect; 1, eff. Nov. 1, 2005; Laws 2007, c. 42, &sect; 2, eff. Jan. 1, 2008; Laws 2008, c. 274, &sect; 1, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-209. Compliance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">A. In the exercise of all powers and the performance of all duties provided in this Code, the Commission shall comply with the procedures provided in the Administrative Procedures Act. Appeals shall be taken as provided in said act.&nbsp;</span></p> <p><span class="cls0">B. The Commission may designate and employ a hearing examiner or examiners who shall have the power and authority to conduct such hearings in the name of the Commission at any time and place subject to the provisions of this section and any applicable rules or orders of the Commission. No person shall serve as a hearing examiner in any proceeding in which any party to the proceeding is, or at any time has been, a client of the hearing examiner or of any firm, partnership or corporation with which the hearing examiner is, or at any time has been, associated. No person who acts as a hearing examiner shall act as attorney for the Commission in any court proceeding arising out of any hearing in which he acted as hearing examiner.&nbsp;</span></p> <p><span class="cls0">C. In any hearing before the Commission, the burden of proof shall be upon the moving party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 209, operative July 1, 1974. Amended by Laws 1998, c. 60, &sect; 7, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-301. License required &ndash; Exceptions.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any person to act as a real estate licensee, or to hold himself or herself out as such, unless the person shall have been licensed to do so under the Oklahoma Real Estate License Code. However, nothing in this section shall:&nbsp;</span></p> <p><span class="cls0">1. Prevent any person, partnership, trust, association or corporation, or the partners, officers or employees of any partnership, trustees or beneficiaries of any trust, association or corporation, from acquiring real estate for its own use, nor shall anything in this section prevent any person, partnership, trust, association or corporation, or the partners, officers or employees of any partnership, trustees or beneficiaries of any trust, association or corporation, as owner, lessor or lessee of real estate, from selling, renting, leasing, exchanging, or offering to sell, rent, lease or exchange, any real estate so owned or leased, or from performing any acts with respect to such real estate when such acts are performed in the regular course of, or as an incident to, the management, ownership or sales of such real estate and the investment therein;&nbsp;</span></p> <p><span class="cls0">2. Apply to persons acting as the attorney-in-fact for the owner of any real estate authorizing the final consummation by performance of any contract for the sale, lease or exchange of such real estate;&nbsp;</span></p> <p><span class="cls0">3. In any way prohibit any attorney-at-law from performing the duties of the attorney as such, nor shall this Code prohibit a receiver, trustee in bankruptcy, administrator, executor, or his or her attorney, from performing his or her duties, or any person from performing any acts under the order of any court, or acting as a trustee under the terms of any trust, will, agreement or deed of trust;&nbsp;</span></p> <p><span class="cls0">4. Apply to any person acting as the resident manager for the owner or an employee acting as the resident manager for a licensed real estate broker managing an apartment building, duplex, apartment complex or court, when such resident manager resides on the premises and is engaged in the leasing of property in connection with the employment of the resident manager;&nbsp;</span></p> <p><span class="cls0">5. Apply to any person who engages in such activity on behalf of a corporation or governmental body, to acquire easements, rights-of-way, leases, permits and licenses, including any and all amendments thereto, and other similar interests in real estate, for the purpose of, or facilities related to, transportation, communication services, cable lines, utilities, pipelines, or oil, gas, and petroleum products;&nbsp;</span></p> <p><span class="cls0">6. Apply to any person who engages in such activity in connection with the acquisition of real estate on behalf of an entity, public or private, which has the right to acquire the real estate by eminent domain;&nbsp;</span></p> <p><span class="cls0">7. Apply to any person who is a resident of an apartment building, duplex, or apartment complex or court, when the person receives a resident referral fee. As used in this paragraph, a "resident referral fee" means a nominal fee not to exceed One Hundred Dollars ($100.00), offered to a resident for the act of recommending the property for lease to a family member, friend, or coworker;&nbsp;</span></p> <p><span class="cls0">8. Apply to any person or entity managing a transient lodging facility. For purposes of this paragraph, &ldquo;transient lodging facility&rdquo; means a furnished room or furnished suite of rooms which is rented to a person on a daily basis, not as a principal residence, for a period less than thirty (30) days; or&nbsp;</span></p> <p><span class="cls0">9. Apply to employees of a licensed real estate broker who lease residential housing units only to eligible persons who qualify through a state or federal housing subsidized program to lease the property in an affordable housing development project. &ldquo;Affordable housing development project&rdquo; means a housing development of four or more units constructed for lease to specifically eligible persons as required by the particular federal or state housing program, including, but not limited to, the U.S. Department of Housing and Urban Development, the U.S. Department Agriculture Rural Development, the U.S. Department of Treasury Internal Revenue Service, or the Oklahoma Housing Finance Agency.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 301, operative July 1, 1974. Amended by Laws 1977, c. 68, &sect; 1; Laws 1997, c. 401, &sect; 13, eff. Nov. 1, 1997; Laws 1998, c. 60, &sect; 8, eff. Jan. 1, 1999; Laws 2006, c. 313, &sect; 1, eff. Nov. 1, 2006; Laws 2007, c. 174, &sect; 1, eff. Nov. 1, 2007; Laws 2010, c. 114, &sect; 1, eff. July 1, 2010; Laws 2011, c. 236, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-301.1. Eligibility for license - Applicants convicted of criminal offenses - Time periods for disqualification - Procedure.&nbsp;</span></p> <p><span class="cls0">A. Any applicant convicted of any crimes defined in Section 13.1 of Title 21 of the Oklahoma Statutes shall not be eligible to obtain a real estate license within twenty (20) years of the completion of any criminal sentence, including parole and probation.&nbsp;</span></p> <p><span class="cls0">B. Any applicant convicted of a felony involving forgery, embezzlement, obtaining money under false pretense, extortion, conspiracy to defraud, fraud, or any other similar offense or offenses shall not be eligible to obtain a real estate license within ten (10) years of the completion of any criminal sentence, including parole and probation.&nbsp;</span></p> <p><span class="cls0">C. Any applicant convicted of any other felony shall not be allowed to obtain a real estate license within five (5) years of the completion of any criminal sentence, including parole and probation.&nbsp;</span></p> <p><span class="cls0">D. For the purposes of this section, the term &ldquo;applicant&rdquo; shall mean any person making an application for original licensure as a provisional sales associate, sales associate, broker associate, or broker, and shall not apply to any licensee seeking renewal of a current license.&nbsp;</span></p> <p><span class="cls0">E. Any applicant with a felony conviction shall not automatically receive a license after the timelines set forth in this section, but may be licensed in accordance with the licensing provisions set forth in the Oklahoma Real Estate License Code and Rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 133, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-301.2. Notification of Commission of conviction or plea of guilty or nolo contendere to felony offense.&nbsp;</span></p> <p><span class="cls0">Every licensed person pursuant to the provisions of the Oklahoma Real Estate License Code shall notify the Commission in writing of the conviction or plea of guilty or nolo contendere to any felony offense within thirty (30) days after the plea is taken and also within thirty (30) days of the entering of an order of judgment and sentencing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 133, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-302. Eligibility for license as provisional sales associate - Qualifications - Examination - Posteducation requirement.&nbsp;</span></p> <p><span class="cls0">A. Any person of good moral character, eighteen (18) years of age or older, and who shall submit to the Commission evidence of successful completion of ninety (90) clock hours or its equivalent as determined by the Commission of basic real estate instruction in a course of study approved by the Commission, may apply to the Commission to take an examination for the purpose of securing a license as a provisional sales associate. The education required in this subsection shall only be valid for a period of three (3) years from the date the school certified successful completion of the course; thereafter, the applicant shall be required to successfully complete an additional ninety (90) clock hours or its equivalent in basic real estate instruction.&nbsp;</span></p> <p><span class="cls0">B. Application shall be made upon forms prescribed by the Commission and shall be accompanied by an examination fee as provided for in this Code and all information and documents the Commission may require.&nbsp;</span></p> <p><span class="cls0">C. The applicant shall appear in person before the Commission for an examination which shall be in the form and inquire into the subjects the Commission shall prescribe.&nbsp;</span></p> <p><span class="cls0">D. If it shall be determined that the applicant shall have passed the examination, received final approval of the application, and paid the appropriate license fee provided for in this Code along with the Oklahoma Real Estate Education and Recovery Fund fee, the Commission shall issue to the applicant a provisional sales associate license.&nbsp;</span></p> <p><span class="cls0">E. Following the issuance of a provisional sales associate license, the licensee shall then submit to the Commission, prior to the expiration of the provisional license, evidence of successful completion of forty-five (45) clock hours or its equivalent as determined by the Commission of postlicense education real estate instruction in a course(s) of study approved by the Commission. A provisional sales associate who fails to submit evidence of compliance with the postlicense education requirement pursuant to this section, prior to the first expiration date of the provisional sales associate license, shall not be entitled to renew such license for another license term. However, the Commission shall promulgate rules for those persons called into active military service for purposes of satisfying the postlicense education requirement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 302, operative July 1, 1974. Amended by Laws 1977, c. 182, &sect; 3, eff. July 1, 1977; Laws 1980, c. 165, &sect; 2, eff. July 1, 1981; Laws 1991, c. 43, &sect; 4, eff. July 1, 1993; Laws 1998, c. 60, &sect; 9, eff. Jan. 1, 1999; Laws 2004, c. 142, &sect; 2, eff. Nov. 1, 2004; Laws 2005, c. 59, &sect; 1, eff. Nov. 1, 2006; Laws 2013, c. 173, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-303. Eligibility for license as real estate broker or broker associate - Examination.&nbsp;</span></p> <p><span class="cls0">A. Any person of good moral character, who holds a renewable sales associate license and who shall have had two (2) years&rsquo; experience, within the previous five (5) years, as a licensed real estate sales associate or provisional sales associate, or its equivalent, and who shall submit to the Commission evidence of successful completion of ninety (90) clock hours or its equivalent as determined by the Commission of advanced real estate instruction in a course of study approved by the Commission, which instruction shall be in addition to any instruction required for securing a license as a real estate sales associate, may apply to the Commission to take an examination for the purpose of securing a license as a real estate broker or broker associate. The education required in this subsection shall only be valid for a period of three (3) years from the date the school certified successful completion of the course; thereafter, the applicant shall be required to successfully complete an additional ninety (90) clock hours or its equivalent in basic real estate instruction.&nbsp;</span></p> <p><span class="cls0">B. Application shall be made upon forms prescribed by the Commission and shall be accompanied by an examination fee as provided for in this Code and all information and documents the Commission may require.&nbsp;</span></p> <p><span class="cls0">C. The applicant shall appear in person before the Commission for an examination which shall be in the form and shall inquire into the subjects which the Commission shall prescribe.&nbsp;</span></p> <p><span class="cls0">D. If it shall be determined that the applicant shall have passed the examination, received final approval of the application, and paid the appropriate license fee provided for in this Code along with the Oklahoma Real Estate Education and Recovery Fund fee, the Commission shall issue to the applicant a broker or broker associate license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 303, operative July 1, 1974. Amended by Laws 1977, c. 182, &sect; 4, eff. July 1, 1977; Laws 1980, c. 165, &sect; 3, eff. July 1, 1981; Laws 1982, c. 194, &sect; 5, emerg. eff. April 26, 1982; Laws 1991, c. 43, &sect; 5, eff. July 1, 1993; Laws 1992, c. 94, &sect; 3, eff. July 1, 1993; Laws 1998, c. 60, &sect; 10, eff. Jan. 1, 1999; Laws 2005, c. 59, &sect; 2, eff. Nov. 1, 2006; Laws 2013, c. 173, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59858303B. Accounting of expenditure for services.&nbsp;</span></p> <p><span class="cls0">Any real estate broker who charges and collects any fees in advance of the services provided by the broker shall provide a detailed accounting of expenditures to the person such services are performed for within ten (10) days after the time specified to perform such services or upon written request from person for whom services are performed for, but no longer than one (1) year from date of contract for such services.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 231, &sect; 6, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-858-304. Evidence of successful completion of basic or advanced real estate instruction - Syllabus of instruction.&nbsp;</span></p> <p><span class="cls0">A. A certified transcript from an institution of higher education, accredited by the Oklahoma State Regents for Higher Education or the corresponding accrediting agency of another state, certifying to the successful completion of a six-academic-hour basic course of real estate instruction, or its equivalent, for which college credit was given, shall be prima facie evidence of successful completion of the clock hours of basic real estate instruction for a provisional sales associate applicant as required in Section 858-302 of this Code. The education required in this subsection shall only be valid for a period of three (3) years from the date the school certified successful completion of the course; thereafter, the applicant shall be required to successfully complete an additional six-academic-hour basic course of real estate instruction, or its equivalent.&nbsp;</span></p> <p><span class="cls0">B. A certified transcript from an institution of higher education, accredited by the Oklahoma State Regents for Higher Education or the corresponding accrediting agency of another state, certifying to the successful completion of a three-academic-hour course of real estate instruction, or its equivalent, consisting of the provisional sales associate postlicense education requirements for which college credit was given, shall be prima facie evidence of successful completion of the clock hours of real estate instruction for the postlicense education requirement as required in Section 858-302 of this title.&nbsp;</span></p> <p><span class="cls0">C. A certified transcript from an institution of higher education, accredited by the Oklahoma State Regents for Higher Education or the corresponding agency of another state, certifying to the successful completion of a six-academic-hour advanced course of real estate instruction, or its equivalent, for which college credit was given, shall be prima facie evidence of successful completion of the clock hours of advanced real estate instruction, or its equivalent, as required in Section 858-303 of this Code for a broker applicant.&nbsp;</span></p> <p><span class="cls0">D. Each school, whether public or private other than institutions of higher education, must present to the Commission its syllabus of instruction, prior to approval of such school.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 304, operative July 1, 1974. Amended by Laws 1980, c. 165, &sect; 4, eff. Oct. 1, 1980; Laws 1991, c. 43, &sect; 6, eff. July 1, 1993; Laws 1992, c. 94, &sect; 4, eff. July 1, 1993; Laws 1998, c. 60, &sect; 11, eff. Jan. 1, 1999; Laws 2008, c. 274, &sect; 2, eff. Nov. 1, 2008; Laws 2013, c. 173, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59858305. Licensing of associations, corporations and partnerships.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Real Estate Commission may license as a real estate broker any association or corporation in which the managing member or managing officer holds a license as a real estate broker, as defined in this Code, and in which every member, officer or employee who acts as a real estate broker or real estate sales associate holds a license for that purpose, as defined in this Code. The Commission may license as a real estate broker any partnership in which each partner holds a license as a real estate broker, as defined in this Code.&nbsp;</span></p> <p><span class="cls0">B. Application for licenses described in this section shall be made on forms prescribed by the Commission and shall be issued pursuant to rules promulgated by the Commission.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 305, operative July 1, 1974. Amended by Laws 1996, c. 159, &sect; 2, eff. Nov. 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-306. Licensing of nonresidents.&nbsp;</span></p> <p><span class="cls0">A. Any person who desires to perform licensed activities in Oklahoma but maintains a place of business outside of Oklahoma may obtain an Oklahoma nonresident license by complying with all applicable provisions of this Code including the successful completion of the applicable Oklahoma state portion of the real estate examination.&nbsp;</span></p> <p><span class="cls0">B. The nonresident shall give written consent that actions and suits at law may be commenced against the nonresident licensee in any county in this state wherein any cause of action may arise or be claimed to have arisen out of any transaction occurring in the county because of any transactions commenced or conducted by the nonresident or the nonresident's associates or employees in such county. The nonresident shall further, in writing, appoint the secretary-treasurer of said Commission as service agent to receive service of summons for the nonresident in all of such actions and service upon the secretary-treasurer of such Commission shall be held to be sufficient to give the court jurisdiction over the nonresident in all such actions.&nbsp;</span></p> <p><span class="cls0">C. A broker who is duly licensed in another state and who has not obtained an Oklahoma nonresident license may enter a cooperative brokerage agreement with a licensed real estate broker in this state. If, however, the broker desires to perform licensed activities in this state, the broker must obtain an Oklahoma nonresident license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 306, operative July 1, 1974. Amended by Laws 1991, c. 43, &sect; 7, eff. July 1, 1993; Laws 1998, c. 60, &sect; 12, eff. Jan. 1, 1999; Laws 2008, c. 274, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-307.1. Issuance of license - Term - Fees.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Real Estate Commission shall issue every real estate license for a term of thirty-six (36) months with the exception of a provisional sales associate license whose license term shall be for twelve (12) months. License terms shall not be altered except for the purpose of general reassignment of the terms which might be necessitated for maintaining an equitable staggered license term system. The expiration date of the license shall be the end of the twelfth or thirty-sixth month, whichever is applicable, including the month of issuance. Fees shall be promulgated by rule, payable in advance, and nonrefundable.&nbsp;</span></p> <p><span class="cls0">B. If a license is issued for a period of less than thirty-six (36) months, the license fee shall be prorated to the nearest dollar and month. If a real estate sales associate or a provisional sales associate shall qualify for a license as a real estate broker, then the real estate provisional sales associate&rsquo;s or sales associate's license fee for the remainder of the license term shall be prorated to the nearest dollar and month and credited to such person's real estate broker's license fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 165, &sect; 5, eff. July 1, 1981. Amended by Laws 1985, c. 231, &sect; 5, operative July 1, 1985; Laws 1989, c. 235, &sect; 3, emerg. eff. May 12, 1989; Laws 1991, c. 43, &sect; 8, eff. July 1, 1993; Laws 1998, c. 60, &sect; 13, eff. Jan. 1, 1999; Laws 2001, c. 235, &sect; 3, eff. Aug. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-307.2. Renewal of license - Continuing education requirement.&nbsp;</span></p> <p><span class="cls0">A. Beginning November 1, 2004, as a condition of renewal or reactivation of the license, each licensee with the exception of those exempt as set out in this section shall submit to the Oklahoma Real Estate Commission evidence of completion of a specified number of hours of continuing education courses approved by the Commission, within the thirty-six (36) months immediately preceding the term for which the license is to be issued. The number of hours, or its equivalent, required for each licensed term shall be determined by the Commission and promulgated by rule. Each licensee shall be required to complete and include as part of said continuing education a certain number of required subjects as prescribed by rule.&nbsp;</span></p> <p><span class="cls0">B. The continuing education courses required by this section shall be satisfied by courses approved by the Commission and offered by:&nbsp;</span></p> <p><span class="cls0">1. The Commission;&nbsp;</span></p> <p><span class="cls0">2. A technology center school;&nbsp;</span></p> <p><span class="cls0">3. A college or university;&nbsp;</span></p> <p><span class="cls0">4. A private school;&nbsp;</span></p> <p><span class="cls0">5. The Oklahoma Association of Realtors, the National Association of Realtors, or any affiliate thereof;&nbsp;</span></p> <p><span class="cls0">6. The Oklahoma Bar Association, American Bar Association, or any affiliate thereof; or&nbsp;</span></p> <p><span class="cls0">7. An education provider.&nbsp;</span></p> <p><span class="cls0">C. The Commission shall maintain a list of courses which are approved by the Commission.&nbsp;</span></p> <p><span class="cls0">D. The Commission shall not issue an active renewal license or reactivate a license unless the continuing education requirement set forth in this section is satisfied within the prescribed time period.&nbsp;</span></p> <p><span class="cls0">E. The provisions of this section do not apply:&nbsp;</span></p> <p><span class="cls0">1. During the period a license is on inactive status;&nbsp;</span></p> <p><span class="cls0">2. To a licensee who holds a provisional sales associate license;&nbsp;</span></p> <p><span class="cls0">3. To a nonresident licensee licensed in this state if the licensee maintains a current license in another state or states and has satisfied the continuing education requirement for license renewal in that state or states. If the nonresident licensee is exempt from the continuing education requirements in all states where the nonresident holds a license, the nonresident licensee shall successfully complete this state&rsquo;s continuing education requirement for license renewal or reactivation; or&nbsp;</span></p> <p><span class="cls0">4. To a corporation, association, partnership or branch office.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 165, &sect; 6, eff. July 1, 1984. Amended by Laws 1983, c. 289, &sect; 2, emerg. eff. June 24, 1983; Laws 1984, c. 16, &sect; 1, emerg. eff. March 20, 1984; Laws 1991, c. 43, &sect; 9, eff. July 1, 1993; Laws 1992, c. 94, &sect; 5, eff. July 1, 1993; Laws 1994, c. 149, &sect; 3, eff. July 1, 1994; Laws 1998, c. 60, &sect; 14, eff. Jan. 1, 1999; Laws 2001, c. 33, &sect; 48, eff. July 1, 2001; Laws 2001, c. 235, &sect; 4, eff. Nov. 1, 2001; Laws 2008, c. 274, &sect; 4, eff. Nov. 1, 2008; Laws 2011, c. 29, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-307.3. Application for reissuance of license after revocation.&nbsp;</span></p> <p><span class="cls0">A person shall not be permitted to file an application for reissuance of a license after revocation of the license within three (3) years of the effective date of revocation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 149, &sect; 5, eff. July 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-307.4. Criminal history record - Investigation - Costs.&nbsp;</span></p> <p><span class="cls0">A. Prior to the issuance of a license pursuant to this Code, each applicant shall submit to a national criminal history record check, as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt by the Commission of criminal history, the Commission shall conduct an investigation in accordance with rules promulgated by the Commission.&nbsp;</span></p> <p><span class="cls0">C. The costs associated with the national criminal history record check shall be paid by the applicant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 42, &sect; 4, eff. Jan. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59858308. Current list of licensees.&nbsp;</span></p> <p><span class="cls0">In the interest of the public, the Commission shall keep a current list of the names and addresses of all licensees, and of all persons whose licenses have been suspended or revoked, together with such other information relative to the enforcement of the provisions of this Code as it may deem advisable and desirable. Such listings and information shall be a matter of public record.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1974, c. 121, &sect; 308, operative July 1, 1974. &nbsp;</span></p> <p><span class="cls0">&sect;59-858-309. Inactive status for licensees.&nbsp;</span></p> <p><span class="cls0">A. The Commission may place a license on inactive status when the request therefor is accompanied by sufficient reason; however, said status shall not relieve the licensee from paying the required fees. The request for inactive status shall be in writing on forms furnished by the Commission.&nbsp;</span></p> <p><span class="cls0">B. During active military service, any licensee shall not be required to pay the fees but shall request the inactive status prior to each term for which the license is to be issued.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 309, operative July 1, 1974. Amended by Laws 1980, c. 165, &sect; 7, eff. July 1, 1981; Laws 1984, c. 16, &sect; 2, emerg. eff. March 20, 1984; Laws 1998, c. 60, &sect; 15, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-310. Location of office - Licenses for branch offices.&nbsp;</span></p> <p><span class="cls0">A. A real estate broker shall maintain a specific place of business. Such place of business shall comply with all local laws and shall be available to the public during reasonable business hours.&nbsp;</span></p> <p><span class="cls0">B. If a real estate broker maintains more than one place of business and the additional location is an extension of the main office, a branch office license must be obtained for each additional location. Each branch office shall be under the direction and supervision of a separate broker and shall be considered a managing broker of the branch office. Application shall be made upon forms as prescribed by the Commission.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 310, operative July 1, 1974. Amended by Laws 1998, c. 60, &sect; 16, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-311. Action not maintainable without allegation and proof of license.&nbsp;</span></p> <p><span class="cls0">No person, partnership, association or corporation acting as a real estate licensee shall bring or maintain an action in any court in this state for the recovery of a money judgment as compensation for services rendered in listing, buying, selling, renting, leasing or exchanging of any real estate without alleging and proving that such person, partnership, association or corporation was licensed when the alleged cause of action arose.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 311, operative July 1, 1974. Amended by Laws 1998, c. 60, &sect; 17, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-312. Investigations - Cause for suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Commission may, upon its own motion, and shall, upon written complaint filed by any person, investigate the business transactions of any real estate licensee, and may, upon showing good cause, impose sanctions as provided for in Section 858-208 of this title. Cause shall be established upon the showing that any licensee has performed, is performing, has attempted to perform, or is attempting to perform any of the following acts:&nbsp;</span></p> <p><span class="cls0">1. Making a materially false or fraudulent statement in an application for a license;&nbsp;</span></p> <p><span class="cls0">2. Making substantial misrepresentations or false promises in the conduct of business, or through real estate licensees, or advertising, which are intended to influence, persuade, or induce others;&nbsp;</span></p> <p><span class="cls0">3. Failing to comply with the requirements of Sections 858-351 through 858-363 of this title;&nbsp;</span></p> <p><span class="cls0">4. Accepting a commission or other valuable consideration as a real estate associate for the performance of any acts as an associate, except from the real estate broker with whom the associate is associated;&nbsp;</span></p> <p><span class="cls0">5. Representing or attempting to represent a real estate broker other than the broker with whom the associate is associated without the express knowledge and consent of the broker with whom the associate is associated;&nbsp;</span></p> <p><span class="cls0">6. Failing, within a reasonable time, to account for or to remit any monies, documents, or other property coming into possession of the licensee which belong to others;&nbsp;</span></p> <p><span class="cls0">7. Paying a commission or valuable consideration to any person for acts or services performed in violation of the Oklahoma Real Estate License Code;&nbsp;</span></p> <p><span class="cls0">8. Any other conduct which constitutes untrustworthy, improper, fraudulent, or dishonest dealings;&nbsp;</span></p> <p><span class="cls0">9. Disregarding or violating any provision of the Oklahoma Real Estate License Code or rules promulgated by the Commission;&nbsp;</span></p> <p><span class="cls0">10. Guaranteeing or having authorized or permitted any real estate licensee to guarantee future profits which may result from the resale of real estate;&nbsp;</span></p> <p><span class="cls0">11. Advertising or offering for sale, rent or lease any real estate, or placing a sign on any real estate offering it for sale, rent or lease without the consent of the owner or the owner's authorized representative;&nbsp;</span></p> <p><span class="cls0">12. Soliciting, selling, or offering for sale real estate by offering "free lots", conducting lotteries or contests, or offering prizes for the purpose of influencing a purchaser or prospective purchaser of real estate;&nbsp;</span></p> <p><span class="cls0">13. Accepting employment or compensation for appraising real estate contingent upon the reporting of a predetermined value or issuing any appraisal report on real estate in which the licensee has an interest unless the licensee's interest is disclosed in the report. All appraisals shall be in compliance with the Oklahoma real estate appraisal law, and the person performing the appraisal or report shall disclose to the employer whether the person performing the appraisal or report is licensed or certified by the Oklahoma Real Estate Appraiser Board;&nbsp;</span></p> <p><span class="cls0">14. Paying a commission or any other valuable consideration to any person for performing the services of a real estate licensee as defined in the Oklahoma Real Estate License Code who has not first secured a real estate license pursuant to the Oklahoma Real Estate License Code;&nbsp;</span></p> <p><span class="cls0">15. Unworthiness to act as a real estate licensee, whether of the same or of a different character as specified in this section, or because the real estate licensee has been convicted of, or pleaded guilty or nolo contendere to, a crime involving moral turpitude;&nbsp;</span></p> <p><span class="cls0">16. Commingling with the licensee's own money or property the money or property of others which is received and held by the licensee, unless the money or property of others is received by the licensee and held in an escrow account that contains only money or property of others;&nbsp;</span></p> <p><span class="cls0">17. Conviction in a court of competent jurisdiction of having violated any provision of the federal fair housing laws, 42 U.S.C. Section 3601 et seq.;&nbsp;</span></p> <p><span class="cls0">18. Failure by a real estate broker, after the receipt of a commission, to render an accounting to and pay to a real estate licensee the licensee's earned share of the commission received;&nbsp;</span></p> <p><span class="cls0">19. Conviction in a court of competent jurisdiction in this or any other state of the crime of forgery, embezzlement, obtaining money under false pretenses, extortion, conspiracy to defraud, fraud, or any similar offense or offenses, or pleading guilty or nolo contendere to any such offense or offenses;&nbsp;</span></p> <p><span class="cls0">20. Advertising to buy, sell, rent, or exchange any real estate without disclosing that the licensee is a real estate licensee;&nbsp;</span></p> <p><span class="cls0">21. Paying any part of a fee, commission, or other valuable consideration received by a real estate licensee to any person not licensed;&nbsp;</span></p> <p><span class="cls0">22. Offering, loaning, paying, or making to appear to have been paid, a down payment or earnest money deposit for a purchaser or seller in connection with a real estate transaction; and&nbsp;</span></p> <p><span class="cls0">23. Violation of the Residential Property Condition Disclosure Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 312, operative July 1, 1974. Amended by Laws 1980, c. 165, &sect; 8, eff. Oct. 1, 1980; Laws 1982, c. 194, &sect; 6, emerg. eff. April 26, 1982; Laws 1984, c. 74, &sect; 2, eff. Nov. 1, 1984; Laws 1991, c. 43, &sect; 10, eff. July 1, 1993; Laws 1992, c. 94, &sect; 6, eff. July 1, 1993; Laws 1994, c. 149, &sect; 4, eff. July 1, 1995; Laws 1996, c. 159, &sect; 3, eff. Nov. 1, 1996; Laws 1998, c. 60, &sect; 18, eff. Jan. 1, 1999; Laws 1999, c. 26, &sect; 2, eff. Nov. 1, 1999; Laws 1999, c. 194, &sect; 14, eff. Nov. 1, 2000; Laws 2001, c. 235, &sect; 5, eff. Aug. 1, 2001; Laws 2008, c. 274, &sect; 5, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-312.1. Certain persons prohibited from participation in real estate business.&nbsp;</span></p> <p><span class="cls0">A. No person whose license is revoked or suspended shall operate directly or indirectly or have a participating interest, or act as a member, partner or officer, in any real estate business, corporation, association or partnership that is required to be licensed pursuant to this Code.&nbsp;</span></p> <p><span class="cls0">B. No person whose license is cancelled, surrendered or lapsed pending investigation or disciplinary proceedings shall operate directly or indirectly or have a participating interest, or act as a member, partner or officer, in any real estate business, corporation, association or partnership that is required to be licensed pursuant to this Code until such time as the Commission makes a determination on the pending investigation or disciplinary proceedings and approves an application for license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 149, &sect; 6, eff. July 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-313. Confidential materials of the Commission.&nbsp;</span></p> <p><span class="cls0">The following materials of the Commission are confidential and not public records:&nbsp;</span></p> <p><span class="cls0">1. Examinations conducted by the Commission and materials related to the examinations; and&nbsp;</span></p> <p><span class="cls0">2. Educational materials submitted to the Commission by a person or entity seeking approval and/or acceptance of a course of study.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 42, &sect; 3, eff. Jan. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-351. Definitions.&nbsp;</span></p> <p><span class="cls0">Unless the context clearly indicates otherwise, as used in Sections 858-351 through 858-363 of The Oklahoma Real Estate License Code:&nbsp;</span></p> <p><span class="cls0">1. "Broker" means a real estate broker, an associated broker associate, sales associate, or provisional sales associate authorized by a real estate broker to provide brokerage services;&nbsp;</span></p> <p><span class="cls0">2. "Brokerage services" means those services provided by a broker to a party in a transaction;&nbsp;</span></p> <p><span class="cls0">3. "Party" means a person who is a seller, buyer, landlord, or tenant or a person who is involved in an option or exchange;&nbsp;</span></p> <p><span class="cls0">4. "Transaction" means an activity or process to buy, sell, lease, rent, option or exchange real estate. Such activities or processes may include, without limitation, soliciting, advertising, showing or viewing real property, presenting offers or counteroffers, entering into agreements and closing such agreements; and&nbsp;</span></p> <p><span class="cls0">5. "Firm" means a sole proprietor, corporation, association or partnership.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 1, eff. Nov. 1, 2000. Amended by Laws 2005, c. 423, &sect; 1, emerg. eff. June 6, 2005; Laws 2012, c. 251, &sect; 1, eff. Nov. 1, 2013; Laws 2013, c. 240, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-352. Repealed by Laws 2012, c. 251, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-858-353. Broker duties and responsibilities.&nbsp;</span></p> <p><span class="cls0">A. A broker shall have the following duties and responsibilities to all parties in a transaction, which are mandatory and may not be abrogated or waived by a broker:&nbsp;</span></p> <p><span class="cls0">1. Treat all parties with honesty and exercise reasonable skill and care;&nbsp;</span></p> <p><span class="cls0">2. Unless specifically waived in writing by a party to the transaction:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;receive all written offers and counteroffers,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;reduce offers or counteroffers to a written form upon request of any party to a transaction, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;present timely all written offers and counteroffers;&nbsp;</span></p> <p><span class="cls0">3. Timely account for all money and property received by the broker;&nbsp;</span></p> <p><span class="cls0">4. Keep confidential information received from a party or prospective party confidential. The confidential information shall not be disclosed by a firm without the consent of the party disclosing the information unless consent to the disclosure is granted in writing by the party or prospective party disclosing the information, the disclosure is required by law, or the information is made public or becomes public as the result of actions from a source other than the firm. The following information shall be considered confidential and shall be the only information considered confidential in a transaction:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;that a party or prospective party is willing to pay more or accept less than what is being offered,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;that a party or prospective party is willing to agree to financing terms that are different from those offered,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the motivating factors of the party or prospective party purchasing, selling, leasing, optioning or exchanging the property, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;information specifically designated as confidential by a party unless such information is public;&nbsp;</span></p> <p><span class="cls0">5. Disclose information pertaining to the property as required by the Residential Property Condition Disclosure Act; and&nbsp;</span></p> <p><span class="cls0">6. Comply with all requirements of The Oklahoma Real Estate License Code and all applicable statutes and rules.&nbsp;</span></p> <p><span class="cls0">B. A broker shall have the following duties and responsibilities only to a party for whom the broker is providing brokerage services in a transaction which are mandatory and may not be abrogated or waived by a broker:&nbsp;</span></p> <p><span class="cls0">1. Inform the party in writing when an offer is made that the party will be expected to pay certain costs, brokerage service costs and approximate amount of the costs; and&nbsp;</span></p> <p><span class="cls0">2. Keep the party informed regarding the transaction.&nbsp;</span></p> <p><span class="cls0">C. When working with both parties to a transaction, the duties and responsibilities set forth in this section shall remain in place for both parties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 3, eff. Nov. 1, 2000. Amended by Laws 2005, c. 423, &sect; 3, emerg. eff. June 6, 2005; Laws 2012, c. 251, &sect; 2, eff. Nov. 1, 2013; Laws 2013, c. 240, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-354. Repealed by Laws 2012, c. 251, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-858-355. Repealed by Laws 2012, c. 251, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-858-355.1. Brokerage services to both parties in transaction - Disclosure.&nbsp;</span></p> <p><span class="cls0">A. All brokerage agreements shall incorporate as material terms the duties and responsibilities set forth in Section 858-353 of The Oklahoma Real Estate License Code.&nbsp;</span></p> <p><span class="cls0">B. A broker may provide brokerage services to one or both parties in a transaction.&nbsp;</span></p> <p><span class="cls0">C. A broker who is providing brokerage services to one or both parties shall describe and disclose in writing the broker's duties and responsibilities set forth in Section 858-353 of The Oklahoma Real Estate License Code prior to the party or parties signing a contract to sell, purchase, lease, option, or exchange real estate.&nbsp;</span></p> <p><span class="cls0">D. A firm that provides brokerage services to both parties in a transaction shall provide written notice to both parties that the firm is providing brokerage services to both parties to a transaction prior to the parties signing a contract to purchase, lease, option or exchange real estate.&nbsp;</span></p> <p><span class="cls0">E. If a broker intends to provide fewer brokerage services than those required to complete a transaction, the broker shall provide written disclosure to the party for whom the broker is providing brokerage services. Such disclosure shall include a description of those steps in the transaction for which the broker will not provide brokerage services, and also state that the broker assisting the other party in the transaction is not required to provide assistance with these steps in any manner.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 251, &sect; 3, eff. Nov. 1, 2013. Amended by Laws 2013, c. 240, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-356. Disclosures &ndash; Confirmation in writing.&nbsp;</span></p> <p><span class="cls0">The written disclosures as required by subsection C of Section 858-355.1 of this title shall be confirmed by each party in writing in a separate provision, incorporated in or attached to the contract to purchase, lease, option, or exchange real estate. In those cases where a broker is involved in a transaction but does not prepare the contract to purchase, lease, option, or exchange real estate, compliance with the disclosure requirements shall be documented by the broker.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 6, eff. Nov. 1, 2000. Amended by Laws 2012, c. 251, &sect; 4, eff. Nov. 1, 2013; Laws 2013, c. 240, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-357. Repealed by Laws 2012, c. 251, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-858-358. Duties of broker following termination, expiration or completion of performance.&nbsp;</span></p> <p><span class="cls0">Except as may be provided in a written brokerage agreement between the broker and a party to a transaction, the broker owes no further duties or responsibilities to the party after termination, expiration, or completion of performance of the transaction, except:&nbsp;</span></p> <p><span class="cls0">1. To account for all monies and property relating to the transaction; and&nbsp;</span></p> <p><span class="cls0">2. To keep confidential all confidential information received by the broker during the broker's relationship with a party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 8, eff. Nov. 1, 2000.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-359. Payment to broker not determinative of relationship.&nbsp;</span></p> <p><span class="cls0">A. The payment or promise of payment or compensation by a party to a broker does not determine what relationship, if any, has been established between the broker and a party to a transaction.&nbsp;</span></p> <p><span class="cls0">B. In the event a broker receives a fee or compensation from any party to the transaction based on a selling price or lease cost of a transaction, such receipt does not constitute a breach of duty or obligation to any party to the transaction.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this section requires a broker to charge, or prohibits a broker from charging, a separate fee or other compensation for each duty or other brokerage services provided during a transaction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 9, eff. Nov. 1, 2000. Amended by Laws 2012, c. 251, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-360. Abrogation of common law principles of agency &ndash; Remedies cumulative.&nbsp;</span></p> <p><span class="cls0">A. The duties and responsibilities of a broker specified in Sections 858-351 through 858-363 of The Oklahoma Real Estate License Code shall replace and abrogate the fiduciary or other duties of a broker to a party based on common law principles of agency. The remedies at law and equity supplement the provisions of Sections 858-351 through 858-363 of The Oklahoma Real Estate License Code.&nbsp;</span></p> <p><span class="cls0">B. A broker may cooperate with other brokers in a transaction. Pursuant to Sections 858-351 through 858-363 of The Oklahoma Real Estate License Code, a broker shall not be an agent, subagent, or dual agent and an offer of subagency shall not be made to other brokers.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this act shall prohibit a broker from entering into an agreement for brokerage services not enumerated herein so long as the agreement is in compliance with this act, the Oklahoma Real Estate Code and the Oklahoma Real Estate Commission Administration Rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 10, eff. Nov. 1, 2000. Amended by Laws 2012, c. 251, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-361. Use of word &ldquo;agent&rdquo; in trade name and as general reference.&nbsp;</span></p> <p><span class="cls0">A real estate broker and the associates of a real estate broker are permitted under the provisions of Sections 858-351 through 858-363 of this title to use the word &ldquo;agent&rdquo; in a trade name and as a general reference for designating themselves as real estate licensees.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 11, eff. Nov. 1, 2000. Amended by Laws 2006, c. 313, &sect; 2, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-362. Vicarious liability for acts or omissions of real estate licensee.&nbsp;</span></p> <p><span class="cls0">A party to a real estate transaction shall not be vicariously liable for the acts or omissions of a real estate licensee who is providing brokerage services under Sections 858-351 through 858-363 of The Oklahoma Real Estate License Code.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 12, eff. Nov. 1, 2000. Amended by Laws 2012, c. 251, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-363. Associates of real estate broker - Authority.&nbsp;</span></p> <p><span class="cls0">Each broker associate, sales associate, and provisional sales associate shall be associated with a real estate broker. Associates shall not enter into a brokerage agreement with a party in the associate&rsquo;s name and shall only be allowed to enter into the agreement in the name of the broker. A real estate broker may authorize associates to provide brokerage services in the name of the real estate broker as permitted under The Oklahoma Real Estate License Code, which may include the execution of written agreements.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 194, &sect; 13, eff. Nov. 1, 2000. Amended by Laws 2003, c. 31, &sect; 2, eff. Nov. 1, 2003; Laws 2012, c. 251, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-401. Penalties - Fines - Injunctions and restraining orders - Appeals.&nbsp;</span></p> <p><span class="cls0">A. In addition to any other penalties provided by law, any person unlicensed pursuant to The Oklahoma Real Estate License Code who shall willingly and knowingly violate any provision of this Code, upon conviction, shall be guilty of a misdemeanor punishable by a fine of not more than One Thousand Dollars ($1,000.00), or by imprisonment in the county jail for not more than six (6) months, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. In addition to any civil or criminal actions authorized by law, whenever, in the judgment of the Oklahoma Real Estate Commission, any unlicensed person has engaged in any acts or practices which constitute a violation of the Oklahoma Real Estate License Code, the Commission may:&nbsp;</span></p> <p><span class="cls0">1. After notice and hearing, and upon finding a violation of the Code, impose a fine of not more than Five Thousand Dollars ($5,000.00) or the amount of the commission or commissions earned, whichever is greater for each violation of the Code for unlicensed activity;&nbsp;</span></p> <p><span class="cls0">2. Make application to the appropriate court for an order enjoining such acts or practices, and upon a showing by the Commission that such person has engaged in any such acts or practices, an injunction, restraining order, or such other order as may be appropriate shall be granted by such court, without bond; or&nbsp;</span></p> <p><span class="cls0">3. Impose administrative fines pursuant to this subsection which shall be enforceable in the district courts of this state. The order of the Commission shall become final and binding on all parties unless appealed to the district court as provided in the Administrative Procedures Act. If an appeal is not made, such order may be entered on the judgment docket of the district court in a county in which the debtor has property and thereafter enforced in the same manner as an order of the district court for collection actions.&nbsp;</span></p> <p><span class="cls0">C. Notices and hearings required by this section and any appeals from orders entered pursuant to this section shall be in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. Such funds as collected pursuant to this section shall be deposited in the Oklahoma Real Estate Education and Recovery Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1974, c. 121, &sect; 401, operative July 1, 1974. Amended by Laws 1993, c. 54, &sect; 2, eff. Sept. 1, 1993; Laws 2004, c. 142, &sect; 3, eff. Nov. 1, 2004; Laws 2011, c. 29, &sect; 2, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-402. Administrative fines.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Real Estate Commission may impose administrative fines on any licensee licensed pursuant to The Oklahoma Real Estate License Code as follows:&nbsp;</span></p> <p><span class="cls0">1. Any administrative fine imposed as a result of a violation of this Code or the rules of the Commission shall not:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be less than One Hundred Dollars ($100.00) and shall not exceed Two Thousand Dollars ($2,000.00) for each violation of this Code or the rules of the Commission, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;exceed Five Thousand Dollars ($5,000.00) for all violations resulting from a single incident or transaction;&nbsp;</span></p> <p><span class="cls0">2. All administrative fines shall be paid within thirty (30) days of notification of the licensee by the Commission of the order of the Commission imposing the administrative fine;&nbsp;</span></p> <p><span class="cls0">3. The license may be suspended until any fine imposed upon the licensee by the Commission is paid;&nbsp;</span></p> <p><span class="cls0">4. If fines are not paid in full by the licensee within thirty (30) days of the notification by the Commission of the order, the fines shall double and the licensee shall have an additional thirty- day period. If the doubled fine is not paid within the additional thirty-day period, the license shall automatically be revoked; and&nbsp;</span></p> <p><span class="cls0">5. All monies received by the Commission as a result of the imposition of the administrative fine provided for in this section shall be deposited in the Oklahoma Real Estate Education and Recovery Fund, created pursuant to Section 858-601 of this title.&nbsp;</span></p> <p><span class="cls0">B. The administrative fines authorized by this section may be in addition to any other criminal penalties or civil actions provided for by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 54, &sect; 3, eff. Sept. 1, 1993. Amended by Laws 1999, c. 26, &sect; 3, eff. Nov. 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59858503. Headings.&nbsp;</span></p> <p><span class="cls0">Article and section headings contained in this Code shall not affect the interpretation of the meaning or intent of any provision of this Code.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1974, c. 121, &sect; 503, operative July 1, 1974. &nbsp;</span></p> <p><span class="cls0">&sect;59-858-513. Psychologically impacted real estate - Factors included - Nondisclosure of facts - Certain actions prohibited - Disclosure in certain circumstances.&nbsp;</span></p> <p><span class="cls0">A. The fact or suspicion that real estate might be or is psychologically impacted, such impact being the result of facts or suspicions, including but not limited to:&nbsp;</span></p> <p><span class="cls0">1. That an occupant of the real estate is, or was at any time suspected to be infected, or has been infected, with Human Immunodeficiency Virus or diagnosed with Acquired Immune Deficiency Syndrome, or other disease which has been determined by medical evidence to be highly unlikely to be transmitted through the occupancy of a dwelling place; or&nbsp;</span></p> <p><span class="cls0">2. That the real estate was, or was at any time suspected to have been the site of a suicide, homicide or other felony,&nbsp;</span></p> <p><span class="cls0">is not a material fact that must be disclosed in a real estate transaction.&nbsp;</span></p> <p><span class="cls0">B. No cause of action shall arise against an owner of real estate or any licensee assisting the owner for the failure to disclose to the purchaser or lessee of such real estate or any licensee assisting the purchaser or lessee that such real estate was psychologically impacted as provided for in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">C. Notwithstanding the fact that this information is not a material defect or fact, in the event that a purchaser or lessee, who is in the process of making a bona fide offer, advises the licensee assisting the owner, in writing, that knowledge of such factor is important to the person's decision to purchase or lease the property, the licensee shall make inquiry of the owner and report any findings to the purchaser or lessee with the consent of the owner and subject to and consistent with applicable laws of privacy; provided further, if the owner refuses to disclose, the licensee assisting the owner shall so advise the purchaser or lessee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 235, &sect; 1, emerg. eff. May 12, 1989. Amended by Laws 1998, c. 60, &sect; 19, eff. Jan. 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-514. Registered sex offenders or violent crime offenders - No duty to provide notice regarding.&nbsp;</span></p> <p><span class="cls0">The provisions of the Sex Offenders Registration Act and the Mary Rippy Violent Crime Offenders Registration Act shall not be construed as imposing a duty upon a person licensed under the Oklahoma Real Estate License Code to disclose any information regarding an offender required to register under such provision.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1997, c. 260, &sect; 11, eff. Nov. 1, 1997. Amended by Laws 2004, c. 358, &sect; 11, eff. Nov. 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-515.1. Size of property for sale.&nbsp;</span></p> <p><span class="cls0">A. In connection with any real estate transaction, the size or area, in square footage or otherwise, of the subject property shall not be required to be provided by any real estate licensee, and if provided, shall not be considered any warranty or guarantee of the size or area information, in square footage or otherwise, of the subject property.&nbsp;</span></p> <p><span class="cls0">B. 1. If a real estate licensee provides any party to a real estate transaction with third-party information concerning the size or area, in square footage or otherwise, of the subject property involved in the transaction, the licensee shall identify the source of the information.&nbsp;</span></p> <p><span class="cls0">2. For the purposes of this subsection, &ldquo;third-party information&rdquo; means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an appraisal or any measurement information prepared by a licensed appraiser,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a survey or developer&rsquo;s plan prepared by a licensed surveyor,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a tax assessor's public record,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a builder&rsquo;s plan used to construct or market the property, or&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;a plan, drawing or stated square footage provided by the owner or agent of the owner, as it relates to commercial buildings or structures for sale or for lease only. Commercial land shall be verified by one of the methods provided for in subparagraphs a through d of this paragraph.&nbsp;</span></p> <p><span class="cls0">C. A real estate licensee has no duty to the seller or purchaser of real property to conduct an independent investigation of the size or area, in square footage or otherwise, of a subject property, or to independently verify the accuracy of any third-party information as such term is defined in paragraph 2 of subsection B of this section.&nbsp;</span></p> <p><span class="cls0">D. A real estate licensee who has complied with the requirements of this section, as applicable, shall have no further duties to the seller or purchaser of real property regarding disclosed or undisclosed property size or area information, and shall not be subject to liability to any party for any damages sustained with regard to any conflicting measurements or opinions of size or area, including exemplary or punitive damages.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 212, &sect; 1. Amended by Laws 2012, c. 107, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-515.2. Violation of duty to disclose source of information - Damages.&nbsp;</span></p> <p><span class="cls0">A. If a real estate licensee has provided any third-party information, as defined in paragraph 2 of subsection B of Section 1 of this act, to any party to a real estate transaction concerning size or area of the subject real property, a party to the real estate transaction may recover damages from the licensee in a civil action only when a licensee knowingly violates the duty to disclose the source of the information, as required in paragraph 1 of subsection B of Section 1 of this act.&nbsp;</span></p> <p><span class="cls0">B. The sole and exclusive civil remedy at common law or otherwise for a violation of paragraph 1 of subsection B of Section 1 of this act by a real estate licensee shall be an action for actual damages suffered by the party as a result of such violation and shall not include exemplary or punitive damages.&nbsp;</span></p> <p><span class="cls0">C. For any real estate transaction commenced after the effective date of this act, any civil action brought pursuant to this section shall be commenced within two (2) years after the date of transfer of the subject real property.&nbsp;</span></p> <p><span class="cls0">D. In any civil action brought pursuant to this section, the prevailing party shall be allowed court costs and reasonable attorney fees to be set by the court and collected as costs of the action.&nbsp;</span></p> <p><span class="cls0">E. A transfer of a possessory interest in real property subject to the provisions of this act may not be invalidated solely because of the failure of any person to comply with the provisions of this act.&nbsp;</span></p> <p><span class="cls0">F. The provisions of this act shall apply to, regulate and determine the rights, duties, obligations and remedies, at common law or otherwise, of the seller marketing his or her real property for sale through a real estate licensee, and of the purchaser of real property offered for sale through a real estate licensee, with respect to disclosure of third-party information concerning the subject real property&rsquo;s size or area, in square footage or otherwise, and this act hereby supplants and abrogates all common law liability, rights, duties, obligations and remedies of all parties therefor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 212, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-601. Creation - Status - Appropriation - Expenditures - Use of funds - Eligibility to recover.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created in the State Treasury a revolving fund for the Oklahoma Real Estate Commission to be designated "Oklahoma Real Estate Education and Recovery Fund". The fund shall consist of monies received by the Oklahoma Real Estate Commission as fees assessed for the Oklahoma Real Estate Education and Recovery Fund under the provisions of this act. The revolving fund shall be a continuing fund not subject to fiscal year limitations and shall be under the administrative direction of the Oklahoma Real Estate Commission. The Oklahoma Real Estate Commission may invest all or part of the monies of the fund in securities offered through the "Oklahoma State Treasurer's Cash Management Program". Any interest or dividends accruing from the securities and any monies generated at the time of redemption of the securities shall be deposited in the Oklahoma Real Estate Education and Recovery Fund. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Oklahoma Real Estate Commission for the purposes specified in Section 858-605 of this title. Expenditures from said fund shall be made pursuant to the laws of this state and the statutes relating to the said Commission, and without legislative appropriation. Warrants for expenditures from said fund shall be drawn by the State Treasurer, based on claims signed by an authorized employee or employees of the said Commission and approved for payment by the Director of the Office of Management and Enterprise Services.&nbsp;</span></p> <p><span class="cls0">B. Monies in the fund shall be used to reimburse any claimant who has been awarded a judgment, subject to subsection C of this section, by a court of competent jurisdiction to have suffered monetary damages by an Oklahoma real estate licensee in any transaction for which a license is required under The Oklahoma Real Estate License Code because of an act constituting a violation of The Oklahoma Real Estate License Code.&nbsp;</span></p> <p><span class="cls0">C. In determining a claimant's eligibility to recover from the fund, the Commission may conduct an independent review of the merits, findings and damages involved in the underlying action and may conduct an evidentiary hearing to determine if a claim is eligible for recovery from the fund and the amount of damages awarded are due an act constituting a violation of The Oklahoma Real Estate License Code.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1977, c. 182, &sect; 6, eff. July 1, 1977. Amended by Laws 1992, c. 94, &sect; 7, eff. July 1, 1992; Laws 1997, c. 105, &sect; 1, eff. July 1, 1997; Laws 1998, c. 60, &sect; 20, eff. Jan. 1, 1999; Laws 2005, c. 85, &sect; 2, eff. Nov. 1, 2005; Laws 2012, c. 304, &sect; 269.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-602. Additional fee - Disposition.&nbsp;</span></p> <p><span class="cls0">A. An additional, nonrefundable fee as promulgated by rule by the Commission shall be added to and payable with the license fee for both new licenses and renewals of licenses for each licensee as provided in Section 858-307.1 of this title. Such additional fee shall be deposited in the Oklahoma Real Estate Education and Recovery Fund.&nbsp;</span></p> <p><span class="cls0">B. If a license is issued for a period of less than thirty-six (36) months, such additional fee shall be prorated to the nearest dollar and month.&nbsp;</span></p> <p><span class="cls0">C. If a real estate sales associate or provisional sales associate shall qualify for a license as a real estate broker, the additional fee for the remainder of the term shall be prorated to the nearest dollar and month and credited to the additional fee added to and payable with the real estate broker license fee.&nbsp;</span></p> <p><span class="cls0">D. At the close of each fiscal year, the Commission shall transfer into the Oklahoma Real Estate Commission Revolving Fund any money in excess of that amount required to be retained in the Oklahoma Real Estate Education and Recovery Fund and that amount authorized to be expended as provided within this Code that is remaining in the Oklahoma Education and Recovery Fund and unexpended.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1977, c. 182, &sect; 7, eff. July 1, 1977. Amended by Laws 1980, c. 165, &sect; 9, eff. July 1, 1981; Laws 1988, c. 324, &sect; 2, operative July 1, 1988; Laws 1998, c. 60, &sect; 21, eff. Jan. 1, 1999; Laws 2001, c. 235, &sect; 6, eff. Aug. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-603. Eligibility to recover from fund - Ineligibility.&nbsp;</span></p> <p><span class="cls0">A. Any claimant shall be eligible to seek recovery from the Oklahoma Real Estate Education and Recovery Fund if the following conditions have been met:&nbsp;</span></p> <p><span class="cls0">1. An action has been filed in district court based upon a violation specified in the Oklahoma Real Estate License Code;&nbsp;</span></p> <p><span class="cls0">2. The cause of action accrued not more than two (2) years prior to the filing of the action;&nbsp;</span></p> <p><span class="cls0">3. At the commencement of an action, the party filing the action shall immediately notify the Commission to this effect in writing and provide the Commission with a file-stamped copy of the petition or affidavit. Said Commission shall have the right to enter an appearance, intervene in, defend, or take any action it may deem appropriate to protect the integrity of the Fund. The Commission may waive the notification requirement if it determines that the public interest is best served by the waiver, that is to best meet the ends of justice and that the claimant making application made a good faith effort to comply with the notification requirements;&nbsp;</span></p> <p><span class="cls0">4. Final judgment is received by the claimant upon such action;&nbsp;</span></p> <p><span class="cls0">5. The final judgment is enforced as provided by statute for enforcement of judgments in other civil actions and that the amount realized was insufficient to satisfy the judgment; and&nbsp;</span></p> <p><span class="cls0">6. Any compensation recovered by the claimant from the judgment debtor, or from any other source for any monetary loss arising out of the cause of action, has been applied to the judgment awarded by the court.&nbsp;</span></p> <p><span class="cls0">B. A claimant shall not be qualified to make a claim for recovery from the Oklahoma Real Estate Education and Recovery Fund, if:&nbsp;</span></p> <p><span class="cls0">1. The claimant is the spouse of the judgment debtor or a personal representative of such spouse;&nbsp;</span></p> <p><span class="cls0">2. The claimant is a licensee who acted in their own behalf in the transaction which is the subject of the claim; or&nbsp;</span></p> <p><span class="cls0">3. The claimant&rsquo;s claim is based upon a real estate transaction in which the claimant is, through their own action, jointly responsible for any resulting monetary loss with respect to the property owned or controlled by the claimant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1977, c. 182, &sect; 8, eff. July 1, 1977. Amended by Laws 1988, c. 324, &sect; 4, operative July 1, 1988; Laws 1991, c. 43, &sect; 11, eff. July 1, 1993; Laws 1998, c. 60, &sect; 22, eff. Jan. 1, 1999; Laws 2005, c. 85, &sect; 3, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-604. Application for payment - Amount - Assignment of rights, etc. - Insufficient funds - Revocation of licenses.&nbsp;</span></p> <p><span class="cls0">A. Any claimant who meets all of the conditions prescribed by this act may apply to the Commission for payment from the Oklahoma Real Estate Education and Recovery Fund, in an amount equal to the unsatisfied portion of the claimant&rsquo;s judgment, which is actual or compensatory damages, or Twenty-five Thousand Dollars ($25,000.00), whichever is less. The claimant is entitled to reimbursement for attorney fees reasonably incurred in the litigation not to exceed twenty-five percent (25%) of the claimant&rsquo;s amount approved by the Commission. Attorney fees charged and received shall be documented, verified, and submitted with the claim. Court costs and other expenses shall not be recoverable from the fund.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt by the claimant of the payment from the Oklahoma Real Estate Education and Recovery Fund, the claimant assigns the claimant's right, title and interest in that portion of the judgment to the Commission which shall be subrogated up to the amount actually paid by the fund to the claimant or to the claimant and the claimant&rsquo;s attorney. Upon suit to collect upon a judgment, the claimant shall have priority over the fund. Any amount subsequently recovered on the judgment by the Commission, to the extent of the Commission's right, title and interest therein, shall be used to reimburse the Oklahoma Real Estate Education and Recovery Fund.&nbsp;</span></p> <p><span class="cls0">C. Payments for claims arising out of the same transaction which constitutes a claimant&rsquo;s cause of action based upon a violation of the Oklahoma Real Estate License Code shall be limited in the aggregate of Fifty Thousand Dollars ($50,000.00) irrespective of the number of claimants or parcels of real estate involved in the transaction.&nbsp;</span></p> <p><span class="cls0">D. Payments for claims based upon judgments against any one licensee shall not exceed in the aggregate Fifty Thousand Dollars ($50,000.00).&nbsp;</span></p> <p><span class="cls0">E. If at any time the monies in the Oklahoma Real Estate Education and Recovery Fund are insufficient to satisfy any valid claim, or portion thereof, the Commission shall satisfy such unpaid claim or portion thereof as soon as a sufficient amount of money has been deposited in the fund by collecting a special levy from members of the fund of an amount not to exceed Five Dollars ($5.00) each fiscal year. If the additional levy is not sufficient to pay all outstanding claims against the fund, the claims shall be paid as the money becomes available. Where there is more than one claim outstanding, the claims shall be paid in the order that they were approved.&nbsp;</span></p> <p><span class="cls0">F. Any claim against a corporation, association or partnership would be imputed to the managing broker(s) at the time the cause of action arose.&nbsp;</span></p> <p><span class="cls0">G. The license of said licensee shall be automatically revoked upon the payment of any amount from the Oklahoma Real Estate Education and Recovery Fund on a judgment against a licensee. The license shall not be considered for reinstatement until the licensee has repaid in full, plus interest at the rate of seven percent (7%) a year, the amount paid from the Oklahoma Real Estate Education and Recovery Fund on the judgment against the licensee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1977, c. 182, &sect; 9, eff. July 1, 1977. Amended by Laws 1988, c. 324, &sect; 5, operative July 1, 1988; Laws 1991, c. 43, &sect; 12, eff. July 1, 1993; Laws 1997, c. 105, &sect; 2, eff. July 1, 1997; Laws 1998, c. 60, &sect; 23, eff. Jan. 1, 1999; Laws 2005, c. 85, &sect; 4, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59858605. Expenditure of funds.&nbsp;</span></p> <p><span class="cls0">At any time when the total amount of monies deposited in the Oklahoma Real Estate Education and Recovery Fund exceeds Two Hundred Fifty Thousand Dollars ($250,000.00), the Commission in its discretion may expend such excess funds each fiscal year for the following purposes:&nbsp;</span></p> <p><span class="cls0">1. To promote the advancement of education in the field of real estate for the benefit of the general public and those licensed under the Oklahoma Real Estate License Code, but such promotion shall not be construed to allow advertising of this profession;&nbsp;</span></p> <p><span class="cls0">2. To underwrite educational seminars and other forms of educational projects for the benefit of real estate licensees;&nbsp;</span></p> <p><span class="cls0">3. To establish real estate courses at institutions of higher learning located in the state and accredited by the State Regents for Higher Education for the purpose of making such courses available to licensees and the general public; and&nbsp;</span></p> <p><span class="cls0">4. To contract for a particular educational project in the field of real estate to further the purposes of the Oklahoma Real Estate License Code.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1983, c. 289, &sect; 3, emerg. eff. June 24, 1983; Laws 1988, c. 324, &sect; 6, operative July 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-858-621. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Home Inspection Licensing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 1, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-622. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Home Inspection Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Committee of Home Inspector Examiners;&nbsp;</span></p> <p><span class="cls0">3. "Home inspection" means a visual examination of any or all of the readily accessible physical real property and improvements to real property consisting of four or fewer dwelling units, including structural, lot drainage, roof, electrical, plumbing, heating and air conditioning and such other areas of concern as are specified in writing to determine if performance is as intended;&nbsp;</span></p> <p><span class="cls0">4. "Home inspection report" means a written opinion of the functional and physical condition of property written by the licensed home inspector pursuant to home inspection; and&nbsp;</span></p> <p><span class="cls0">5. "Home inspector" means an individual licensed pursuant to the Home Inspection Licensing Act who, for compensation, conducts home inspections.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 2, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 1, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-623. Exemptions.&nbsp;</span></p> <p><span class="cls0">A. On and after July 1, 2003, it shall be unlawful for an individual to conduct, for compensation, a home inspection or to advertise or otherwise hold themselves out to be in the business of home inspection in this state unless licensed pursuant to the Home Inspection Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The Home Inspection Licensing Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. Individuals inspecting new residential construction;&nbsp;</span></p> <p><span class="cls0">2. Licensed architects engaged in the practice of architecture as defined and regulated by Section 46.1 et seq. of this title;&nbsp;</span></p> <p><span class="cls0">3. Individuals holding other occupational licenses who only do home inspections within the occupational confines of that license;&nbsp;</span></p> <p><span class="cls0">4. Government employees who perform inspections when acting within the scope of their employment; or&nbsp;</span></p> <p><span class="cls0">5. Persons regulated by the State Board of Agriculture who issue wood infestation reports as defined in Section 3-81 of Title 2 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. Any single-item inspection requested by a client, whether or not the item to be inspected is specifically included or excluded in the definition of home inspection pursuant to Section 858-622 of this title, may be performed by a professional craftsman whose expertise is in the specific area or by persons qualified by education or training to conduct that specific inspection. If a single-item that has been requested for inspection is an area of expertise that is licensed by the state, then that person conducting the inspection shall be licensed in respect to that particular area.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 3, eff. Nov. 1, 2001. Amended by Laws 2002, c. 449, &sect; 1, emerg. eff. June 5, 2002; Laws 2004, c. 241, &sect; 1, eff. Nov. 1, 2004; Laws 2009, c. 140, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-624. Committee of Home Inspector Examiners.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the Committee of Home Inspector Examiners under the authority of the Construction Industries Board, which shall consist of seven (7) members who have been residents of this state for at least three (3) years prior to their appointment. Each member shall be appointed by the Governor with the advice and consent of the Senate. Appointments shall be made so that not more than two members shall, at the time an appointment is made, be residents of the same congressional district; provided, no member shall be removed from office due solely to a reduction in the number of congressional districts.&nbsp;</span></p> <p><span class="cls0">B. Of the seven members:&nbsp;</span></p> <p><span class="cls0">1. Four of the initial appointees shall hold memberships in a state or national housing inspection association or foundation. After expiration of the terms of the initial appointees, four members shall be licensed home inspectors who are active full time in the practice of making home inspections, two or more of whom shall hold membership in an association that certifies home inspectors in this state;&nbsp;</span></p> <p><span class="cls0">2. One shall be a licensed real estate broker who is active full time in the real estate brokerage business;&nbsp;</span></p> <p><span class="cls0">3. One shall be a licensed real estate appraiser who is active full time in the real estate appraisal business; and&nbsp;</span></p> <p><span class="cls0">4. One shall be a lay person who is not involved in the property business, including, but not limited to, the leasing of commercial or residential property, and is not in the real estate business or home inspection business.&nbsp;</span></p> <p><span class="cls0">C. Initially, three members shall be appointed for a term to expire June 30, 2003; two members shall be appointed for a term to expire June 30, 2004; and two members shall be appointed for a term to expire June 30, 2005. Thereafter, all terms shall be three-year terms ending June 30.&nbsp;</span></p> <p><span class="cls0">D. Members shall serve until their successors are appointed and qualified. Vacancies shall be filled for the balance of an unexpired term by appointment of the Governor. Members may be removed by the Governor for good cause.&nbsp;</span></p> <p><span class="cls0">E. Members shall elect officers annually. The chair, or in the absence of the chair, the vice-chair, shall preside at all meetings of the Committee and shall perform such duties as the Committee shall prescribe. The Committee shall meet at least semiannually, and special meetings may be called by the chair or the designee of the chair. Four members shall constitute a quorum.&nbsp;</span></p> <p><span class="cls0">F. Members shall serve without compensation but shall be reimbursed in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">G. Personnel and administrative support necessary for the Committee to exercise its powers and accomplish its duties shall be provided by the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 4, eff. Nov. 1, 2001. Amended by Laws 2007, c. 188, &sect; 21, eff. Nov. 1, 2007; Laws 2008, c. 405, &sect; 2, emerg. eff. June 3, 2008; Laws 2013, c. 43, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-625. Fees.&nbsp;</span></p> <p><span class="cls0">Fees for the Home Inspection Licensing Act shall not exceed the following:&nbsp;</span></p> <p class="cls17"><span class="cls0">Approval fees for schools, instructors and home inspection organizations&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls17"><span class="cls0">Approval fees for educational course content&nbsp;&nbsp;$50.00&nbsp;</span></p> <p class="cls17"><span class="cls0">Application for license&nbsp;&nbsp;$30.00&nbsp;</span></p> <p class="cls17"><span class="cls0">Licensure for reciprocity&nbsp;&nbsp;$50.00&nbsp;</span></p> <p class="cls17"><span class="cls0">Examination fee&nbsp;&nbsp;$200.00&nbsp;</span></p> <p class="cls17"><span class="cls0">License fee&nbsp;&nbsp;$250.00&nbsp;</span></p> <p class="cls17"><span class="cls0">License renewal&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls17"><span class="cls0">License reactivation&nbsp;&nbsp;$50.00&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 5, eff. Nov. 1, 2001. Amended by Laws 2002, c. 449, &sect; 2, emerg. eff. June 5, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-626. Home Inspection Licensing Act Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Construction Industries Board, to be designated the "Home Inspection Licensing Act Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board pursuant to the Home Inspection Licensing Act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Board for the purpose of implementing and enforcing the Home Inspection Licensing Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 6, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 3, emerg. eff. June 3, 2008; Laws 2012, c. 304, &sect; 270.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-627. Rule promulgation - Disciplinary measures - Injunctive relief and restraining orders.&nbsp;</span></p> <p><span class="cls0">A. The Committee of Home Inspector Examiners shall advise the Construction Industries Board in promulgating rules consistent with the purposes of the Home Inspection Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The Construction Industries Board shall promulgate rules including, but not limited to:&nbsp;</span></p> <p><span class="cls0">1. Qualifications and examinations for licensure of home inspectors;&nbsp;</span></p> <p><span class="cls0">2. License renewal requirements;&nbsp;</span></p> <p><span class="cls0">3. Reinstatement of license after suspension or revocation of license or failure to meet license renewal requirements;&nbsp;</span></p> <p><span class="cls0">4. Continuing education;&nbsp;</span></p> <p><span class="cls0">5. Standards of practice and prohibited acts;&nbsp;</span></p> <p><span class="cls0">6. Approval of schools, educational course content, instructors, and organizations offering courses of study for home inspection;&nbsp;</span></p> <p><span class="cls0">7. Standards required for schools, instructors, and organizations to remain approved;&nbsp;</span></p> <p><span class="cls0">8. Approval fees;&nbsp;</span></p> <p><span class="cls0">9. Reciprocity agreements whereby home inspectors licensed in other states with equal or greater licensure requirements may be licensed in this state, and fee for licensing by reciprocity; and&nbsp;</span></p> <p><span class="cls0">10. Investigative procedures.&nbsp;</span></p> <p><span class="cls0">C. Upon showing of good cause as provided for in the Home Inspection Licensing Act, the Board shall discipline licensees, approved instructors, approved schools, and educational organizations by:&nbsp;</span></p> <p><span class="cls0">1. Issuing reprimands;&nbsp;</span></p> <p><span class="cls0">2. Requiring probation for a specified period of time;&nbsp;</span></p> <p><span class="cls0">3. Requiring education in addition to the educational requirements provided for licensure or continuing education;&nbsp;</span></p> <p><span class="cls0">4. Suspending licenses or approvals;&nbsp;</span></p> <p><span class="cls0">5. Rescinding or revoking licenses or approvals;&nbsp;</span></p> <p><span class="cls0">6. Imposing administrative fines as provided for by the Home Inspection Licensing Act;&nbsp;</span></p> <p><span class="cls0">7. Any combination of disciplinary measures as provided by paragraphs 1 through 6 of this subsection; and&nbsp;</span></p> <p><span class="cls0">8. Upon showing of good cause, may modify any disciplinary action imposed pursuant to the provisions of the Home Inspection Licensing Act.&nbsp;</span></p> <p><span class="cls0">D. The Committee may advise the Board to seek injunctive relief and restraining orders for violations of the Home Inspection Licensing Act or the rules promulgated pursuant thereto to cause the prosecution of any person who violates any of the provisions of the Home Inspection Licensing Act or the rules promulgated pursuant thereto.&nbsp;</span></p> <p><span class="cls0">E. In the exercise of all powers and the performance of all duties provided in the Home Inspection Licensing Act, the Committee and the Board shall comply with the Administrative Procedures Act, the Oklahoma Open Meeting Act, and the Oklahoma Open Records Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 7, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 4, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-628. Home inspection instruction.&nbsp;</span></p> <p><span class="cls0">A. The Committee of Home Inspector Examiners shall not approve any school of home inspection instruction until it has received and examined the curriculum, syllabi or program of instruction of the school or organization conducting or offering the instruction.&nbsp;</span></p> <p><span class="cls0">B. Nothing in the Home Inspection Licensing Act shall be construed as relieving a school of home inspection from responsibility for compliance pursuant to law with the requirements of any other agency.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 8, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-629. Home inspector examination - Application and qualifications - Issuance of License.&nbsp;</span></p> <p><span class="cls0">A. Any individual of good moral character eighteen (18) years of age or older who has successfully completed ninety (90) clock hours of home inspection training or its equivalent as determined by the Committee of Home Inspector Examiners may apply to take a home inspector examination. Application shall be made on forms prescribed by the Construction Industries Board, shall contain information as required by the Construction Industries Board upon advisement of the Committee, and shall be accompanied by evidence of successful completion of the required training. Examinations may be held in vocational and technical schools or in other locations as determined by rule.&nbsp;</span></p> <p><span class="cls0">B. If, from the application filed, answers to inquiries, complaints, or information received, or investigation, it appears to the Board that the applicant is not qualified, the Committee shall deny approval of the application and shall give notice of that fact to the applicant.&nbsp;</span></p> <p><span class="cls0">C. Upon approval of the application and the payment of the applicant of an examination fee, the applicant shall be scheduled to appear in person for an examination on the subjects prescribed by the Committee.&nbsp;</span></p> <p><span class="cls0">D. If the Board determines that the applicant has successfully passed the examination or an equivalent examination as determined by the Committee, the Board shall, upon the payment of the license fee and submission of other documents as required by the Home Inspection Licensing Act or rules promulgated pursuant to the Home Inspection Licensing Act, issue to the applicant a license which shall authorize the applicant to perform home inspections.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 9, eff. Nov. 1, 2001. Amended by Laws 2002, c. 449, &sect; 3, emerg. eff. June 5, 2002; Laws 2008, c. 405, &sect; 5, emerg. eff. June 3, 2008; Laws 2009, c. 140, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-630. Documentation and fees - Issuance, renewal and reactivation of license - Insurance.&nbsp;</span></p> <p><span class="cls0">To be licensed as a home inspector, or to renew or reactivate a license, an applicant shall submit to the Construction Industries Board such documents and fees as are required by the Home Inspection Licensing Act or the rules promulgated pursuant thereto and shall provide evidence of having secured a certificate of general liability insurance in the amount required by rule. The amount of the certificate of general liability insurance required shall not be less than Fifty Thousand Dollars ($50,000.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 10, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 6, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-631. License term - Continuing education requirement - Inactive status.&nbsp;</span></p> <p><span class="cls0">A. The license term for a home inspector shall be one (1) year. The license shall expire twelve (12) months from the date of issuance. The license fee and each renewal or reactivation thereafter shall be payable in advance, which shall not be refundable.&nbsp;</span></p> <p><span class="cls0">B. As a condition of license renewal or reactivation, each home inspector shall submit to the Construction Industries Board evidence of having attended eight (8) clock hours of continuing education within the twelve (12) months immediately preceding the term for which the license is to be issued. Except as otherwise provided for in this section, the Board shall not issue a renewal license or reactivate a license unless the continuing education requirement set forth in this section is satisfied within the prescribed time period.&nbsp;</span></p> <p><span class="cls0">C. Any licensee who fails to renew before the license expiration date shall be required to submit to such additional requirements or penalties, or both, as the Board may require pursuant to rule.&nbsp;</span></p> <p><span class="cls0">D. The Construction Industries Board may place the license of a home inspector on inactive status when the licensee gives sufficient reason; however, such status shall not relieve the licensee from paying the required fees. Continuing education shall not be required during the period a license is on inactive status. Prior to the license being placed on an active status, the licensee shall be required to complete the eight-hour continuing education requirement. If the holder of the inactive license has been in the military service during the entire time of inactive license status, only eight (8) clock hours of continuing education and the license fee shall be required for the reactivation of the license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 11, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 7, emerg. eff. June 3, 2008; Laws 2009, c. 140, &sect; 3, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-632. Criminal actions - Injunctions or restraining orders.&nbsp;</span></p> <p><span class="cls0">A. In addition to any other penalties provided by law, any individual unlicensed pursuant to the Home Inspection Licensing Act who shall willfully and knowingly violate any provision of the Home Inspection Licensing Act shall, upon conviction, be guilty of a misdemeanor punishable by a fine of not more than One Thousand Dollars ($1,000.00), or by imprisonment in the county jail for not more than six (6) months, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. In addition to any civil or criminal actions authorized by law, the Attorney General, or a district attorney may apply to the district court in the county in which a violation of the Home Inspection Licensing Act has allegedly occurred for an order enjoining or restraining the unlicensed individual from continuing the acts specified in the complaint. The court may grant any temporary or permanent injunction or restraining order, without bond, as it deems just and proper.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 12, eff. Nov. 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-633. Investigations and hearings - Good cause.&nbsp;</span></p> <p><span class="cls0">A. The Committee of Home Inspector Examiners may, upon its own motion, and shall, upon written complaint filed by any person, direct the Construction Industries Board to investigate the business activities of any home inspector. The Committee may contract for an administrative judge for any hearing which may, upon a showing of good cause, impose disciplinary actions as provided in the Home Inspection Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. Good cause shall be established upon showing that any licensee has performed, is performing, has attempted to perform, or is attempting to perform any of the following acts:&nbsp;</span></p> <p><span class="cls0">1. Making a materially false or fraudulent statement in an application for license or for approval of continuing education;&nbsp;</span></p> <p><span class="cls0">2. Having been convicted in a court of competent jurisdiction of forgery, fraud, conspiracy to defraud, or any similar offense, or pleading guilty or nolo contendere to any such offense;&nbsp;</span></p> <p><span class="cls0">3. Falsifying or failing to disclose in a home inspection report a material defect;&nbsp;</span></p> <p><span class="cls0">4. Failing to perform a home inspection report in accordance with the Home Inspection Licensing Act or the rules promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">5. Compensating any person for performing the services of a home inspector or lending a license to any person who has not first secured a license as a home inspector pursuant to the Home Inspection Licensing Act;&nbsp;</span></p> <p><span class="cls0">6. Accepting inspection assignments when the employment itself is contingent upon reporting a predetermined estimate, analysis or opinion;&nbsp;</span></p> <p><span class="cls0">7. Accepting inspection assignments when the fee to be paid is contingent upon the opinion, the conclusion, analysis, or report reached, or upon the consequences resulting from such assignments;&nbsp;</span></p> <p><span class="cls0">8. Performing repair or maintenance work, or receiving compensation either directly or indirectly from a company regularly engaged in home repair work, on a property having four or fewer dwelling units that the home inspector inspected within one (1) year from the date of the inspection;&nbsp;</span></p> <p><span class="cls0">9. Accepting compensation from more than one client for a single home inspection, unless the home inspector has informed all clients who are paying a fee for that home inspection that such compensation is sought or anticipated;&nbsp;</span></p> <p><span class="cls0">10. Except as provided in paragraph 14 of this subsection, disclosing the results of a home inspection to any person other than the client without the written consent of the client;&nbsp;</span></p> <p><span class="cls0">11. Failing to disclose to the client any conflict of interest of which the inspector knows or should have known that may adversely affect the client;&nbsp;</span></p> <p><span class="cls0">12. Failing to submit a written home inspection report within a reasonable time as determined by the Board to the client after compensation has been paid to the home inspector;&nbsp;</span></p> <p><span class="cls0">13. Paying any fees or other amounts due pursuant to the Home Inspection Licensing Act or the rules promulgated pursuant thereto with a check that is dishonored upon presentation to the financial institution on which it is drawn;&nbsp;</span></p> <p><span class="cls0">14. Failing, upon demand in writing by the Construction Industries Board, a law enforcement agency, or a court of law, to disclose any information within the knowledge of the licensee or to produce any document in possession of a licensee or under control of a licensee that relates to a home inspection; or&nbsp;</span></p> <p><span class="cls0">15. Disregarding or violating any provision of the Home Inspection Licensing Act or rule promulgated pursuant to the Home Inspection Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 13, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 8, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-634. Administrative fines.&nbsp;</span></p> <p><span class="cls0">A. The Committee may impose administrative fines on any licensee licensed pursuant to the Home Inspection Licensing Act. Fines may be imposed as follows:&nbsp;</span></p> <p><span class="cls0">1. Any administrative fine imposed as a result of a violation of the Home Inspection Licensing Act or rules promulgated pursuant thereto shall not:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be less than Two Hundred Dollars ($200.00) and shall not exceed Two Thousand Dollars ($2,000.00) for each violation, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;exceed Five Thousand Dollars ($5,000.00) for all violations resulting from a single inspection;&nbsp;</span></p> <p><span class="cls0">2. All administrative fines shall be paid within thirty (30) days of written notification to the licensee of the order imposing the administrative fine or, if the licensee appeals the fine, within thirty (30) days of the decision of the Construction Industries Board in favor of the action of the Board unless the district court stays the order of the Board pending an appeal pursuant to the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">3. The Board may suspend the license until any fine imposed upon the licensee is paid; and&nbsp;</span></p> <p><span class="cls0">4. If fines are not paid in full by the licensee as required by this subsection, the Board shall revoke the license.&nbsp;</span></p> <p><span class="cls0">B. The administrative fines authorized by this section may be imposed in addition to any other criminal penalties or civil actions provided for by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 423, &sect; 14, eff. Nov. 1, 2001. Amended by Laws 2008, c. 405, &sect; 9, emerg. eff. June 3, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-700. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma Certified Real Estate Appraisers Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 1, emerg. eff. May 31, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-701. Legislative intent - Purpose of act.&nbsp;</span></p> <p><span class="cls0">It is the intent of the Legislature to develop a real estate appraiser certification process which meets the federal guidelines set forth in the Financial Institutions Reform, Recovery, and Enforcement Act of 1989. The purpose of the Oklahoma Certified Real Estate Appraisers Act is to provide appraisers within the state a process for certification which will allow them to participate in a federally related transaction and real estate-related financial transactions of the agencies, instrumentalities and federally recognized entities as defined and recognized in Title XI of the Financial Institutions Reform, Recovery, and Enforcement Act of 1989. It is not the intent of this legislation to prevent any person who is currently conducting business as an appraiser from continuing such action unless such action involves a federally related transaction or a real estate-related financial transaction as defined in Title XI of the Financial Institutions Reform, Recovery, and Enforcement Act of 1989.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 2, emerg. eff. May 31, 1990. Amended by Laws 1996, c. 318, &sect; 6, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-702. Application of act.&nbsp;</span></p> <p><span class="cls0">A. This act shall only apply to:&nbsp;</span></p> <p><span class="cls0">1. Any appraisal or appraiser involving the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a federally related transaction,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;real estate-related financial transactions of the agencies, instrumentalities, and federally recognized entities covered by the Financial Institutions Reform, Recovery, and Enforcement Act of 1989, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any real estate-related transactions where an appraisal report was made under a written agreement that the appraisal report would follow the Uniform Standards of Professional Appraisal Practice guidelines or where a written appraisal states that it is in compliance with the Uniform Standards of Professional Appraisal Practice; and&nbsp;</span></p> <p><span class="cls0">2. Appraisers certified or licensed pursuant to the Oklahoma Certified Real Estate Appraisers Act or representing themselves as such, whether such license or certification is active, inactive, expired, suspended, or revoked as set forth in this act and the rules and regulations promulgated pursuant thereto, to the extent that the appraisers and any real property valuation and any real property valuation activity performed by them shall conform to the code of ethics as set forth in this act.&nbsp;</span></p> <p><span class="cls0">B. Certified public accountants, licensed in the states or other U.S. jurisdictions, who perform appraisals of real estate incidental to the performance of professional services they provide to clients are excluded from the licensing and certification provisions of the Oklahoma Certified Real Estate Appraisers Act unless the appraisal is a federally related transaction or a real estate-related financial transaction of the agencies, instrumentalities and federally recognized entities covered by the Financial Institutions, Reform, Recovery and Enforcement Act of 1989.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 3, emerg. eff. May 31, 1990. Amended by Laws 1996, c. 318, &sect; 7, eff. July 1, 1996; Laws 2006, c. 165, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-703. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Certified Real Estate Appraisers Act:&nbsp;</span></p> <p><span class="cls0">1. "Appraisal" or "real estate appraisal" means an analysis, opinion or conclusion relating to the nature, quality, value or utility of specified interests in, or aspects of, identified real estate other than oil, gas, coal, water, and all other energy and nonfuel mineral and elements or the value of underground space to be used for storage of commodities or for the disposal of waste unless they are appraised as part of a federally related transaction covered by the Financial Institutions Reform, Recovery, and Enforcement Act of 1989. An appraisal may be classified by subject matter into either a valuation or an analysis. A "valuation" is an estimate of the value of real estate or real property. An "analysis" is a study of real estate or real property other than estimating value;&nbsp;</span></p> <p><span class="cls0">2. "Appraisal report" means any written or oral communication of an appraisal;&nbsp;</span></p> <p><span class="cls0">3. "Appraisal Subcommittee" means the subcommittee created by Title XI of the Financial Institutions Reform, Recovery, and Enforcement Act of 1989;&nbsp;</span></p> <p><span class="cls0">4. "Appraiser Qualifications Board" (AQB) means the independent board appointed by the Board of Trustees of the Appraisal Foundation. The AQB establishes educational, experience, and examination criteria for appraisers. Title XI of the Financial Institutions Reform, Recovery, and Enforcement Act (FIRREA) of 1989 requires that state certified appraisers must meet the minimum qualifications set by the AQB;&nbsp;</span></p> <p><span class="cls0">5. "Board" means the Real Estate Appraiser Board established pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">6. "Certification" shall refer to either a trainee appraiser, a state licensed appraiser, a state certified residential appraiser or a state certified general appraiser;&nbsp;</span></p> <p><span class="cls0">7. "Certified appraisal or certified appraisal report" means an appraisal or appraisal report given or signed and certified as such by a trainee appraiser, a state licensed, state certified residential or state certified general real estate appraiser. When identifying an appraisal or appraisal report as "certified", the trainee, state licensed, state certified residential or state certified general real estate appraiser must indicate which type of certification is held. A certified appraisal or appraisal report represents to the public that it meets the appraisal standards defined in the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">8. "Chairperson" means the chairperson of the Real Estate Appraiser Board;&nbsp;</span></p> <p><span class="cls0">9. "Department" means the Oklahoma Insurance Department;&nbsp;</span></p> <p><span class="cls0">10. "Real estate" means an identified parcel or tract of land, including improvements, if any;&nbsp;</span></p> <p><span class="cls0">11. "Real property" means one or more defined interests, benefits, and rights inherent in the ownership of real estate;&nbsp;</span></p> <p><span class="cls0">12. "Trainee, state licensed, state certified residential or state certified general real estate appraiser" means a person who develops and communicates real estate appraisals and who holds a current, valid certificate issued to such person for either general or residential real estate pursuant to provisions of the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">13. "Appraisal assignment" means an engagement for which an appraiser is employed or retained to act, or would be perceived by third parties or the public as acting, as a disinterested third party in rendering an unbiased analysis, opinion, or conclusion relating to the nature, quality, value, or utility of specified interests in, or aspects of, identified real estate; and&nbsp;</span></p> <p><span class="cls0">14. "Specialized services" means those appraisal services which do not fall within the definition of appraisal assignment. The term "specialized services" may include valuation work and analysis work. Regardless of the intention of the client or employer, if the appraiser would be perceived by third parties or the public as acting as a disinterested third party in rendering an unbiased analysis, opinion or conclusion, the work is classified as an appraisal assignment and not "specialized services".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 4, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 1, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 1, eff. Sept. 1, 1992; Laws 1994, c. 144, &sect; 1, eff. Sept. 1, 1994; Laws 2001, c. 280, &sect; 1, eff. July 1, 2001; Laws 2006, c. 165, &sect; 2, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-704. Use of term "state certified" &ndash; Injunctive proceedings.&nbsp;</span></p> <p><span class="cls0">A. No person, other than a trainee, state licensed, state certified residential or state certified general real estate appraiser, shall assume or use that title or any title, designation, or abbreviation likely to create the impression of certification as a real estate appraiser by this state. A person who is not certified pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act shall not describe or refer to any appraisal or other evaluation of real estate located in this state by using the term "state certified".&nbsp;</span></p> <p><span class="cls0">B. Violation of subsection A of this section, including using or attempting to use the seal, certificate, or license of another as their own, or falsely impersonating any duly licensed appraiser, or using or attempting to use an inactive, expired, suspended, or revoked license, is declared to be adverse to the public welfare, to constitute a public nuisance, and to cause irreparable harm to the public welfare. The Real Estate Appraiser Board, through the Attorney General, or the local district attorney may maintain an action for injunctive relief in the district court in the county in which a violation of this section is alleged to have occurred to enjoin any person from engaging in such practice.&nbsp;</span></p> <p><span class="cls0">C. Upon the filing of a verified petition in a district court, the court, if satisfied by affidavit or otherwise that a person has been engaged in the practice of real estate appraisal without a valid license, may enter a temporary restraining order without notice or bond enjoining the defendant from further practice. The showing of the absence of a valid, active, unexpired license, by affidavit or otherwise, is sufficient for the issuance of a temporary injunction. If it is established that the defendant has been or is engaged in violation of subsection A of this section, the court may enter an order or judgment perpetually enjoining the defendant from further unlawful acts. In all proceedings under this section, the court, in its discretion, may apportion the costs among the parties interested in the action, including the cost of filing the complaint, service of process, witness fees and expenses, court-reported charges, and reasonable attorney fees. These injunctive proceedings shall be in addition to, and not in lieu of, all penalties and other remedies provided in the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">D. This act is hereby deemed to be voluntary on the part of those who apply to become trainee, state licensed, state certified residential or state certified general real estate appraisers. Users of appraisals may determine, by their own discretion or by guidelines, whether or not to use a trainee, state licensed, state certified residential or state certified general real estate appraiser.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 5, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 2, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 2, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 2, eff. July 1, 2001; Laws 2006, c. 165, &sect; 3, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-705. Real Estate Appraiser Board - Members - Appointment - Qualifications - Terms - Removal - Meetings - Chairperson - Quorum.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established as an adjunct to the Department an independent Real Estate Appraiser Board which shall consist of seven (7) regular members and one ex officio member. The ex officio member shall be the Insurance Commissioner. The seven regular members shall be as follows: one from the commercial banking industry; one of whom shall be a layperson; one of whom shall be in the real estate sales industry; and four of whom shall be real estate appraisers with no nationally recognized real estate appraisal organization having more than two members on the Board.&nbsp;</span></p> <p><span class="cls0">B. The Governor shall appoint the members of the Real Estate Appraiser Board.&nbsp;</span></p> <p><span class="cls0">C. Each real estate appraiser member of the Board appointed after July 1, 1991, or within twentyfour (24) months of the effective date of this act, whichever occurs first, must be a state licensed, state certified residential or state certified general real estate appraiser.&nbsp;</span></p> <p><span class="cls0">D. The term of each member shall be five (5) years; except that of the members first appointed, two shall serve for one (1) year, two shall serve for two (2) years, one shall serve for three (3) years, one shall serve for four (4) years, and one shall serve for five (5) years.&nbsp;</span></p> <p><span class="cls0">E. Members of the Board shall hold office until the appointment and qualification of their successors. No person shall serve as a member of the Board for more than two consecutive terms. The Governor may remove a member for inefficiency, neglect of duty, or malfeasance in office. The member shall be given notice and an opportunity to be heard prior to removal.&nbsp;</span></p> <p><span class="cls0">F. The Board shall meet at least once each calendar quarter to conduct its business. Written notice shall be given to each member of the time and place of each meeting of the Board at least ten (10) days before the scheduled date of the meetings.&nbsp;</span></p> <p><span class="cls0">G. The members of the Board shall elect a vice-chairperson from among the members to preside at Board meetings when the chairperson is absent.&nbsp;</span></p> <p><span class="cls0">H. A quorum of the Board shall be five members.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 6, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 3, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 3, eff. Sept. 1, 1992; Laws 1996, c. 318, &sect; 8, eff. July 1, 1996; Laws 2001, c. 280, &sect; 3, eff. July 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-705.1. Board - Ex-officio Chairperson - Duties.&nbsp;</span></p> <p><span class="cls0">A. In addition to the seven (7) appointed members of the Board, the Insurance Commissioner shall serve as ex-officio Chairperson of the Board, voting only in case of a tie.&nbsp;</span></p> <p><span class="cls0">B. As Chairperson, the Insurance Commissioner, in addition to his duties prescribed by law as Insurance Commissioner on the effective date of this act, shall be required to perform the following duties, for which duties he shall be paid an additional Twelve Thousand Dollars ($12,000.00) annually, payable monthly from appropriations made to the Insurance Department:&nbsp;</span></p> <p><span class="cls0">1. Keep records of the proceedings of the Board;&nbsp;</span></p> <p><span class="cls0">2. Call special meetings of the Board when in the judgment of the chairperson it is necessary or proper to do so;&nbsp;</span></p> <p><span class="cls0">3. Procure appropriate examination questions and answers which shall meet criteria established by the Appraisal Subcommittee and approved by the Board;&nbsp;</span></p> <p><span class="cls0">4. Develop guidelines for administration of and grading of the examinations in accordance with standards promulgated by the Appraisal Subcommittee and approved by the Board;&nbsp;</span></p> <p><span class="cls0">5. Prepare and file a annual report with the Speaker of the House, the President Pro Tempore of the Senate, and the Governor detailing the number of applicants for the examination and the pass/fail rate;&nbsp;</span></p> <p><span class="cls0">6. Formulate a study to evaluate the number of appraisers licensed or certified by the state on a countywide basis and report to the Speaker of the House, the President Pro Tempore of the Senate, and the Governor concerning whether there is a shortage of qualified appraisers in the state;&nbsp;</span></p> <p><span class="cls0">7. Establish and maintain a recordkeeping system approved by the Board to monitor compliance with the continuing education requirements imposed by law;&nbsp;</span></p> <p><span class="cls0">8. Make recommendations to the Board concerning the establishment of administrative procedures for conducting disciplinary proceedings pursuant to the provisions of this act;&nbsp;</span></p> <p><span class="cls0">9. Develop a procedure approved by the Board whereby persons aggrieved by the actions of a licensed or certified appraiser may file complaints with the Board;&nbsp;</span></p> <p><span class="cls0">10. Annually compile and file a report with the Speaker of the House, President Pro Tempore of the Senate, and the Governor detailing the number of complaints received by the Board, the resulting number of investigations and hearings conducted and the final disposition of these matters;&nbsp;</span></p> <p><span class="cls0">11. Prepare and file a report with the Speaker of the House, the President Pro Tempore of the Senate, and the Governor evaluating the impact of the voluntary licensure/certification program on future appraisers and recommend whether an appraiser trainee or apprenticeship program should be instituted; and&nbsp;</span></p> <p><span class="cls0">12. Submit to the Speaker of the House, the President Pro Tempore of the Senate, and the Governor on or before January 1, 1994, a report evaluating the impact of the licensure/certification requirements imposed by this act on the appraiser and banking industry and include in the report any recommendations for amendments to the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Added by Laws 1991, c. 271, &sect; 4, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-706. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">A. The Board shall promulgate rules and regulations to implement the provisions of the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To further define by regulation and with respect to each category of Oklahoma certified real estate appraisers the type of educational experience, appraisal experience, and equivalent experience that will meet the requirements of the Oklahoma Certified Real Estate Appraisers Act, as approved by the Appraisal Subcommittee;&nbsp;</span></p> <p><span class="cls0">2. To establish the examination specifications for each category of Oklahoma certified real estate appraiser;&nbsp;</span></p> <p><span class="cls0">3. To approve or disapprove applications for certification and issue certificates;&nbsp;</span></p> <p><span class="cls0">4. To further define by regulation and with respect to each category of Oklahoma certified real estate appraiser, the continuing education requirements for the renewal of certification that will meet the requirements of the Oklahoma Certified Real Estate Appraisers Act as approved by the Appraisal Subcommittee;&nbsp;</span></p> <p><span class="cls0">5. To review from time to time the standards for the development and communication of real estate appraisals provided in the Oklahoma Certified Real Estate Appraisers Act and to adopt regulations explaining and interpreting the standards;&nbsp;</span></p> <p><span class="cls0">6. To establish administrative procedures for disciplinary proceedings conducted pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">7. To censure, suspend and revoke certificates pursuant to the disciplinary proceedings provided in the Oklahoma Certified Real Estate Appraisers Act; and&nbsp;</span></p> <p><span class="cls0">8. To perform such other functions and duties as may be necessary in carrying out the provisions of the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">In the exercise of all powers and the performance of all duties provided in this act, the Board shall comply with the procedures provided in the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. Actions of the Board shall not be subject to review by the Department.&nbsp;</span></p> <p><span class="cls0">D. The members of the Board shall not be held civilly liable for any action taken in good faith by the Board in its official capacity pursuant to law unless such action is arbitrary and capricious.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 7, emerg. eff. May 31, 1990; Laws 1991, c. 271, &sect; 5, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-707. Powers and duties of Insurance Department.&nbsp;</span></p> <p><span class="cls0">The Insurance Department shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To receive application for Oklahoma certification;&nbsp;</span></p> <p><span class="cls0">2. To establish the administrative procedures for processing applications for Oklahoma certification;&nbsp;</span></p> <p><span class="cls0">3. To maintain a registry of the names and addresses of people certified pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act and transmit such registry to the Appraisal Subcommittee;&nbsp;</span></p> <p><span class="cls0">4. To retain records and all application materials submitted to it; and&nbsp;</span></p> <p><span class="cls0">5. To assist the Board in such other manner as may be requested.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 8, emerg. eff. May 31, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-708. Fees.&nbsp;</span></p> <p><span class="cls0">A. The Insurance Department shall charge and collect fees not to exceed the following:&nbsp;</span></p> <p class="cls18"><span class="cls0">1. Trainee Appraiser Certificate (annually)&nbsp;&nbsp;$300.00&nbsp;</span></p> <p class="cls18"><span class="cls0">2. State Licensed Appraiser Certificate (annually)&nbsp;&nbsp;$300.00&nbsp;</span></p> <p class="cls18"><span class="cls0">3. State Certified General Appraiser Certificate (annually)&nbsp;&nbsp;$300.00&nbsp;</span></p> <p class="cls18"><span class="cls0">4. State Certified Residential Appraiser Certificate (annually) &nbsp;&nbsp;$300.00&nbsp;</span></p> <p class="cls18"><span class="cls0">5. State Licensed Appraiser Examination&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls18"><span class="cls0">6. State Certified General Appraiser Examination&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls18"><span class="cls0">7. State Certified Residential Appraiser Examination&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls18"><span class="cls0">8. Reexamination Fee&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls18"><span class="cls0">9. Late Fee&nbsp;&nbsp;$50.00&nbsp;</span></p> <p class="cls18"><span class="cls0">10. Reinstatement Fee&nbsp;&nbsp;$50.00&nbsp;</span></p> <p class="cls19"><span class="cls0">11. Duplicate for Lost or Destroyed Certificate&nbsp;&nbsp;$5.00&nbsp;</span></p> <p class="cls19"><span class="cls0">12. Temporary Practice Fee Per Appraisal&nbsp;&nbsp;$50.00&nbsp;</span></p> <p class="cls19"><span class="cls0">13. Maximum Temporary Practice Fee Per Assignment&nbsp;&nbsp;$150.00&nbsp;</span></p> <p><span class="cls0">B. The Department shall charge and collect such fees as may be promulgated by administrative rule by the Real Estate Appraiser Board for the conduct of experience reviews required in the licensing process.&nbsp;</span></p> <p><span class="cls0">C. The Department shall charge and collect such fees as may be promulgated by administrative rule by the Real Estate Appraiser Board for review of submissions by course providers and instructors.&nbsp;</span></p> <p><span class="cls0">D. All state licensed, state certified residential, and state certified general appraisers shall be responsible for payment of all Federal Registry Fees. The Real Estate Appraiser Board shall promulgate rules to assist appraisers in meeting the requirements of the Appraisal Subcommittee of the Federal Financial Institutions Examination Council.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 9, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 6, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 4, eff. Sept. 1, 1992; Laws 1994, c. 144, &sect; 2, eff. Sept. 1, 1994; Laws 1996, c. 318, &sect; 9, eff. July 1, 1996; Laws 2001, c. 280, &sect; 4, eff. July 1, 2001; Laws 2006, c. 165, &sect; 4, eff. Nov. 1, 2006; Laws 2012, c. 216, &sect; 1, eff. July 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-709. Applications for certification, renewal and examination - Fees - Pledge of compliance with Board standards - Temporary appraisers - Consent to suits and actions.&nbsp;</span></p> <p><span class="cls0">A. Applications for original certification, renewal certification and examinations shall be made in writing to the Oklahoma Insurance Department on forms approved by the Real Estate Appraiser Board.&nbsp;</span></p> <p><span class="cls0">B. Appropriate fees, as fixed by the Department pursuant to Section 858-708 of this title, must accompany all applications for renewal certification.&nbsp;</span></p> <p><span class="cls0">C. At the time of filing an application for certification, each applicant shall sign a pledge to comply with the standards set forth in the Oklahoma Certified Real Estate Appraisers Act, and state that such applicant understands the types of misconduct for which disciplinary proceedings may be initiated against an Oklahoma certified real estate appraiser, as set forth in the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">D. In accordance with Section 3351 of Title 12 of the United States Code, the Board shall recognize, on a temporary basis, the certification or license of an appraiser issued by another state if:&nbsp;</span></p> <p><span class="cls0">1. The property to be appraised is part of a federally related transaction, as defined in the federal real estate appraisal reform amendments;&nbsp;</span></p> <p><span class="cls0">2. The appraiser's business is of a temporary nature and certified by the appraiser;&nbsp;</span></p> <p><span class="cls0">3. The appraiser registers the temporary practice with the Board and pays fees as provided herein; and&nbsp;</span></p> <p><span class="cls0">4. The appraiser resides in or is working out of a state that is also in compliance with Section 3351 of Title 12 of the United States Code, that recognizes, on a temporary basis, the certification or license of an Oklahoma appraiser in their state; or&nbsp;</span></p> <p><span class="cls0">5. As otherwise approved by the Board.&nbsp;</span></p> <p><span class="cls0">E. The applicant or any person registering with the Board for temporary practice shall file an irrevocable consent that suits and actions may be commenced against such person:&nbsp;</span></p> <p><span class="cls0">1. In the proper court of any county of this state in which a cause of action may arise due to the person's actions as a state licensed or certified real estate appraiser; or&nbsp;</span></p> <p><span class="cls0">2. In the county in which the plaintiff may reside.&nbsp;</span></p> <p><span class="cls0">The consent also shall stipulate and agree that service of process or pleadings on the person shall be made by service upon the Board as the person's agent and held in all courts to be as valid and binding as if personal service had been made upon the applicant in Oklahoma. In case any processes or pleading mentioned in the case is served upon the Board, it shall be by duplicate copies, one of which shall be filed with the Board administrator and the other immediately forwarded by registered mail to the nonresident state licensed or certified real estate appraiser to whom the processes or pleadings are directed.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 10, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 7, eff. Sept. 1, 1991; Laws 1994, c. 144, &sect; 3, eff. Sept. 1, 1994; Laws 2006, c. 165, &sect; 5, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-710. Classifications of certification.&nbsp;</span></p> <p><span class="cls0">A. There shall be four classes for Oklahoma certified real estate appraisers:&nbsp;</span></p> <p><span class="cls0">1. State Licensed Appraiser as defined by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation;&nbsp;</span></p> <p><span class="cls0">2. State Certified Residential Appraiser as defined by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation;&nbsp;</span></p> <p><span class="cls0">3. State Certified General Appraiser as defined by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation; and&nbsp;</span></p> <p><span class="cls0">4. Trainee Appraiser as defined by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation.&nbsp;</span></p> <p><span class="cls0">B. The application for original certification, renewal certification and examination shall specify the classification of certification being applied for and previously granted.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 11, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 8, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 5, eff. Sept. 1, 1992; Laws 1994, c. 144, &sect; 4, eff. Sept. 1, 1994; Laws 2001, c. 280, &sect; 5, eff. July 1, 2001; Laws 2006, c. 165, &sect; 6, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-711. Areas of knowledge required for original certification.&nbsp;</span></p> <p><span class="cls0">A. An original certification as a state licensed, state certified residential or state certified general real estate appraiser shall not be issued to any person who has not made application with the Real Estate Appraiser Board within ninety (90) days of having demonstrated through a written examination process that such person possesses the following:&nbsp;</span></p> <p><span class="cls0">1. Appropriate knowledge of technical terms commonly used in or related to real estate appraising, appraisal report writing, and economic concepts applicable to real estate;&nbsp;</span></p> <p><span class="cls0">2. Understanding of the principles of land economics, real estate appraisal processes, and of problems likely to be encountered in gathering, interpreting, and processing of data in carrying out appraisal disciplines;&nbsp;</span></p> <p><span class="cls0">3. Understanding of the standards for the development and communication of real estate appraisals as provided in the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">4. Knowledge of theories of depreciation, cost estimating, methods of capitalization, and the mathematics of real estate appraisal that are appropriate for the classification of certificate applied for;&nbsp;</span></p> <p><span class="cls0">5. Knowledge of other principles and procedures as may be appropriate for the respective classifications;&nbsp;</span></p> <p><span class="cls0">6. Basic understanding of real estate law; and&nbsp;</span></p> <p><span class="cls0">7. Understanding of the types of misconduct for which disciplinary proceedings may be initiated against a trainee, state licensed, state certified residential or state certified general real estate appraiser, as set forth in the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">B. As long as the Board contracts with a private testing firm in the administration of the written examination process, the Board shall not require passing test scores which deviate from the recommendations of such private testing firm.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 12, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 9, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 6, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 6, eff. July 1, 2001; Laws 2006, c. 165, &sect; 7, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-712. Examination for certification - Prerequisites.&nbsp;</span></p> <p><span class="cls0">A. State Certified General Appraiser As a prerequisite to taking the examination for certification as a State Certified General Appraiser, an applicant shall present satisfactory evidence to the Real Estate Appraiser Board that such applicant has successfully completed the minimum educational requirement specified by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation of courses in subjects related to real estate appraisal from a nationally recognized appraisal organization or college or university or technology center school or private school approved by the Board and such classes shall be made available on a regional basis throughout the State of Oklahoma prior to the required examination date which must include classroom hours related to standards of professional practice.&nbsp;</span></p> <p><span class="cls0">B. State Certified Residential Appraiser - As a prerequisite to taking the examination for certification as a State Certified Residential Appraiser, an applicant shall present satisfactory evidence to the Board that such applicant has successfully completed the minimum educational requirement specified by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation of courses in subjects related to real estate appraisal from a nationally recognized appraisal organization or college or university or technology center school or private school approved by the Board and such classes shall be made available on a regional basis throughout this state prior to the required examination date which must include classroom hours related to standards of professional practice.&nbsp;</span></p> <p><span class="cls0">C. State Licensed Appraiser As a prerequisite to taking the examination for certification as a State Licensed Appraiser, an applicant shall present satisfactory evidence to the Board that such applicant has successfully completed the minimum education requirement specified by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation of courses in subjects related to real estate appraisal from a nationally recognized appraisal organization or a college or university or technology center school or private school approved by the Board and such classes shall be made available on a regional basis throughout the State of Oklahoma prior to the required examination date which must include classroom hours related to standards of professional practice. Provided, that any appraiser who becomes state licensed prior to July 1, 2001, shall not be required to complete any additional classroom hours necessary to meet the minimum requirements of the Appraiser Qualifications Board of the Appraisal Foundation in order to maintain certification as a state licensed appraiser.&nbsp;</span></p> <p><span class="cls0">D. Trainee Appraiser &ndash; There shall be no examination for certification as a Trainee Appraiser. As a prerequisite to certification as a Trainee Appraiser, an applicant shall present satisfactory evidence to the Board that such applicant has successfully completed not less than seventy-five (75) classroom hours of courses in subjects related to real estate appraisal from a nationally recognized appraisal organization or a college or university or area technology center school or private school approved by the Board and such classes shall be made available on a regional basis throughout the State of Oklahoma prior to the required examination date with the cost of the classes being established by the Board which must include classroom hours related to standards of professional practice the minimum educational requirement specified by the Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of the Appraisal Foundation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 13, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 10, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 7, eff. Sept. 1, 1992; Laws 1994, c. 144, &sect; 5, eff. Sept. 1, 1994; Laws 2001, c. 33, &sect; 49, eff. July 1, 2001; Laws 2001, c. 280, &sect; 7, eff. July 1, 2001; Laws 2006, c. 165, &sect; 8, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-713. Experience required for certification - Qualifications.&nbsp;</span></p> <p><span class="cls0">A. An original certification as a state certified general or a state certified residential or state licensed appraiser shall not be issued to any person who does not possess the equivalent of the minimum requirements of experience promulgated by the Appraiser Qualifications Board of the Appraisal Foundation in real property appraisal supported by adequate written reports or file memoranda. Provided, no experience shall be required for a trainee appraiser. Provided, any state licensed appraiser who becomes state licensed prior to July 1, 2001, shall not be required to attain the minimum requirements of experience promulgated by the Appraiser Qualifications Board to maintain certification as a state licensed appraiser.&nbsp;</span></p> <p><span class="cls0">B. Each applicant for certification as a state certified general or a state certified residential or state licensed appraiser shall furnish under oath a detailed listing of the real estate appraisal reports or file memoranda for each year for which experience is claimed by the applicant. Upon request, the applicant shall make available to the Real Estate Appraiser Board for examination, a sample of appraisal reports which the applicant has prepared in the course of that applicant's appraisal practice.&nbsp;</span></p> <p><span class="cls0">C. Each applicant for a certification upgrade to a state certified general or a state certified residential or state licensed appraiser shall be required to meet the prerequisites for the certification sought as provided in Section 858-712 of this title and the minimum requirements promulgated by the Appraiser Qualifications Board of the Appraisal Foundation as required by subsection A of this section. The application for a certification upgrade shall be processed as provided for an application for original certification, except all applications for certification upgrades shall be expedited. During the initial review period, all qualifications and experience including review of sample appraisal reports submitted shall be considered. Upon completion of the initial review, the applicant shall be notified as to whether or not the application for certification upgrade is approved. In the event an application for a certification upgrade is denied, a second review shall automatically commence. During a second review, the applicant may be required to submit different sample appraisal reports as authorized in subsection B of this section or other information requested by the Board or reviewer which would tend to clarify or assist in determining the applicant's qualifications and experience relating to the certification being sought. Following the completion of the second review, the applicant shall be notified in writing by the Board as to whether or not the application for certification upgrade is approved, and if denied, the notification shall state recommendations for improving qualifications and experience and any criteria for reapplication.&nbsp;</span></p> <p><span class="cls0">D. In order to expedite the application process provided in this section, the Real Estate Appraiser Board shall employ by contract, as necessary, a qualified appraiser or appraisers to review the applicants&rsquo; experience for compliance with the minimum requirements promulgated by the Appraiser Qualifications Board of the Appraisal Foundation as required by subsection A of this section. In the event the application process cannot be completed in ninety (90) days, the Real Estate Appraiser Board shall notify the applicant of the reason for delay or provide an estimated date for completion of the application process.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 14, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 11, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 8, eff. Sept. 1, 1992; Laws 1994, c. 144, &sect; 6, eff. Sept. 1, 1994; Laws 2001, c. 280, &sect; 8, eff. July 1, 2001; Laws 2012, c. 216, &sect; 2, eff. July 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-714. Term of certificate - Expiration.&nbsp;</span></p> <p><span class="cls0">The term of a certificate issued under the authority of this act shall be three (3) years from the date of issuance. The expiration date of certificate shall appear on the certificate and no other notice of its expiration need be given to its holder.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 15, emerg. eff. May 31, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-715. Nonresident applicants - Consent of service of process - Reciprocal license.&nbsp;</span></p> <p><span class="cls0">A. Every applicant for certification pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act who is not a resident of this state shall submit, with the application for certification, an irrevocable consent that service of process upon the applicant may be made by delivery of the process to the Secretary of State if, in an action against the applicant in a court of this state arising out of the applicant's activities as an Oklahoma certified real estate appraiser, the plaintiff cannot, in the exercise of due diligence, effect personal service upon the applicant.&nbsp;</span></p> <p><span class="cls0">B. An appraiser licensed by and residing in another state who is not licensed as an Oklahoma appraiser and who does not obtain an Oklahoma temporary practice permit for such purpose, may apply for and obtain an Oklahoma reciprocal license if:&nbsp;</span></p> <p><span class="cls0">1. The appraiser licensing and certification program of the state of the appraiser&rsquo;s licensure and residence is in compliance with the reciprocity provisions of 12 U.S.C. 3351(b) and such other state has in place a policy of issuing a reciprocal certification or license for an appraiser licensed by another state; and &nbsp;</span></p> <p><span class="cls0">2. The nonresident appraiser holds a valid certification from a state whose requirements for appraiser certification or licensing meet or exceed the appraiser licensure standards established by the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 16, emerg. eff. May 31, 1990. Amended by Laws 1994, c. 144, &sect; 7, eff. Sept. 1, 1994; Laws 2012, c. 142, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-716. Nonresident applicants from states with substantially equivalent certification requirements.&nbsp;</span></p> <p><span class="cls0">If, in the determination by the Board, another state is deemed to have substantially equivalent certification requirements, an applicant who is certified under the laws of such other state may obtain a certificate as an Oklahoma certified real estate appraiser upon such terms and conditions as may be determined by the Board provided they are in good standing with the state in which they hold a current certification and have become a resident of Oklahoma.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 17, emerg. eff. May 31, 1990. Amended by Laws 1994, c. 144, &sect; 8, eff. Sept. 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-717. Denial of certificate.&nbsp;</span></p> <p><span class="cls0">The Board may, in accordance with the provisions of the Oklahoma Certified Real Estate Appraisers Act relating to hearings, deny the issuance of a certificate as a trainee, state licensed, state certified residential or state certified general real estate appraiser to an applicant on any of the grounds enumerated in the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 18, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 12, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 9, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 9, eff. July 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-718. Address of appraiser's principal place of business - Notification of change - Residence addresses.&nbsp;</span></p> <p><span class="cls0">A. Each trainee, state licensed, state certified residential or state certified general real estate appraiser shall advise the Real Estate Appraiser Board of the address of that appraiser's principal place of business and all other addresses at which such appraiser is currently engaged in the business of preparing real property appraisal reports.&nbsp;</span></p> <p><span class="cls0">B. Whenever a trainee, state licensed, state certified residential or state certified general real estate appraiser changes a place of business, that appraiser shall immediately give written notification of the change to the Board.&nbsp;</span></p> <p><span class="cls0">C. Every trainee, state licensed, state certified residential or state certified general real estate appraiser shall notify the Board of that appraiser's current residence address. Residence addresses on file with the Board are exempt from disclosure as public records.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 19, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 13, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 10, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 10, eff. July 1, 2001; Laws 2006, c. 165, &sect; 9, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-719. Certificate signatures and numbers.&nbsp;</span></p> <p><span class="cls0">A. A certificate issued pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act shall bear the signatures or facsimile signatures of the members of the Board and a certificate number assigned by the Board.&nbsp;</span></p> <p><span class="cls0">B. Each trainee, state licensed, state certified residential or state certified general real estate appraiser shall place that appraiser's certificate number adjacent to or immediately below the title Trainee Appraiser, State Licensed Appraiser, State Certified Residential Appraiser or State Certified General Appraiser when used in an appraisal report or in a contract or other instrument used by the certificate holder in conducting real property appraisal activities.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 20, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 14, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 11, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 11, eff. July 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-720. Issuance of certificate to corporation, partnership, firm or group prohibited.&nbsp;</span></p> <p><span class="cls0">A. The terms "Trainee, State Licensed, State Certified Residential or State Certified General Real Estate Appraiser" may only be used to refer to individuals who hold the license or certificate and may not be used following or immediately in connection with the name or signature of a firm, partnership, corporation, or group; or in such manner that it might be interpreted as referring to a firm, partnership, corporation, group, or anyone other than an individual holder of the certificate.&nbsp;</span></p> <p><span class="cls0">B. No certificate shall be issued pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act to a corporation, partnership, firm or group. This shall not be construed to prevent a trainee, state licensed, state certified residential or state certified general real estate appraiser from signing an appraisal report on behalf of a corporation, partnership, firm or group practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 21, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 15, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 12, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 12, eff. July 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-721. Renewal certificate - Late renewal fee.&nbsp;</span></p> <p><span class="cls0">A. To obtain a renewal certificate as a trainee, state licensed, state certified residential or state certified general real estate appraiser, the holder of a current, valid certificate shall make application and pay the prescribed fee to the Board not earlier than one hundred twenty (120) days nor later than thirty (30) days after the expiration date of the certificate then held. With the application for renewal, the trainee, state licensed, state certified residential or state certified general real estate appraiser shall present evidence in the form prescribed by the Board of having completed the continuing education requirements for renewal specified pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">B. If a person fails to renew a certificate as a trainee, state licensed, state certified residential or state certified general real estate appraiser prior to its expiration, the person may obtain a renewal certificate by satisfying all of the requirements for renewal and by the payment of a late renewal fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 22, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 16, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 13, eff. Sept. 1, 1992; Laws 2001, c. 280, &sect; 13, eff. July 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-722. Continuing education requirements - Board regulations - Requirement for reinstatement.&nbsp;</span></p> <p><span class="cls0">A. As a prerequisite to renewal of certification, a trainee, state licensed, state certified residential or state certified general real estate appraiser shall present evidence satisfactory to the Real Estate Appraiser Board of having met the continuing education requirements of this section.&nbsp;</span></p> <p><span class="cls0">B. The basic continuing education requirement of renewal of certification shall be the completion by the applicant, during the immediately preceding term of certification, of the minimum number of classroom hours of instruction in courses or seminars according to the guidelines promulgated by the Appraiser Qualifications Board.&nbsp;</span></p> <p><span class="cls0">C. The Board shall adopt regulations for implementation of the provisions of this section assuring that persons renewing their certifications as trainee, state licensed, state certified residential or state certified general real estate appraisers have current knowledge of real property appraisal theories, practices, and techniques which will provide a high degree of service and protection to those members of the public with whom they deal in a professional relationship under authority of the certification. The regulations shall prescribe the following:&nbsp;</span></p> <p><span class="cls0">1. Policies and procedures for obtaining Board approval of courses of instruction pursuant to subsection B of this section; and&nbsp;</span></p> <p><span class="cls0">2. Standards, monitoring methods, and systems for recording attendance to be employed by course sponsors as a prerequisite to Board approval of courses for credit.&nbsp;</span></p> <p><span class="cls0">D. No amendment or repeal of a regulation adopted by the Board pursuant to this section shall operate to deprive a trainee, state licensed, state certified residential or state certified general real estate appraiser of credit toward renewal of certification for any course of instruction completed by the applicant prior to the amendment or repeal of the regulation which would have qualified for continuing education credit under the regulation as it existed prior to the repeal or amendment.&nbsp;</span></p> <p><span class="cls0">E. Commencing thirty (30) days after the effective date of this act, a certification as a trainee, state licensed, state certified residential or state certified general real estate appraiser that has been revoked as a result of disciplinary action by the Board shall not be reinstated unless the applicant presents evidence of completion of the continuing education required pursuant to the provisions of the Oklahoma Real Estate Appraisers Act. This requirement of evidence of continuing education shall not be imposed upon an applicant for reinstatement who has been required to successfully complete the examination for trainee, state licensed, state certified residential or state certified general real estate appraiser as a condition to reinstatement of certification.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 23, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 17, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 14, eff. Sept. 1, 1992; Laws 1994, c. 144, &sect; 9, eff. Sept. 1, 1994; Laws 2001, c. 280, &sect; 14, eff. July 1, 2001; Laws 2006, c. 165, &sect; 10, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-723. Disciplinary proceedings &ndash; Penalties - Grounds - Civil judgment as basis - Complaints.&nbsp;</span></p> <p><span class="cls0">A. The Real Estate Appraiser Board, after notice and opportunity for a hearing, pursuant to Article II of the Administrative Procedures Act, may issue an order imposing one or more of the following penalties whenever the Board finds, by clear and convincing evidence, that a certificate holder has violated any provision of the Oklahoma Certified Real Estate Appraisers Act, or rules promulgated pursuant thereto:&nbsp;</span></p> <p><span class="cls0">1. Revocation of the certificate with or without the right to reapply;&nbsp;</span></p> <p><span class="cls0">2. Suspension of the certificate for a period not to exceed five (5) years;&nbsp;</span></p> <p><span class="cls0">3. Probation, for a period of time and under such terms and conditions as deemed appropriate by the Board;&nbsp;</span></p> <p><span class="cls0">4. Stipulations, limitations, restrictions, and conditions relating to practice;&nbsp;</span></p> <p><span class="cls0">5. Censure, including specific redress, if appropriate;&nbsp;</span></p> <p><span class="cls0">6. Reprimand, either public or private;&nbsp;</span></p> <p><span class="cls0">7. Satisfactory completion of an educational program or programs;&nbsp;</span></p> <p><span class="cls0">8. Administrative fines as authorized by the Oklahoma Certified Real Estate Appraisers Act; and&nbsp;</span></p> <p><span class="cls0">9. Payment of costs expended by the Board for any legal fees and costs and probation and monitoring fees including, but not limited to, administrative costs, witness fees and attorney fees.&nbsp;</span></p> <p><span class="cls0">B. 1. Any administrative fine imposed as a result of a violation of the Oklahoma Certified Real Estate Appraisers Act or the rules of the Board promulgated pursuant thereto shall not:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be less than Fifty Dollars ($50.00) and shall not exceed Two Thousand Dollars ($2,000.00) for each violation of this act or the rules of the Board, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;exceed Five Thousand Dollars ($5,000.00) for all violations resulting from a single incident or transaction.&nbsp;</span></p> <p><span class="cls0">2. All administrative fines shall be paid within thirty (30) days of notification of the certificate holder by the Board of the order of the Board imposing the administrative fine, unless the certificate holder has entered into an agreement with the Board extending the period for payment.&nbsp;</span></p> <p><span class="cls0">3. The certificate may be suspended until any fine imposed upon the licensee by the Board is paid.&nbsp;</span></p> <p><span class="cls0">4. Unless the certificate holder has entered into an agreement with the Board extending the period for payment, if fines are not paid in full by the licensee within thirty (30) days of the notification by the Board of the order, the fines shall double and the certificate holder shall have an additional thirty-day period. If the double fine is not paid within the additional thirty-day period, the certificate shall automatically be revoked. &nbsp;</span></p> <p><span class="cls0">5. All monies received by the Board as a result of the imposition of the administrative fine provided for in this section shall be deposited in the Oklahoma Certified Real Estate Appraisers Revolving Fund created pursuant to Section 858-730 of this title.&nbsp;</span></p> <p><span class="cls0">C. The rights of any holder under a certificate as a trainee, state licensed, state certified residential or state certified general real estate appraiser may be revoked or suspended, or the holder of the certificate may be otherwise disciplined pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act, upon any of the grounds set forth in this section. The Board may investigate the actions of a trainee, state licensed, state certified residential or state certified general real estate appraiser, and may revoke or suspend the rights of a certificate holder or otherwise discipline a trainee, state licensed, state certified residential or state certified general real estate appraiser for any of the following acts or omissions:&nbsp;</span></p> <p><span class="cls0">1. Procuring or attempting to procure a certificate pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act by knowingly making a false statement, knowingly submitting false information, refusing to provide complete information in response to a question in an application for certification or through any form of fraud or misrepresentation;&nbsp;</span></p> <p><span class="cls0">2. Failing to meet the minimum qualifications established pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">3. Paying money other than provided for by the Oklahoma Certified Real Estate Appraisers Act to any member or employee of the Board to procure a certificate pursuant to the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">4. A conviction, including a conviction based upon a plea of guilty or nolo contendere, of a felony which is substantially related to the qualifications, functions, and duties of a person developing real estate appraisals and communicating real estate appraisals to others;&nbsp;</span></p> <p><span class="cls0">5. An act or omission involving dishonesty, fraud, or misrepresentation with the intent to substantially benefit the certificate holder or another person or with the intent to substantially injure another person;&nbsp;</span></p> <p><span class="cls0">6. Violation of any of the standards for the development or communication of real estate appraisals as provided in the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">7. Failure or refusal without good cause to exercise reasonable diligence in developing an appraisal, preparing an appraisal report or communicating an appraisal;&nbsp;</span></p> <p><span class="cls0">8. Negligence or incompetence in developing an appraisal, in preparing an appraisal report, or in communicating an appraisal;&nbsp;</span></p> <p><span class="cls0">9. Willfully disregarding or violating any of the provisions of the Oklahoma Certified Real Estate Appraisers Act or the regulations of the Board for the administration and enforcement of the provisions of the Oklahoma Certified Real Estate Appraisers Act;&nbsp;</span></p> <p><span class="cls0">10. Accepting an appraisal assignment when the employment itself is contingent upon the appraiser reporting a predetermined estimate, analysis or opinion, or where the fee to be paid is contingent upon the opinion, conclusion, or valuation reached, or upon the consequences resulting from the appraisal assignment;&nbsp;</span></p> <p><span class="cls0">11. Violating the confidential nature of governmental records to which the appraiser gained access through employment or engagement as an appraiser by a governmental agency;&nbsp;</span></p> <p><span class="cls0">12. Entry of a final civil judgment against the person on grounds of deceit, fraud, or willful or knowing misrepresentation in the making of any appraisal of real property;&nbsp;</span></p> <p><span class="cls0">13. Violating any of the provisions in the code of ethics set forth in this act; or&nbsp;</span></p> <p><span class="cls0">14. Failing to at any time properly identify themselves according to the specific type of certification held.&nbsp;</span></p> <p><span class="cls0">D. In a disciplinary proceeding based upon a civil judgment, the trainee, state licensed, state certified residential or state certified general real estate appraiser shall be afforded an opportunity to present matters in mitigation and extenuation, but may not collaterally attack the civil judgment.&nbsp;</span></p> <p><span class="cls0">E. 1. A complaint may be filed with the Board against a trainee or state licensed or state certified appraiser for any violations relating to a specific transaction of the Oklahoma Certified Real Estate Appraisers Act by any person who is the recipient of, relies upon or uses an appraisal prepared for a federally related transaction or real-estate-related financial transaction as described in Section 858-701 of this title.&nbsp;</span></p> <p><span class="cls0">2. Any person with knowledge of any circumstances surrounding an act or omission by a trainee or state licensed or state certified appraiser involving fraud, dishonesty or misrepresentation in any real property valuation-related activity, not limited to federally related transactions, may file a complaint with the Board setting forth all facts surrounding the act or omission.&nbsp;</span></p> <p><span class="cls0">3. A complaint may be filed against a trainee or state licensed or state certified appraiser directly by the Board, if reasonable cause exists for violations of the code of ethics set forth in this act.&nbsp;</span></p> <p><span class="cls0">4. Any complaint filed pursuant to this subsection shall be in writing and signed by the person filing same and shall be on a form approved by the Board. The trainee or state licensed or state certified appraiser shall be entitled to any hearings or subject to any disciplinary proceedings provided for in the Oklahoma Certified Real Estate Appraisers Act based upon any complaint filed pursuant to this subsection.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 24, emerg. eff. May 31, 1990. Amended by Laws 1991, c. 271, &sect; 18, eff. Sept. 1, 1991; Laws 1992, c. 132, &sect; 15, eff. Sept. 1, 1992; Laws 1996, c. 318, &sect; 10, eff. July 1, 1996; Laws 2001, c. 280, &sect; 15, eff. July 1, 2001; Laws 2006, c. 165, &sect; 11, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-724. Notice and hearing - Subpoenas and depositions.&nbsp;</span></p> <p><span class="cls0">A. Before suspending or revoking any certification, the Real Estate Appraiser Board shall notify the appraiser in writing of any charges made at least thirty (30) days prior to the date set for the hearing and shall afford the appraiser an opportunity to be heard in person or by counsel.&nbsp;</span></p> <p><span class="cls0">B. The written notice may be served either personally or sent by registered or certified mail to the lastknown business and/or residence address of the appraiser.&nbsp;</span></p> <p><span class="cls0">C. The Board shall have the power to subpoena and issue subpoenas duces tecum and to bring before it any person in this state, or to take testimony by deposition, in the same manner as prescribed by law in judicial proceedings in the courts of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 25, emerg. eff. May 31, 1990. Amended by Laws 2006, c. 165, &sect; 12, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-725. Time and place of hearing - Final order of Board - Review.&nbsp;</span></p> <p><span class="cls0">A. The hearing on the charges shall be at a time and place prescribed by the Real Estate Appraiser Board and in accordance with the provisions of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">B. If the Board determines that an Oklahoma certified appraiser is guilty of a violation of any of the provisions of the Oklahoma Certified Real Estate Appraisers Act, it shall prepare an order containing findings of fact, conclusions of law, and disciplinary penalties in accordance with Section 858-723 of this title. The decision and order of the Board shall be final.&nbsp;</span></p> <p><span class="cls0">C. Any final decision or order of the Board shall be reviewable by a court of appropriate jurisdiction in accordance with the provisions of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 26, emerg. eff. May 31, 1990. Amended by Laws 2006, c. 165, &sect; 13, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-726. Uniform Standards of Professional Appraisal Practice - Compliance required.&nbsp;</span></p> <p><span class="cls0">An Oklahoma certified real estate appraiser must comply with the current edition of the Uniform Standards of Professional Appraisal Practice, as promulgated by the Appraisal Standards Board of the Appraisal Foundation when involved in a federally related transaction or a real estate-related financial transaction of the agencies, instrumentalities and federally recognized entities as defined and recognized by the Financial Institutions Reform, Recovery, and Enforcement Act of 1989, or when both the appraiser and user of appraisal services agree in writing that the work product is an appraisal, or when a written appraisal states that it is in compliance with the Uniform Standards of Professional Appraisal Practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 27, emerg. eff. May 31, 1990. Amended by Laws 1996, c. 318, &sect; 11, eff. July 1, 1996; Laws 2006, c. 165, &sect; 14, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-727. Employment of certified real estate appraiser - Compliance with Act.&nbsp;</span></p> <p><span class="cls0">A client or employer may retain or employ an Oklahoma certified real estate appraiser to act as a disinterested third party in rendering an unbiased estimate of value or analysis. A client or employer may also retain or employ an Oklahoma certified real estate appraiser to provide specialized services to facilitate the client's or employer's objectives. In either case, the appraisal and the appraisal report must comply with the provisions of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 28, emerg. eff. May 31, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-728. Contingent fees.&nbsp;</span></p> <p><span class="cls0">A. An Oklahoma certified real estate appraiser may not accept a fee for an appraisal assignment, as defined in the Oklahoma Certified Real Estate Appraisers Act, that is contingent upon the appraiser reporting a predetermined estimate, analysis or opinion or is contingent upon the opinion, conclusion or valuation reached, or upon the consequences resulting from the appraisal assignment.&nbsp;</span></p> <p><span class="cls0">B. An Oklahoma certified real estate appraiser who enters into an agreement to perform specialized services, as defined in the Oklahoma Certified Real Estate Appraisers Act, may be paid a fixed fee or a fee that is contingent on the results achieved by the specialized services.&nbsp;</span></p> <p><span class="cls0">C. If an Oklahoma certified real estate appraiser enters into an agreement to perform specialized services for a contingent fee, this fact shall be clearly stated in each written and oral report. In each written report, this fact shall be clearly stated in a prominent location in such report and also in each letter of transmittal and in the certification statement made by the appraiser in such report.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 29, emerg. eff. May 31, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-729. Retention of records - Inspection by Board.&nbsp;</span></p> <p><span class="cls0">A. An Oklahoma certified real estate appraiser shall retain for five (5) years, originals or true copies of all written contracts engaging that appraiser's services for real property appraisal work, and all reports and supporting data assembled and formulated by the appraiser in preparing the reports.&nbsp;</span></p> <p><span class="cls0">B. This fiveyear period for retention of records is applicable to each engagement of the services of the appraiser and shall commence upon the date of the submittal of the appraisal to the client unless, within such fiveyear period, the appraiser is notified that the appraisal or report is involved in litigation, in which event the fiveyear period for the retention of records shall commence upon the date of the final disposition of such litigation.&nbsp;</span></p> <p><span class="cls0">C. All records required to be maintained pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act shall be made available by the Oklahoma certified real estate appraiser for inspection and copying by the Board on reasonable notice to the appraiser.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 30, emerg. eff. May 31, 1990.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-730. Oklahoma Certified Real Estate Appraisers Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created the "Oklahoma Certified Real Estate Appraisers Revolving Fund". The fund shall consist of all monies, other than appropriated monies, received by the Department from fees collected. The fund shall be a continuing fund not subject to fiscal year limitations and shall be subject to the administrative direction of the Department. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims made to the Director of the Office of Management and Enterprise Services. Monies may be expended for the operating expenses of the Department and the Board and shall be made pursuant to the laws of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 327, &sect; 31, emerg. eff. May 31, 1990. Amended by Laws 2012, c. 304, &sect; 271.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-731. Repealed by Laws 1992, c. 132, &sect; 16, eff. Sept. 1, 1992.&nbsp;</span></p> <p><span class="cls0">&sect;59-858-732. Code of ethics.&nbsp;</span></p> <p><span class="cls0">A. All persons listed in paragraph 2 of subsection A of Section 858-702 of this title must conduct all real property valuations and any real property valuation-related activity in conformance with the following:&nbsp;</span></p> <p><span class="cls0">1. An appraiser must perform ethically and competently and not engage in conduct that is unlawful, unethical or improper. An appraiser who could reasonably be perceived to act as a disinterested third party in rendering an unbiased real property valuation must perform assignments with impartiality, objectivity and independence and without accommodation of personal interests;&nbsp;</span></p> <p><span class="cls0">2. The acceptance of compensation that is contingent upon the reporting of a predetermined value or a direction in value that favors the cause of the client, the amount of the value estimate, the attainment of a stipulated result or the occurrence of a subsequent event is unethical;&nbsp;</span></p> <p><span class="cls0">3. The payment of undisclosed fees, commissions or things of value in connection with the procurement of real property valuation assignments is unethical;&nbsp;</span></p> <p><span class="cls0">4. Advertising for or soliciting appraisal assignments in a manner which is false, misleading or exaggerated is unethical; &nbsp;</span></p> <p><span class="cls0">5. An appraiser must protect the confidential nature of the appraiser-client relationship; and&nbsp;</span></p> <p><span class="cls0">6. Using or attempting to use the seal, certificate, or license of another as their own; falsely impersonating any duly licensed appraiser; using or attempting to use an inactive, expired, suspended, or revoked license; or aiding or abetting any of the foregoing is unethical.&nbsp;</span></p> <p><span class="cls0">B. Although this code of ethics is based upon the ethics provisions of the Uniform Standards of Professional Appraisal Practice, it is not the intent of the Legislature to incorporate the standards set forth in the Uniform Standards of Professional Appraisal Practice.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 318, &sect; 12, eff. July 1, 1996. Amended by Laws 2006, c. 165, &sect; 15, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-858-801. Oklahoma Appraisal Management Company Regulation Act.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Oklahoma Appraisal Management Company Regulation Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 1, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-802. Purpose of act.&nbsp;</span></p> <p><span class="cls0">It is the intent of the Legislature to develop a process for real estate appraisal management company registration and regulation in order to protect lenders, financial institutions, clients, consumers and the public from economic and financial harm and the potential for such harm that may result from interference with the independence, objectivity, and impartiality of the real estate appraisal process.&nbsp;</span></p> <p><span class="cls0">The purpose of the Oklahoma Appraisal Management Company Regulation Act is to provide a process for the registration and regulation of entities conducting, performing or engaging in, or attempting to conduct, perform or engage in, real estate appraisal management services as a real estate appraisal management company within the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 2, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-803. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Appraisal Management Company Regulation Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Appraisal&rdquo; means the practice of developing and reporting an opinion of the value of real property in conformance with the Uniform Standards of Professional Appraisal Practice as promulgated by the Appraisal Standards Board of The Appraisal Foundation;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Appraisal management company&rdquo; or &ldquo;AMC&rdquo; means an individual, firm, partnership, association, corporation or limited liability company that performs appraisal management services, regardless of the use of the term appraisal management company, mortgage technology provider, mortgage services provider, lender processing services provider, loan processor, real estate closing services provider, vendor management company or any other term;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Appraisal management services&rdquo; means, directly or indirectly, to perform or attempt to perform any one or more of the following function(s) on behalf of a lender, financial institution, client, or any other person:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;administer an appraiser panel, &nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;recruit, qualify, verify licensing or certification, and negotiate fees and service level expectations with persons who are part of an appraiser panel,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;receive an order for an appraisal from one entity, and deliver the order for the appraisal to an appraiser that is part of an appraiser panel for completion,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;track and determine the status of orders for appraisals,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;conduct quality control of a completed appraisal prior to the delivery of the appraisal to the person that ordered the appraisal, or&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;provide a completed appraisal performed by an appraiser to one or more clients;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Appraiser&rdquo; means a person who holds a credential or a valid temporary practice permit issued by the Oklahoma Real Estate Appraiser Board pursuant to the Oklahoma Certified Real Estate Appraisers Act as a State Certified General, State Certified Residential, State Licensed, or Trainee Appraiser entitling that person to perform an appraisal of real property in the State of Oklahoma consistent with the scope of practice identified in the Real Property Appraiser Qualification Criteria promulgated by the Appraiser Qualifications Board of The Appraisal Foundation;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Appraiser panel&rdquo; means a network of licensed or certified appraisers who have:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;responded to an invitation, request, or solicitation from an AMC, in any form, to perform appraisals for persons that have ordered appraisals through the AMC, or to perform appraisals for the AMC directly, on a periodic basis, as requested and assigned by the AMC, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;been selected and approved by an AMC to perform appraisals for any client of the AMC that has ordered an appraisal through the AMC, or to perform appraisals for the AMC directly, on a periodic basis, as assigned by the AMC;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Appraisal review&rdquo; means the act or process of developing and communicating an opinion about the quality of another appraiser&rsquo;s work that was performed as part of an appraisal assignment related to the appraiser&rsquo;s data collection, analysis, opinions, conclusions, estimate of value, or compliance with the Uniform Standards of Professional Appraisal Practice. This term does not include:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a general examination for grammatical, typographical or other similar errors, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a general examination for completeness including regulatory and/or client requirements as specified in the agreement process that does not communicate an opinion;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Board&rdquo; means the Oklahoma Real Estate Appraiser Board;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Competent appraiser&rdquo; means an appraiser that satisfies each provision of the Competency Rule of the Uniform Standards of Professional Appraisal Practice for a specific appraisal assignment that the appraiser has received, or may receive, from an AMC;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Credential&rdquo; means a certificate issued by the Board pursuant to the provisions of the Oklahoma Certified Real Estate Appraisers Act authorizing an individual to act as a Trainee Appraiser, State Licensed Appraiser, Certified Residential Appraiser or State Certified General Appraiser in the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Controlling person&rdquo; means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an owner, officer, manager, or director of a corporation, partnership, firm, association, limited liability company, or other business entity seeking to offer appraisal management services in this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;an individual employed, appointed, or authorized by an AMC that has the authority to enter into a contractual relationship with other persons for the performance of appraisal management services and has the authority to enter into agreements with appraisers for the performance of appraisals, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an individual who possesses, directly or indirectly, the power to direct or cause the direction of the management or policies of an AMC;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Person&rdquo; means an individual, firm, partnership, association, corporation, or any other entity; and&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Uniform Standards of Professional Appraisal Practice&rdquo; or &ldquo;USPAP&rdquo; means the edition of the Uniform Standards of Professional Appraisal Practice promulgated by the Appraisal Standards Board of The Appraisal Foundation in force as of the date that a report of an appraisal was signed or communicated.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 3, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-804. Application for registration.&nbsp;</span></p> <p><span class="cls0">A. It is unlawful for a person to directly or indirectly engage or to attempt to engage in business as an AMC, to directly or indirectly perform or to attempt to perform appraisal management services, or to advertise or hold itself out as engaging in or conducting business as an AMC without first obtaining a registration issued by the Oklahoma Real Estate Appraiser Board under the provisions of the Oklahoma Appraisal Management Company Regulation Act.&nbsp;</span></p> <p><span class="cls0">B. The application for the registration required by subsection A of this section shall be on a form approved by the Board and shall, at a minimum, include the following information:&nbsp;</span></p> <p><span class="cls0">1. Legal name and any other trade or business name of the entity seeking registration;&nbsp;</span></p> <p><span class="cls0">2. Mailing and physical addresses of the entity seeking registration;&nbsp;</span></p> <p><span class="cls0">3. Telephone, e-mail, website, and facsimile contact information of the entity seeking registration;&nbsp;</span></p> <p><span class="cls0">4. If the entity is a corporation that is not domiciled in this state, the name and contact information for the entity&rsquo;s agent for service of process in this state;&nbsp;</span></p> <p><span class="cls0">5. If the entity is a corporation, limited liability company, or partnership that is not domiciled in this state, proof that the entity is properly and currently registered with the Office of the Secretary of State;&nbsp;</span></p> <p><span class="cls0">6. The name, mailing and physical addresses, and contact information for any person that owns ten percent (10%) or more of the AMC;&nbsp;</span></p> <p><span class="cls0">7. The name, mailing and physical addresses, and contact information for all named controlling persons;&nbsp;</span></p> <p><span class="cls0">8. A certification that the entity has a system and process in place to verify that a person being added to the appraiser panel of the AMC for appraisal services being performed in Oklahoma holds a credential in good standing in this state pursuant to the Oklahoma Certified Real Estate Appraisers Act and the rules promulgated thereunder if a license or certification is required to perform appraisals, pursuant to Section 17 of this act;&nbsp;</span></p> <p><span class="cls0">9. A certification that the entity has a system in place to review the work of a statistically significant number of appraisal reports submitted by each appraiser who is performing real estate appraisal services for the AMC within Oklahoma on a periodic basis to validate that the real estate appraisal services are being conducted in accordance with USPAP and the Oklahoma Certified Real Estate Appraisers Act and the rules promulgated thereunder;&nbsp;</span></p> <p><span class="cls0">10. A certification that the entity maintains a detailed record of each service request that it receives and the appraiser that performs real estate appraisal services for the AMC, pursuant to Section 19 of this act;&nbsp;</span></p> <p><span class="cls0">11. An irrevocable Uniform Consent to Service of Process, pursuant to Section 7 of this act; and&nbsp;</span></p> <p><span class="cls0">12. Any other information reasonably required by the Board to evaluate compliance with the application requirements in this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 4, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-805. Applicability of act.&nbsp;</span></p> <p><span class="cls0">The provisions of the Oklahoma Appraisal Management Company Regulation Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. A department or unit within a financial institution that is subject to direct regulation by an agency of the United States Government that is a member of the Federal Financial Institutions Examination Council or its successor, or to regulation by an agency of this state, that receives a request for the performance of an appraisal from one employee of the financial institution, and another employee of the same financial institution assigns the request for the appraisal to an appraiser that is an independent contractor to the institution, except that an AMC that is a wholly owned subsidiary of a financial institution shall not be considered a department or unit within a financial institution to which the provisions of the Oklahoma Appraisal Management Company Regulation Act do not apply;&nbsp;</span></p> <p><span class="cls0">2. A person that enters into an agreement, whether written or otherwise, with an appraiser for the performance of an appraisal, and upon the completion of the appraisal, the report of the appraiser performing the appraisal is signed by both the appraiser who completed the appraisal and the appraiser who requested the completion of the appraisal, except that an AMC may not avoid the requirements of the Oklahoma Appraisal Management Company Regulation Act by requiring an employee of the AMC that is an appraiser to sign an appraisal that is completed by an appraiser that is part of the appraisal panel of the AMC; or&nbsp;</span></p> <p><span class="cls0">3. An individual or individuals who are state-certified or state-licensed appraisers in good standing credentialed by the Oklahoma Real Estate Appraiser Board and who are actively engaged in the practice of real estate appraising and, as a function of the practice, maintain a list of ten or fewer employees who are credentialed appraisers in good standing or independent contractor credentialed appraisers in good standing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 5, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-806. Duration of registration.&nbsp;</span></p> <p><span class="cls0">A registration or a renewal of a registration granted by the Board pursuant to the Oklahoma Appraisal Management Company Regulation Act shall be valid for one (1) year from the date on which it is issued.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 6, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-807. Uniform Consent to Service of Process.&nbsp;</span></p> <p><span class="cls0">Each entity applying for registration as an AMC in this state shall complete an irrevocable Uniform Consent to Service of Process, as prescribed by the Oklahoma Real Estate Appraiser Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 7, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-808. Registration fees.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Appraiser Board shall establish the fee to be paid by each AMC seeking registration or renewal of a registration under the Oklahoma Appraisal Management Company Regulation Act. The amount of the registration and renewal fees must be the lesser of:&nbsp;</span></p> <p><span class="cls0">1. The Board&rsquo;s determination of the sum of the fees paid by all appraisal management companies seeking registration or renewal of a registration under the Oklahoma Appraisal Management Company Regulation Act sufficient for the administration of the Oklahoma Appraisal Management Company Regulation Act; or&nbsp;</span></p> <p><span class="cls0">2. Two Thousand Dollars ($2,000.00).&nbsp;</span></p> <p><span class="cls0">Fees shall be received by the Oklahoma Insurance Department and shall be deposited to the Oklahoma Certified Real Estate Appraisers Revolving Fund as set forth in the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 8, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-809. Ownership of AMC applying for, holding, or renewing a registration.&nbsp;</span></p> <p><span class="cls0">A. An AMC applying for, holding, or renewing a registration under the Oklahoma Appraisal Management Company Regulation Act shall not be more than ten-percent-owned by:&nbsp;</span></p> <p><span class="cls0">1. A person who has held a credential issued by any appraiser-credentialing jurisdiction to act as an appraiser that was refused, denied, canceled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction and not subsequently granted or reinstated; or&nbsp;</span></p> <p><span class="cls0">2. An entity that is more than ten-percent-owned by any person who has held a credential issued by any appraiser-credentialing jurisdiction to act as an appraiser that was refused, denied, canceled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction and not subsequently granted or reinstated.&nbsp;</span></p> <p><span class="cls0">B. Each person that owns more than ten percent (10%) of an AMC applying for, holding, or renewing a registration under the Oklahoma Appraisal Management Company Regulation Act shall:&nbsp;</span></p> <p><span class="cls0">1. Be of good moral character, as determined by the Board; and&nbsp;</span></p> <p><span class="cls0">2. Submit to a background investigation, as determined by the Board.&nbsp;</span></p> <p><span class="cls0">C. Each AMC applying for registration or for renewal of a registration under the Oklahoma Appraisal Management Company Regulation Act shall certify to the Oklahoma Real Estate Appraiser Board on a form prescribed by the Board that it has reviewed each entity that owns more than ten percent (10%) of the AMC and that no entity that owns more than ten percent (10%) of the AMC is more than ten-percent-owned by any person that has had a credential issued by any appraiser-credentialing jurisdiction to act as an appraiser that was refused, denied, cancelled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction and not subsequently granted or reinstated.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 9, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-810. AMC controlling person.&nbsp;</span></p> <p><span class="cls0">A. Each AMC applying to the Oklahoma Real Estate Appraiser Board for a registration or for a renewal of a registration in this state shall designate one controlling person that shall serve as the main contact for all communication between the Board and the AMC.&nbsp;</span></p> <p><span class="cls0">B. The controlling person designated pursuant to subsection A of this section shall:&nbsp;</span></p> <p><span class="cls0">1. Remain in good standing with any appraiser-credentialing jurisdictions that the controlling person has credentials with, however, nothing in this section shall require that a designated controlling person hold an appraiser credential in any jurisdiction;&nbsp;</span></p> <p><span class="cls0">2. Have never had a credential issued by any appraiser-credentialing jurisdiction to act as an appraiser refused, denied, canceled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction;&nbsp;</span></p> <p><span class="cls0">3. Be of good moral character, as determined by the Board; and&nbsp;</span></p> <p><span class="cls0">4. Submit to a background investigation, as determined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 10, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-811. AMC prohibited actions.&nbsp;</span></p> <p><span class="cls0">An AMC that applies to the Oklahoma Real Estate Appraiser Board for a registration or to renew a registration to do business in this state as an AMC shall not:&nbsp;</span></p> <p><span class="cls0">1. Employ any person who has had a credential issued by any appraiser-credentialing jurisdiction to act as an appraiser that was refused, denied, canceled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction and not subsequently reinstated or granted;&nbsp;</span></p> <p><span class="cls0">2. Knowingly enter into any independent contractor arrangement, whether in verbal, written, or other form for the performance of appraisal or appraisal management services, with any person who has had a credential that was issued by any appraiser-credentialing jurisdiction to act as an appraiser refused, denied, canceled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction and not subsequently reinstated or granted; and&nbsp;</span></p> <p><span class="cls0">3. Knowingly enter into any contract, agreement, or other business relationship, whether in verbal, written, or any other form, with any entity that employs, has entered into an independent contract arrangement, or has entered into any contract, agreement, or other business relationship, whether in verbal, written, or any other form for the performance of appraisal or appraisal management services, with any person who has ever had a credential issued by any appraiser-credentialing jurisdiction to act as an appraiser that was refused, denied, canceled, revoked, or surrendered in lieu of a pending disciplinary proceeding in any jurisdiction and not subsequently reinstated or granted.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 11, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-812. AMC verification that an appraiser holds a credential in good standing.&nbsp;</span></p> <p><span class="cls0">Prior to placing an assignment with an appraiser on the appraiser panel of an AMC, the AMC shall verify that the appraiser receiving the assignment holds a credential in good standing in this state pursuant to the Oklahoma Certified Real Estate Appraisers Act and the rules promulgated thereunder if a license or certification is required to perform such appraisal. Letters of engagement shall include instructions to the appraiser to decline the assignment in the event the appraiser is not geographically competent or the assignment falls outside the appraiser&rsquo;s scope of practice restrictions as established by the Board rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 12, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-813. Credentials of employees or contractors of an AMC.&nbsp;</span></p> <p><span class="cls0">Any employee of, or independent contractor to, the AMC that performs an appraisal review for a property located in Oklahoma shall be an appraiser credentialed in good standing in the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 13, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-814. Prohibition of contracts or agreements with uncredentialed appraisers.&nbsp;</span></p> <p><span class="cls0">An AMC registered in this state pursuant to the Oklahoma Appraisal Management Company Regulation Act shall not enter into any contract or agreement with an appraiser for the performance of appraisals unless it verifies that the individual is credentialed in good standing to perform the appraisal pursuant to the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 14, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-815. Annual certification of system or process to verify an appraiser's credentials.&nbsp;</span></p> <p><span class="cls0">Each AMC seeking to be registered in this state shall certify to the Oklahoma Real Estate Appraiser Board on an annual basis on a form prescribed by the Board that the AMC has a system and process in place to verify that an individual being added to the appraiser panel of the AMC for appraisal services holds a credential in good standing in this state pursuant to the Oklahoma Certified Real Estate Appraisers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 15, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-816. Annual certification of system to validate an appraiser's performance.&nbsp;</span></p> <p><span class="cls0">Each AMC seeking to be registered or to renew a registration in this state shall certify to the Oklahoma Real Estate Appraiser Board on a form prescribed by the Board on an annual basis that it has a system in place to perform an appraisal review of the work product of a statistically significant number of appraisal reports submitted by each appraiser who is performing appraisals for the AMC on a periodic basis to validate that the appraisals are being conducted in accordance with the USPAP and the Oklahoma Certified Real Estate Appraisers Act and the rules promulgated thereunder. An AMC shall report to the Board the results of any appraisal reviews in which an appraisal is found to be substantially noncompliant with USPAP.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 16, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-817. Annual certification of each service request.&nbsp;</span></p> <p><span class="cls0">A. Each AMC seeking to be registered or to renew an existing registration in this state shall certify to the Oklahoma Real Estate Appraiser Board on a form prescribed by the Board on an annual basis that it maintains a detailed record of each service request that it receives for appraisal of real property located in Oklahoma.&nbsp;</span></p> <p><span class="cls0">B. An AMC registered under the provisions of the Oklahoma Appraisal Management Company Regulation Act shall retain for five (5) years all records required to be maintained under the Oklahoma Appraisal Management Company Regulation Act as described in the rules promulgated by the Board in accordance with the Oklahoma Appraisal Management Company Regulation Act. This five-year period shall commence on the date of the final action by the AMC for each individual transaction or, if the AMC is notified that the transaction is involved in litigation, the five-year period shall commence on the date that the litigation is finally disposed.&nbsp;</span></p> <p><span class="cls0">C. All records required to be maintained by the registered AMC pursuant to the provisions of the Oklahoma Appraisal Management Company Regulation Act and the rules promulgated thereunder shall be made available by the registration holder for inspection and copying by the Board or its designee on reasonable notice to the AMC.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 17, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-818. Disclosure of fees paid for appraiser management services and the appraisal assignment.&nbsp;</span></p> <p><span class="cls0">A. An AMC registered under the Oklahoma Appraisal Management Company Regulation Act shall be required to have a system in place to disclose to its client the fees paid for appraisal management services and the fees paid to the appraiser for the completion for an appraisal assignment.&nbsp;</span></p> <p><span class="cls0">B. An AMC registered under the Oklahoma Appraisal Management Company Regulation Act that applies for registration in this state shall not prohibit an appraiser that is part of an appraiser panel of the AMC from recording the fee that the appraiser was paid by the AMC for the performance of the appraisal within the communication of the appraisal that is submitted by the appraiser to the AMC.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 18, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-819. Violations of act.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful and a violation of the Oklahoma Appraisal Management Company Regulation Act for any employee, partner, director, officer, or agent of an AMC to influence or attempt to influence the development, reporting, result, or review of an appraisal through coercion, extortion, collusion, compensation, inducement, intimidation, bribery or in any other manner, including but not limited to:&nbsp;</span></p> <p><span class="cls0">1. Withholding or threatening to withhold timely payment or partial payment for an appraisal with the exception of a substandard or noncompliant appraisal;&nbsp;</span></p> <p><span class="cls0">2. Withholding or threatening to withhold, either expressed or implied, future business from, or demoting or terminating or threatening to demote or terminate an appraiser;&nbsp;</span></p> <p><span class="cls0">3. Promising, either expressed or implied, future business, promotions, or increased compensation for an appraiser;&nbsp;</span></p> <p><span class="cls0">4. Conditioning an assignment of an appraisal or the payment of an appraisal fee or salary or bonus on the opinion, conclusion, or valuation to be reached, or on a preliminary estimate or opinion requested from an appraiser;&nbsp;</span></p> <p><span class="cls0">5. Requesting that an appraiser provide an estimated, predetermined, or desired valuation in an appraisal, or provide estimated values or comparable sales at any time prior to the appraiser&rsquo;s completion of an appraisal;&nbsp;</span></p> <p><span class="cls0">6. Providing to an appraiser an anticipated, estimated, encouraged, or desired value for a subject property or a proposed or target amount to be loaned to the borrower, except that a copy of the sales contract for purchase transactions may be provided;&nbsp;</span></p> <p><span class="cls0">7. Providing to an appraiser, or any entity or individual related to the appraiser, stock or other financial or nonfinancial benefit or thing of value;&nbsp;</span></p> <p><span class="cls0">8. Allowing or directing the removal of an appraiser from an appraiser panel, or the addition of an appraiser to an exclusionary list of disapproved appraisers used by any entity, without prior written notice to such appraiser;&nbsp;</span></p> <p><span class="cls0">9. Any other act or practice that impairs or attempts to impair an appraiser&rsquo;s independence, objectivity, or impartiality;&nbsp;</span></p> <p><span class="cls0">10. Submitting or attempting to submit false, misleading, or inaccurate information in any application for registration or renewal;&nbsp;</span></p> <p><span class="cls0">11. Failing to timely respond to any subpoena or any other request for information;&nbsp;</span></p> <p><span class="cls0">12. Failing to timely obey an administrative order of the Board; or&nbsp;</span></p> <p><span class="cls0">13. Failing to fully cooperate in any investigation.&nbsp;</span></p> <p><span class="cls0">B. Nothing in subsection A of this section shall be construed as prohibiting the AMC from requesting that an appraiser:&nbsp;</span></p> <p><span class="cls0">1. Provide additional information about the basis for a valuation including consideration of additional comparable data; or&nbsp;</span></p> <p><span class="cls0">2. Correct objective factual errors in an appraisal.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 19, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-820. Prohibited acts.&nbsp;</span></p> <p><span class="cls0">An AMC shall not perform or attempt to perform any one or more of the following acts:&nbsp;</span></p> <p><span class="cls0">1. Require an appraiser to modify any aspect of an appraisal unless the modification complies with Section 19 of this act;&nbsp;</span></p> <p><span class="cls0">2. Require an appraiser to prepare an appraisal if the appraiser, in the appraiser's own independent professional judgment, believes the appraiser does not have the necessary expertise for the assignment or for the specific geographic area and has notified the AMC and declined the assignment;&nbsp;</span></p> <p><span class="cls0">3. Require an appraiser to prepare an appraisal under a time frame that the appraiser, in the appraiser's own professional judgment, believes does not afford the appraiser the ability to meet all the relevant legal and professional obligations and has notified the AMC and declined the assignment;&nbsp;</span></p> <p><span class="cls0">4. Prohibit or inhibit legal or other allowable communication between the appraiser and:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the lender,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a real estate licensee, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any other person from whom the appraiser, in the appraiser's own professional judgment, believes information would be relevant;&nbsp;</span></p> <p><span class="cls0">5. Requires the appraiser to do anything that does not comply with:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;USPAP,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the Oklahoma Certified Real Estate Appraisers Act or the rules promulgated thereunder, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any assignment conditions and certifications required by the client; or&nbsp;</span></p> <p><span class="cls0">6. Makes any portion of the appraiser's fee or the AMC's fee contingent on a predetermined or favorable outcome, including but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a loan closing, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;specific dollar amount being achieved by the appraiser in the appraisal.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 20, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-821. Payment within sixty days of transmitted appraisal.&nbsp;</span></p> <p><span class="cls0">Each AMC shall, except in bona fide cases of breach of contract or substandard performance of services, make payment to an appraiser for the completion of an appraisal or valuation assignment within sixty (60) days of the date on which the appraiser transmits or otherwise provides the completed appraisal or valuation study to the AMC or its assignee unless a mutually agreed upon alternate arrangement has been previously established.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 21, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-822. Altering, modifying, or changing completed appraisal.&nbsp;</span></p> <p><span class="cls0">A. An AMC shall not alter, modify, or otherwise change or attempt to alter, modify, or otherwise change a completed appraisal submitted by an appraiser by doing any of the following:&nbsp;</span></p> <p><span class="cls0">1. Permanently removing the appraiser&rsquo;s signature or seal;&nbsp;</span></p> <p><span class="cls0">2. Adding information to, or removing information from, the appraisal;&nbsp;</span></p> <p><span class="cls0">3. Altering, modifying or otherwise changing a completed appraisal submitted by an independent appraiser without the appraiser&rsquo;s knowledge and written consent; or&nbsp;</span></p> <p><span class="cls0">4. Using an appraisal submitted by an independent appraiser for any other transaction or use.&nbsp;</span></p> <p><span class="cls0">B. No AMC shall require an appraiser to provide the AMC with the appraiser&rsquo;s digital signature or seal, but nothing in this subsection shall be deemed to prohibit an appraiser from voluntarily providing his or her digital signature to another person in the manner permitted by the provisions of the USPAP.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 22, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-823. AMC registration number.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Real Estate Appraiser Board shall issue a unique registration number to each AMC that is registered in this state.&nbsp;</span></p> <p><span class="cls0">B. The Board shall maintain a list on its website of the AMCs that have registered with the Board pursuant to the Oklahoma Appraisal Management Company Regulation Act and have been issued a registration number pursuant to subsection A of this section.&nbsp;</span></p> <p><span class="cls0">C. An AMC registered in this state shall place its registration number on any instrument utilized by the AMC for procurement of appraisal services in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 23, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-824. Appraiser removed from appraiser panel.&nbsp;</span></p> <p><span class="cls0">A. Except within the first thirty (30) days after an appraiser is first added to the appraiser panel of an AMC, an AMC shall not remove an appraiser from its appraiser panel, or otherwise refuse to assign requests for real estate appraisal services to an appraiser without:&nbsp;</span></p> <p><span class="cls0">1. Notifying the appraiser in writing of the reasons why the appraiser is being removed from the appraiser panel of the AMC;&nbsp;</span></p> <p><span class="cls0">2. Providing an opportunity for the appraiser to respond to the written notification of the AMC either personally or through legal counsel; and&nbsp;</span></p> <p><span class="cls0">3. If the appraiser is being removed from the panel for illegal conduct, violation of the USPAP, or a violation of the Oklahoma Certified Real Estate Appraisers Act or the rules promulgated thereunder, providing notice to the appraiser and to the Oklahoma Real Estate Appraiser Board detailing allegations of fact and alleged violations of standards or laws.&nbsp;</span></p> <p><span class="cls0">B. An appraiser that is removed from the appraiser panel of an AMC for alleged illegal conduct, violation of the USPAP, or violation of the Oklahoma Certified Real Estate Appraisers Act or the rules promulgated thereunder, may file a complaint with the Board for a review of the decision of the AMC, except that in no case shall the Board make any determination regarding the nature of the business relationship between the appraiser and the AMC which is unrelated to the actions specified in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">C. If an appraiser files a complaint against an AMC pursuant to subsection B of this section, the Board shall adjudicate the complaint within one (1) year.&nbsp;</span></p> <p><span class="cls0">D. If after opportunity for hearing and review, the Board determines that an appraiser did not commit a violation of law, a violation of the USPAP, or a violation of the Oklahoma Certified Real Estate Appraisers Act or the rules promulgated thereunder, the Board shall order that an appraiser be promptly reinstated to the appraiser panel of the AMC that was the subject of the complaint, without prejudice.&nbsp;</span></p> <p><span class="cls0">E. Following the adjudication of a complaint to the Board by an appraiser against an AMC, an AMC may not refuse to make assignments for real estate appraisal services to an appraiser, or reduce the number of assignments, or otherwise penalize the appraiser, if the Board has found that the AMC acted improperly in removing the appraiser from the appraiser panel and ordered the appraiser&rsquo;s reinstatement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 24, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-825. Authority to deny registration.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Appraiser Board may, in accordance with the provisions of the Oklahoma Appraisal Management Company Regulation Act relating to hearings, deny the issuance of a registration or a renewal of a registration to an applicant on any of the grounds enumerated in the Oklahoma Appraisal Management Company Regulation Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 25, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-826. Grounds for denial of registration.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Appraiser Board may refuse to issue a registration either on an original application or a renewal application, if it has reasonable grounds to believe and finds any of the following to be true:&nbsp;</span></p> <p><span class="cls0">1. That the applicant or any partner has, within twelve (12) months preceding the date of the application violated any provision of the Oklahoma Appraisal Management Company Regulation Act or regulation of the Oklahoma Real Estate Appraiser Board;&nbsp;</span></p> <p><span class="cls0">2. That the applicant is not of good moral character;&nbsp;</span></p> <p><span class="cls0">3. That the applicant has been the holder of a registration revoked or suspended for cause, or surrendered in lieu of disciplinary proceedings;&nbsp;</span></p> <p><span class="cls0">4. That the applicant, in the case of an application for renewal of any registration, would not be eligible for such license on a first application;&nbsp;</span></p> <p><span class="cls0">5. That the issuance of the registration applied for would result in a violation of any provision of the Oklahoma Appraisal Management Company Regulation Act; or&nbsp;</span></p> <p><span class="cls0">6. When, in the judgment of the Oklahoma Real Estate Appraiser Board, the registrant has, in the conduct of affairs under the registration, demonstrated incompetency, or untrustworthiness, or conduct or practices rendering the registrant unfit to carry on appraisal management services or making continuance in the business detrimental to the public interest, or that the licensee is no longer in good faith carrying on appraisal management services, and for this conduct is found by the Oklahoma Real Estate Appraiser Board to be a source of detriment, injury, or loss to the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 26, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-827. Penalties - Censure, suspension or revocation of registration, fine.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Appraiser Board may censure an AMC, conditionally or unconditionally suspend or revoke any registration issued under the Oklahoma Appraisal Management Company Regulation Act, or impose administrative fines not to exceed Five Thousand Dollars ($5,000.00) per violation of the Oklahoma Appraisal Management Company Regulation Act, if in the opinion of the Board, an AMC is attempting to perform, has performed, or has attempted to perform any of the following acts:&nbsp;</span></p> <p><span class="cls0">1. Committing any act in violation of the Oklahoma Appraisal Management Company Regulation Act;&nbsp;</span></p> <p><span class="cls0">2. Violating any rule or regulation adopted by the Board in the interest of the public and consistent with the provisions of the Oklahoma Appraisal Management Company Regulation Act; or&nbsp;</span></p> <p><span class="cls0">3. Procuring a registration or a renewal of a registration for the AMC or committing any other act by fraud, misrepresentation, or deceit.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 27, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-828. Violation of act or rules.&nbsp;</span></p> <p><span class="cls0">A. The conduct of administrative proceedings shall be in accordance with the Administrative Procedures Act and the Oklahoma Certified Real Estate Appraisers Act and the rules promulgated thereunder for violations of the Oklahoma Appraisal Management Company Regulation Act shall be vested in the Oklahoma Real Estate Appraiser Board, such that the Board, after notice and opportunity for a hearing pursuant to Article II of the Administrative Procedures Act, may issue an order imposing one or more of the following penalties whenever the Board finds, by clear and convincing evidence, that a registrant has violated any provision of the Oklahoma Appraisal Management Company Regulation Act or rules promulgated thereunder:&nbsp;</span></p> <p><span class="cls0">1. Revocation of the registration with or without the right to reapply;&nbsp;</span></p> <p><span class="cls0">2. Suspension of the registrant for a period not to exceed five (5) years;&nbsp;</span></p> <p><span class="cls0">3. Stipulations, limitations, restrictions and conditions relating to conduct of the registrant&rsquo;s appraisal management services practice;&nbsp;</span></p> <p><span class="cls0">4. Censure, including specific redress, if appropriate;&nbsp;</span></p> <p><span class="cls0">5. Reprimand;&nbsp;</span></p> <p><span class="cls0">6. Administrative fines not to exceed Five Thousand Dollars ($5,000.00) per violation; and&nbsp;</span></p> <p><span class="cls0">7. Payment of costs expended by the Board for any legal fees and costs and monitoring fees, including but not limited to administrative costs, witness fees and attorney fees. &nbsp;</span></p> <p><span class="cls0">B. Payment of fines and costs shall be in accordance with the following:&nbsp;</span></p> <p><span class="cls0">1. All administrative fines and costs shall be paid within thirty (30) days of notifying the registrant&rsquo;s controlling person or the registrant&rsquo;s agent for service of process in this state of the order of the Board imposing the administrative fine, unless the registrant has entered into an agreement with the Board extending the period for payment;&nbsp;</span></p> <p><span class="cls0">2. The registration may be suspended until any fine imposed upon the registrant by the Board is paid;&nbsp;</span></p> <p><span class="cls0">3. Unless the registrant has entered into an agreement with the Board extending the period for payment, if fines and costs are not paid in full by the registrant within thirty (30) days of the notification of the order, the fines and costs shall double and the registrant shall have an additional thirty-day period. If the double fine and costs are not paid within the additional thirty-day period, the registration shall automatically be revoked; and&nbsp;</span></p> <p><span class="cls0">4. All monies received by the Board as a result of the imposition of the administrative fines and costs provided for in this section shall be deposited in the Oklahoma Certified Real Estate Appraisers Revolving Fund created pursuant to Section 858-730 of Title 59 of the Oklahoma Statutes. &nbsp;</span></p> <p><span class="cls0">C. Complaint filing procedures shall be in accordance with the following:&nbsp;</span></p> <p><span class="cls0">1. Any complaint filed under the Oklahoma Appraisal Management Company Regulation Act or the rules promulgated thereunder shall be in writing and signed by the person filing same and shall be on a form prescribed by the Board. A complaint may be filed against a registrant directly by the Board, if reasonable cause exists to believe there have been violation(s) of the Oklahoma Appraisal Management Company Regulation Act or rules; and&nbsp;</span></p> <p><span class="cls0">2. The registrant shall be entitled to any hearings or subject to any disciplinary proceedings provided for in the Oklahoma Appraisal Management Company Regulation Act or the rules promulgated thereunder based upon any complaint filed pursuant to this section.&nbsp;</span></p> <p><span class="cls0">D. Written notice of charges shall be provided as follows:&nbsp;</span></p> <p><span class="cls0">1. Before taking any administrative action against any registration, the Real Estate Appraiser Board shall notify the registrant in writing of any charges made at least thirty (30) days prior to the date set for hearing and shall afford the registrant an opportunity to be heard in person or by counsel; and&nbsp;</span></p> <p><span class="cls0">2. The written notice may be served personally or sent by registered or certified mail to the last-known address of either the registrant&rsquo;s controlling person or the registrant&rsquo;s service agent in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 28, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-858-829. Promulgation of rules.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Real Estate Appraiser Board shall promulgate rules to implement the provisions of the Oklahoma Appraisal Management Company Regulation Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 364, &sect; 29, eff. Jan. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59887.1. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known as the "Physical Therapy Practice Act". &nbsp;</span></p> <p class="cls1"><span class="cls0">Laws 1965, c. 153, &sect; 1, emerg. eff. May 26, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;59-887.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Physical Therapy Practice Act:&nbsp;</span></p> <p><span class="cls0">1. "Physical therapy" means the care and services provided by or under the direction and supervision of a physical therapist who is licensed pursuant to the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">2. "Practice of physical therapy" means the use of selected knowledge and skills in planning, organizing and directing programs for the care of individuals whose ability to function is impaired or threatened by disease or injury, encompassing preventive measures, screening, tests in aid of diagnosis by a licensed doctor of medicine, osteopathy, chiropractic, dentistry or podiatry, or a physician assistant, and evaluation and invasive or noninvasive procedures with emphasis on the skeletal system, neuromuscular and cardiopulmonary function, as it relates to physical therapy. Physical therapy includes screening or evaluations performed to determine the degree of impairment of relevant aspects such as, but not limited to, nerve and muscle function including transcutaneous bioelectrical potentials, motor development, functional capacity and respiratory or circulatory efficiency. Physical therapy also includes physical therapy treatment performed upon referral by a licensed doctor of medicine, osteopathy, dentistry, chiropractic or podiatry, or a physician assistant including, but not limited to, exercises for increasing or restoring strength, endurance, coordination and range of motion, stimuli to facilitate motor activity and learning, instruction in activities of daily living and the use of assistive devices and the application of physical agents to relieve pain or alter physiological status. The use of roentgen rays and radium for diagnostic or therapeutic purposes, the use of electricity for surgical purposes, including cauterization and colonic irrigations are not authorized under the term "physical therapy" as used in this chapter;&nbsp;</span></p> <p><span class="cls0">3. "Physical therapist assistant" means a person who assists in the practice of physical therapy subject to the direction and supervision of a licensed physical therapist, who meets all the educational requirements, and who is licensed pursuant to the provisions of the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">4. "Licensed physical therapist" means a person who is licensed as required in the Physical Therapy Practice Act and who regularly practices physical therapy;&nbsp;</span></p> <p><span class="cls0">5. "Board" means the State Board of Medical Licensure and Supervision; and&nbsp;</span></p> <p><span class="cls0">6. "Committee" means the Physical Therapy Committee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 2, emerg. eff. May 26, 1965. Amended by Laws 1969, c. 345, &sect; 1; Laws 1987, c. 13, &sect; 1, eff. July 1, 1987; Laws 1987, c. 118, &sect; 44, operative July 1, 1987; Laws 2001, c. 385, &sect; 5, eff. Nov. 1, 2001; Laws 2012, c. 29, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59887.3. License requirements.&nbsp;</span></p> <p><span class="cls0">No person shall designate himself as a physical therapist or physical therapist assistant, nor practice, nor hold himself out to the public as being able to practice physical therapy in this state, unless licensed in accordance with the provisions of the Physical Therapy Practice Act. The Physical Therapy Practice Act shall not prohibit or prevent any person licensed in the healing arts in this state from engaging in the practice for which he is duly licensed.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 2, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-887.4. Physical Therapy Committee - Membership - Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established a Physical Therapy Committee to assist the State Board of Medical Licensure and Supervision in conducting examinations for applicants and to advise the Board on all matters pertaining to the licensure, education, and continuing education of physical therapists and physical therapist assistants and the practice of physical therapy.&nbsp;</span></p> <p><span class="cls0">B. 1. The Physical Therapy Committee shall consist of five (5) members who shall be appointed by the State Board of Medical Licensure and Supervision as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;three members shall be licensed physical therapists,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;one member shall be a licensed physical therapist assistant, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;one member shall be a lay person.&nbsp;</span></p> <p><span class="cls0">2. Except for the lay appointee, each appointee shall be selected from a list of three persons submitted for each vacancy by the Oklahoma Chapter of the American Physical Therapy Association.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Members serving on the Committee on the effective date of this act may continue serving until expiration of their terms of office and may be reappointed if eligible pursuant to the provisions of this act. Members of the original Physical Therapy Committee shall have been appointed for staggered terms of one (1), two (2), and three (3) years, respectively. Terms of office of each appointed member shall expire July 1 of that year in which they expire regardless of the calendar date when such appointments were made. Subsequent appointments shall be made for a term of three (3) years or until their successors are appointed and qualified.&nbsp;</span></p> <p class="cls2"><span class="cls0">&nbsp;&nbsp;&nbsp;&nbsp;b.&nbsp;&nbsp;The lay member and physical therapist assistant member initially appointed to fill the two new positions created pursuant to this act shall be appointed for staggered terms of office which will expire July 1, 1998, and July 1, 1999. Thereafter, members appointed to these positions shall serve for terms of three (3) years or until their successors are appointed and qualified.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Vacancies shall be filled by the Board in the same manner as the original appointment.&nbsp;</span></p> <p><span class="cls0">3. Each member of the Committee shall be a resident of this state. The physical therapist and physical therapist assistant members shall be licensed pursuant to the Physical Therapy Practice Act for at least three (3) years prior to appointment to the Committee. The lay member shall not be a physical therapist or a licensed health care professional or be related by adoption, blood, or marriage within the third degree of consanguinity to a physical therapist or a licensed health care professional.&nbsp;</span></p> <p><span class="cls0">4. Members of the Committee shall be reimbursed for all actual and necessary expenses incurred in the performance of duties required by the Physical Therapy Practice Act in accordance with the provisions of the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;C. The Committee shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Assist in selecting and conducting examinations for licensure, and in determining which applicants successfully passed such examination;&nbsp;</span></p> <p><span class="cls0">2. Advise the Board on all matters pertaining to the licensure, education, and continuing education requirements for, and practice of physical therapy in this state;&nbsp;</span></p> <p><span class="cls0">3. Maintain a current list of approved schools of physical therapy and physical therapist assistants; and&nbsp;</span></p> <p><span class="cls0">4. Assist and advise in all hearings involving physical therapists or physical therapist assistants who are deemed to be in violation of the Physical Therapy Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 4, emerg. eff. May 26, 1965. Amended by Laws 1969, c. 345, &sect; 3; Laws 1985, c. 178, &sect; 37, operative July 1, 1985; Laws 1987, c. 13, &sect; 3, eff. July 1, 1987; Laws 1987, c. 118, &sect; 45, operative July 1, 1987; Laws 1997, c. 126, &sect; 1.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59887.5. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Examiners shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Promulgate the rules and regulations necessary for the performance of its duties pursuant to the provisions of the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">2. Determine, as recommended by the Committee, the qualifications of applicants for licensure, conduct all examinations, and determine which applicants successfully passed such examinations;&nbsp;</span></p> <p><span class="cls0">3. Issue a license to each applicant who passes the examination in accordance with standards promulgated by the Board pursuant to the Physical Therapy Practice Act, and who is otherwise in compliance with the Physical Therapy Practice Act. A license shall also be issued to persons who qualify for such license pursuant to the provisions of Sections 887.9 and 887.10 of this title. Said licenses shall be subject to annual renewal as provided by the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">4. Make such investigations and inspections as are necessary to ensure compliance with the Physical Therapy Practice Act and the rules and regulations of the Board promulgated pursuant to the act;&nbsp;</span></p> <p><span class="cls0">5. Conduct hearings as required by the provisions of the Administrative Procedures Act, Section 301 et seq. of Title 75 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">6. Report to the district attorney having jurisdiction or the Attorney General any act committed by any person which may constitute a misdemeanor pursuant to the provisions of the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">7. Initiate prosecution and civil proceedings;&nbsp;</span></p> <p><span class="cls0">8. Suspend, revoke or deny the license of any physical therapist and physical therapist assistant for violation of any provisions of the Physical Therapy Practice Act or rules and regulations promulgated by the Board pursuant to this act;&nbsp;</span></p> <p><span class="cls0">9. Maintain a record listing the name of each physical therapist and physical therapist assistant licensed in this state;&nbsp;</span></p> <p><span class="cls0">10. Compile a list of physical therapists and physical therapist assistants licensed to practice in this state. Said list shall be available to any person upon application to the Board and the payment of such fee as determined by the Board for the reasonable expense thereof pursuant to the provisions of the Physical Therapy Practice Act; and&nbsp;</span></p> <p><span class="cls0">11. Make such expenditures and employ such personnel as it may deem necessary for the administration of the provisions of the Physical Therapy Practice Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 4, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-887.6. Qualifications for license.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided by law, to be eligible for licensure as a physical therapist or physical therapist assistant pursuant to the provisions of the Physical Therapy Practice Act an applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Be of good moral character; and&nbsp;</span></p> <p><span class="cls0">2. Pass an examination based on standards promulgated by the State Board of Medical Licensure and Supervision pursuant to the Physical Therapy Practice Act which shall include a written examination testing the knowledge of the applicant on:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the basic and clinical sciences as they relate to physical therapy theory and physical therapy procedures, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;such other subjects as the Board may deem necessary to test the applicant's fitness to practice physical therapy or as a physical therapist assistant. Examinations shall be held within this state at least once per year, at such time and place as the Board shall determine.&nbsp;</span></p> <p><span class="cls0">B. 1. In addition to the requirements provided by subsection A of this section, and except as provided in paragraph 2 of this subsection or subsection D of this section, an applicant for a license to practice as a physical therapist shall have graduated from a school of physical therapy approved by a national accrediting body which has been recognized by the Board.&nbsp;</span></p> <p><span class="cls0">2. An applicant for a license to practice as a physical therapist who has been educated through a program or school of physical therapy which is or has been sponsored by a branch of the armed forces of the United States may be licensed as a physical therapist if the Board determines that the education of the applicant is substantially equivalent to, or exceeds, the requirements of accredited educational programs.&nbsp;</span></p> <p><span class="cls0">C. 1. In addition to the requirements provided by subsection A of this section, and except as provided in paragraph 2 of this subsection, an applicant for a license to practice as a physical therapist assistant shall have graduated from an approved program for physical therapist assistants consisting of at least a two-year program approved by a national accrediting body which has been recognized by the Board. An approved course of study shall include such elementary and intermediate courses in the anatomical, biological, and physical sciences as may be determined by the Board.&nbsp;</span></p> <p><span class="cls0">2. An applicant for a license to practice as a physical therapist assistant who has been educated through a program for physical therapist assistants which is or has been sponsored by a branch of the armed forces of the United States may be licensed as a physical therapist assistant if the Board determines that the education of the applicant is substantially equivalent to, or exceeds, the requirements of accredited educational programs.&nbsp;</span></p> <p><span class="cls0">D. 1. Except as otherwise provided by paragraph 2 of this subsection, an applicant for licensure as a physical therapist who has been educated in physical therapy outside the United States shall meet the following qualifications:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be of good moral character,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;have completed the application process,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;provide satisfactory evidence that their education is substantially equivalent to the requirements of physical therapists educated in accredited educational programs as determined by the Board. If the Board determines that a foreign-educated applicant's education is not substantially equivalent, it may require completion of additional course work before proceeding with the application process,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;provide written proof that the school of physical therapy education is recognized by its own ministry of education,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;provide written proof of authorization to practice as a physical therapist without limitations in the country where the professional education occurred,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;provide proof of legal authorization to reside and seek employment in the United States or its territories,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;have their educational credentials evaluated by a Board-approved credential evaluation agency,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;have passed the Board-approved English proficiency examinations if their native language is not English,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;have participated in an interim supervised clinical practice period prior to licensure, which may be waived at the discretion of the Board, if:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;the applicant for licensure is able to verify the successful completion of one (1) year of clinical practice in the United States or the District of Columbia, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;the applicant is able to document exceptional expertise acceptable to the Board in the fields of research, education, or clinical practice, and&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;have successfully passed the national examination approved by the Board.&nbsp;</span></p> <p><span class="cls0">2. If the foreign-educated physical therapist applicant is a graduate of a CAPTE-accredited physical therapy education program, requirements in subparagraphs c, d, g and i of paragraph 1 of this subsection may be waived.&nbsp;</span></p> <p><span class="cls0">E. When a foreign-educated applicant satisfies the qualifications for licensure set forth in subparagraphs a through h of paragraph 1 of subsection D of this section, prior to licensure the Board shall issue an interim permit to the applicant for the purpose of participating in a supervised clinical practice period. The time period of an interim permit shall not be less than ninety (90) days nor more than six (6) months. An interim permit holder, to the satisfaction of the Board, shall complete a period of clinical practice under the continuous and immediate supervision of a physical therapist who holds an unrestricted license issued pursuant to the Physical Therapy Practice Act in a facility approved by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 6, emerg. eff. May 26, 1965. Amended by Laws 1969, c. 345, &sect; 5; Laws 1987, c. 13, &sect; 5, eff. July 1, 1987; Laws 1997, c. 126, &sect; 2.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59887.7. Application for licenses Fees.&nbsp;</span></p> <p><span class="cls0">Any person intending to practice as a physical therapist or physical therapist assistant in this state shall apply to the Board in writing. Such application shall be on a form and in a manner prescribed by the Board and shall request such information from the applicant as will indicate to the Board the applicant's qualifications to take the required examination or otherwise comply with the provisions of the Physical Therapy Practice Act. An application to the Board to practice as a physical therapist or a physical therapist assistant shall be accompanied by a fee as required by the provisions of the Physical Therapy Practice Act. Said fee shall not be refundable.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 6, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59887.8. Issuance of license Reexamination.&nbsp;</span></p> <p><span class="cls0">The Board shall issue an appropriate license to each applicant who successfully passes the examination in accordance with standards promulgated by the Board and who otherwise complies with the provisions of the Physical Therapy Practice Act.&nbsp;</span></p> <p><span class="cls0">Any applicant who fails to pass the examination may request to retake the examination in accordance with standards established by the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 7, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59887.9. License without examination.&nbsp;</span></p> <p><span class="cls0">Upon payment to the Board of a fee as provided by the Physical Therapy Practice Act, and submission of a written application on forms provided by the Board, the Board may issue a license without examination to any person who is licensed or otherwise registered as a physical therapist by another state or any territory of the United States which has substantially the same standards for licensure as are required by this state pursuant to the provisions of the Physical Therapy Practice Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 8, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59887.10. Temporary permit without examination.&nbsp;</span></p> <p><span class="cls0">A. Upon proper application to the Board, and payment of the fee required by the provisions of the Physical Therapy Practice Act, the Board shall issue without examination a temporary permit to practice physical therapy or to practice as a physical therapist assistant in this state for a period of not to exceed one (1) year to any person who meets the qualifications required for applicants to take the examination and who submits satisfactory evidence to the Board that such applicant is in this state on a temporary basis to assist in a case of medical emergency or to engage in a special physical therapy project. The Board may shorten the term of the temporary permit for less than one (1) year.&nbsp;</span></p> <p><span class="cls0">B. Upon proper application and payment of fees, the Board may issue a temporary permit to a person who has applied for a license pursuant to the provisions of Section 887.7 of this title, and who is eligible to take the examination pursuant to the provisions of the Physical Therapy Practice Act. Such temporary permit shall be available to an applicant only with respect to his first application for licensure. Such permit shall expire upon notice that the applicant has or has not passed the examination.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 9, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-887.12. Renewal of licenses.&nbsp;</span></p> <p><span class="cls0">A. 1. Except as otherwise provided by the Physical Therapy Practice Act, all licenses shall expire on January 31 of each year. A license may be renewed during the month of January of each year upon:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;application,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;evidence of satisfactory completion of a program of continuing education or of alternative requirements, as required by the State Board of Medical Licensure and Supervision pursuant to subsection B of this section, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;payment of fees.&nbsp;</span></p> <p><span class="cls0">2. Applications for renewal of licensure shall be sent by the Board to all licensed physical therapists and physical therapist assistants at their last-known address. Failure to renew a license three (3) months after notification shall effect a forfeiture of the license granted pursuant to the provisions of the Physical Therapy Practice Act. Upon recommendation of the Board, a lapsed license may be revived upon the payment of all unpaid registration fees and pursuant to such rules as may be promulgated by the Board.&nbsp;</span></p> <p><span class="cls0">3. A physical therapist or physical therapist assistant who fails to apply for a renewal of a license for five (5) years may renew the license by complying with the provisions of the Physical Therapy Practice Act relating to the issuance of an original license.&nbsp;</span></p> <p><span class="cls0">B. For physical therapists and physical therapist assistants, the Board shall establish by rule the requirements for:&nbsp;</span></p> <p><span class="cls0">1. A program of continuing education; and&nbsp;</span></p> <p><span class="cls0">2. Alternative requirements to establish continuing competence to practice.&nbsp;</span></p> <p><span class="cls0">The Board shall also establish by rule the minimum hours of continuing education needed to satisfy these requirements. In establishing these requirements, the Board shall consider any existing programs of continuing education currently being offered to licensed physical therapists or physical therapist assistants.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 12, emerg. eff. May 26, 1965. Amended by Laws 1969, c. 345, &sect; 8; Laws 1987, c. 13, &sect; 10, eff. July 1, 1987; Laws 1997, c. 126, &sect; 3.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-887.13. Refusal, suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may refuse to issue or renew, or may suspend or revoke a license to any person, after notice and hearing in accordance with rules and regulations promulgated pursuant to the Physical Therapy Practice Act and the provisions of the Administrative Procedures Act of the Oklahoma Statutes who has:&nbsp;</span></p> <p><span class="cls0">1. Practiced physical therapy other than under the referral of a physician, surgeon, dentist, chiropractor or podiatrist duly licensed to practice medicine or surgery, a physician assistant, or in the case of practice as a physical therapist assistant, has practiced other than under the direction of a licensed physical therapist;&nbsp;</span></p> <p><span class="cls0">2. Treated or attempted to treat ailments or other health conditions of human beings other than by physical therapy as authorized by the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">3. Failed to refer patients to other health care providers if symptoms are known to be present for which physical therapy treatment is inadvisable or if symptoms indicate conditions for which treatment is outside the standards of practice as specified in the rules and regulations promulgated by the Board pursuant to the provisions of the Physical Therapy Practice Act;&nbsp;</span></p> <p><span class="cls0">4. Used drugs, narcotics, medication, or intoxicating liquors to an extent which affects the professional competency of the applicant or licensee;&nbsp;</span></p> <p><span class="cls0">5. Been convicted of a felony or of a crime involving moral turpitude;&nbsp;</span></p> <p><span class="cls0">6. Obtained or attempted to obtain a license as a physical therapist or physical therapist assistant by fraud or deception;&nbsp;</span></p> <p><span class="cls0">7. Been grossly negligent in the practice of physical therapy or in acting as a physical therapist assistant;&nbsp;</span></p> <p><span class="cls0">8. Been adjudged mentally incompetent by a court of competent jurisdiction and has not subsequently been lawfully declared sane;&nbsp;</span></p> <p><span class="cls0">9. Been guilty of conduct unbecoming a person licensed as a physical therapist or physical therapist assistant or guilty of conduct detrimental to the best interests of the public or the profession;&nbsp;</span></p> <p><span class="cls0">10. Been guilty of any act in conflict with the ethics of the profession of physical therapy; or&nbsp;</span></p> <p><span class="cls0">11. Had a license suspended or revoked in another state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 13, emerg. eff. May 26, 1965. Amended by Laws 1969, c. 345, &sect; 9; Laws 1987, c. 13, &sect; 11, eff. July 1, 1987; Laws 2008, c. 26, &sect; 1, emerg. eff. April 11, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59887.14. Titles and abbreviations.&nbsp;</span></p> <p><span class="cls0">Any person holding a license pursuant to the provisions of the Physical Therapy Practice Act as a physical therapist may use the title "Physical Therapist", "Registered Physical Therapist", or "Licensed Physical Therapist", or the letters "P.T.", "R.P.T.", or "L.P.T.", as authorized by the license obtained from the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 12, emerg. eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59887.15. Obtaining license by misrepresentations Penalty.&nbsp;</span></p> <p><span class="cls0">Any person who obtains, or attempts to obtain, licensure as a physical therapist or physical therapist assistant by any willful misrepresentation, grossly negligent misrepresentation, or any fraudulent misrepresentation, upon conviction, shall be guilty of a misdemeanor and shall be punished as required by the provisions of the Physical Therapy Practice Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 13, &sect; 13, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59887.16. Misrepresentations Penalties and actions.&nbsp;</span></p> <p><span class="cls0">A. No person shall advertise, in any manner, or otherwise represent himself as a physical therapist or physical therapist assistant or as a provider of physical therapy services unless such person is licensed pursuant to the provisions of the Physical Therapy Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Any person who violates any provision of the Physical Therapy Practice Act shall be found guilty of a misdemeanor and upon conviction shall be subject to punishment pursuant to the provisions of Section 491 of this title and to one or more of the following actions which may be taken by the State Board of Medical Examiners in consultation with the Physical Therapy Committee:&nbsp;</span></p> <p><span class="cls0">1. Revocation of license;&nbsp;</span></p> <p><span class="cls0">2. Suspension of license not to exceed six (6) months from the date of hearing;&nbsp;</span></p> <p><span class="cls0">3. Invocation of restrictions in the form of probation as defined by the Board; or&nbsp;</span></p> <p><span class="cls0">4. For emergency situations where the question of continued right to practice is a threat to public welfare, utilization of procedures as outlined in Section 481 et seq. of this title regarding physicians.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 16, emerg. eff. May 26, 1985. Amended by Laws 1987, c. 13, &sect; 14, eff. July 1, 1987.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-887.17. Referrals by physicians, surgeons, or assistants thereof - Exceptions.&nbsp;</span></p> <p><span class="cls0">A. 1. Any person licensed under the Physical Therapy Practice Act as a physical therapist or physical therapist assistant shall treat human ailments by physical therapy only under the referral of a person licensed as a physician or surgeon with unlimited license, or the physician assistant of the person so licensed, and Doctors of Dentistry, Chiropractic and Podiatry, with those referrals being limited to their respective areas of training and practice; provided, however, a physical therapist may provide services within the scope of physical therapy practice without a physician referral to children who receive physical therapy services pursuant to the Individuals with Disabilities Education Improvement Act of 2004, as may be amended, and the Rehabilitation Act of 1973, Section 504, as may be amended. Provided further, a plan of care developed by a person authorized to provide services within the scope of the Physical Therapy Practice Act shall be deemed to be a prescription for purposes of providing services pursuant to the provisions of the Individuals with Disabilities Education Improvement Act of 2004, as may be amended, and Section 504 of the Rehabilitation Act of 1973, as may be amended.&nbsp;</span></p> <p><span class="cls0">2. Nothing in the Physical Therapy Practice Act shall prevent a physical therapist from performing screening and educational procedures within the scope of physical therapy practice without a physician referral.&nbsp;</span></p> <p><span class="cls0">3. Nothing in the Physical Therapy Practice Act shall prevent a physical therapist from performing services that are provided for the purpose of fitness, wellness, or prevention that is not related to the treatment of an injury or ailment.&nbsp;</span></p> <p><span class="cls0">4. Nothing in the Physical Therapy Practice Act shall be construed as authorization for a physical therapist or physical therapist assistant to practice any branch of the healing art.&nbsp;</span></p> <p><span class="cls0">5. Any person violating the provisions of the Physical Therapy Practice Act shall be guilty of a misdemeanor as per Section 887.16 of this title.&nbsp;</span></p> <p><span class="cls0">B. 1. The provisions of the Physical Therapy Practice Act are not intended to limit the activities of persons legitimately engaged in the nontherapeutic administration of baths, massage, and normal exercise.&nbsp;</span></p> <p><span class="cls0">2. The Physical Therapy Practice Act shall not prohibit students who are enrolled in schools of physical therapy approved by the State Board of Medical Licensure and Supervision from performing such work as is incidental to their course of study; nor shall it prevent any student in any recognized school of the healing art in carrying out prescribed courses of study; provided such school is a recognized institution by the statutes of Oklahoma, and its practitioners are duly licensed as prescribed by law.&nbsp;</span></p> <p><span class="cls0">3. Nothing in the Physical Therapy Practice Act shall apply to any person employed by an agency, bureau, or division of the federal government while in the discharge of official duties, however, if such individual engages in the practice of physical therapy outside the line of official duty, the individual must be licensed as herein provided.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 153, &sect; 17, emerg. eff. May 26, 1965. Amended by Laws 1969, c. 345, &sect; 11; Laws 1987, c. 13, &sect; 16, eff. July 1, 1987; Laws 1987, c. 236, &sect; 196, emerg. eff. July 20, 1987; Laws 2003, c. 135, &sect; 1, eff. Nov. 1, 2003; Laws 2004, c. 543, &sect; 6, eff. July 1, 2004; Laws 2005, c. 84, &sect; 1, eff. Nov. 1, 2005; Laws 2008, c. 26, &sect; 2, emerg. eff. April 11, 2008; Laws 2012, c. 29, &sect; 2, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59887.18. Fees.&nbsp;</span></p> <p><span class="cls0">The Board shall prescribe and publish, in the manner established by its rules and regulations, fees in the amounts determined by the Board but not exceeding the following maximum amounts unless cost justification is present:&nbsp;</span></p> <p><span class="cls0">Physical Therapist Examination ..................$150.00&nbsp;</span></p> <p><span class="cls0">Physical Therapist Assistant Examination ........$100.00&nbsp;</span></p> <p><span class="cls0">Physical Therapist License&nbsp;</span></p> <p><span class="cls0"> and renewal thereof ........................... $50.00&nbsp;</span></p> <p><span class="cls0">Physical Therapist Assistant License&nbsp;</span></p> <p><span class="cls0"> and renewal thereof .......................... $35.00&nbsp;</span></p> <p><span class="cls0">Temporary Permit .................................$25.00&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 13, &sect; 15, eff. July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59888.1. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and cited as the "Occupational Therapy Practice Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 1, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.2. Purpose.&nbsp;</span></p> <p><span class="cls0">In order to safeguard the public health, safety and welfare, to protect the public from being misled by incompetent and unauthorized persons, to assure the highest degree of professional conduct on the part of occupational therapists and occupational therapy assistants, and to assure the availability of occupational therapy services of high quality to persons in need of such services, it is the purpose of this act to provide for the regulation of persons offering occupational therapy services to the public.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 2, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.3. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in this act:&nbsp;</span></p> <p><span class="cls0">1. "Occupational therapy" is a health profession for which practitioners provide assessment, treatment, and consultation through the use of purposeful activity with individuals who are limited by or at risk of physical illness or injury, psychosocial dysfunction, developmental or learning disabilities, poverty and cultural differences or the aging process, in order to maximize independence, prevent disability, and maintain health. Specific occupational therapy services include but are not limited to the use of media and methods such as instruction in daily living skills and cognitive retraining, facilitating selfmaintenance, work and leisure skills, using standardized or adapted techniques, designing, fabricating, and applying selected orthotic equipment or selective adaptive equipment with instructions, using therapeutically applied creative activities, exercise, and other media to enhance and restore functional performance, to administer and interpret tests which may include sensorimotor evaluation, psychosocial assessments, standardized or nonstandardized tests, to improve developmental skills, perceptual motor skills, and sensory integrative function, and to adapt the environment for the handicapped. These services are provided individually, in groups, or through social systems;&nbsp;</span></p> <p><span class="cls0">2. "Occupational therapist" means a person licensed to practice occupational therapy pursuant to the provisions of this act;&nbsp;</span></p> <p><span class="cls0">3. "Occupational therapy assistant" means a person licensed to provide occupational therapy treatment under the general supervision of a licensed occupational therapist;&nbsp;</span></p> <p><span class="cls0">4. "Occupational therapy aide" means a person who assists in the practice of occupational therapy and whose activities require an understanding of occupational therapy, but do not require the technical or professional training of an occupational therapist or occupational therapy assistant;&nbsp;</span></p> <p><span class="cls0">5. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">6. "Person" means any individual, partnership, unincorporated organization, or corporate body, except only an individual may be licensed pursuant to the provisions of this act; and&nbsp;</span></p> <p><span class="cls0">7. "Committee" means the Oklahoma Occupational Therapy Advisory Committee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 3, eff. Nov. 1, 1984. Amended by Laws 1987, c. 118, &sect; 46, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-888.4. License required - Application of act - Plan of care.&nbsp;</span></p> <p><span class="cls0">A. No person shall practice occupational therapy or hold himself or herself out as an occupational therapist, or as being able to practice occupational therapy, or to render occupational therapy services in this state unless he or she is licensed in accordance with the provisions of this act. The licensing provisions of this act shall not be applicable to a person who assists in the practice of occupational therapy as an occupational therapy aide.&nbsp;</span></p> <p><span class="cls0">B. The provisions of this act shall not be construed to authorize occupational therapists or occupational therapy assistants to practice medicine and surgery within the meaning of Section 492 of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. Notwithstanding any other provisions of this act, a plan of care developed by a person authorized to provide services within the scope of the Occupational Therapy Practice Act shall be deemed to be a prescription for purposes of providing services pursuant to the provisions of the Individuals with Disabilities Education Act, Amendment of 1997, Public Law 105-17, and Section 504 of the Rehabilitation Act of 1973.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1984, c. 119, &sect; 4, eff. Nov. 1, 1984. Amended by Laws 2004, c. 543, &sect; 7, eff. July 1, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59888.5. Practices, services and activities not prohibited.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall be construed to prevent or restrict the practice, services, or activities of:&nbsp;</span></p> <p><span class="cls0">1. Any persons of other licensed professions or personnel supervised by licensed professions in this state from performing work incidental to the practice of their profession or occupation, if that person does not represent himself as an occupational therapist or occupational therapy assistant;&nbsp;</span></p> <p><span class="cls0">2. Any person employed as an occupational therapist or occupational therapy assistant by the Government of the United States if such person provides occupational therapy solely under the direction or control of the organization by which he is employed;&nbsp;</span></p> <p><span class="cls0">3. Any person pursuing a course of study leading to a degree or certificate in occupational therapy at an accredited educational program if such activities and services constitute a part of a supervised course of study, if such a person is designated by a title which clearly indicates his status as a student or trainee;&nbsp;</span></p> <p><span class="cls0">4. Any person fulfilling the supervised field work experience requirements of Section 6 of this act, if such activities and services constitute a part of the experience necessary to meet the requirements of that section;&nbsp;</span></p> <p><span class="cls0">5. Any person performing occupational therapy services in this state, if services are performed for no more than ninety (90) days in a calendar year in association with an occupational therapist licensed pursuant to the provisions of this act, if:&nbsp;</span></p> <p><span class="cls0">a.&nbsp;&nbsp;such person is licensed according to the laws of another state which has licensure requirements equal to or surpassing the requirements of this act, or&nbsp;</span></p> <p><span class="cls0">b.&nbsp;&nbsp;such person is certified as an occupational therapist registered (O.T.R.) or a certified occupational therapy assistant (C.O.T.A.), by the American Occupational Therapy Association;&nbsp;</span></p> <p><span class="cls0">6. Any person employed or working under the direct supervision of an occupational therapist as an occupational therapy aide; or&nbsp;</span></p> <p><span class="cls0">7. A certified recreational therapist in the area of play and leisure.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 5, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.6. Application for license Information required.&nbsp;</span></p> <p><span class="cls0">An applicant applying for a license as an occupational therapist or as an occupational therapy assistant shall file written application on forms provided by the Board, as recommended by the Committee, showing to the satisfaction of the Board that he meets the following requirements:&nbsp;</span></p> <p><span class="cls0">1. Residence: Applicants need not be a resident of this state;&nbsp;</span></p> <p><span class="cls0">2. Character: Applicants shall be of good moral character;&nbsp;</span></p> <p><span class="cls0">3. Education: Applicants shall present evidence satisfactory to the Board of having successfully completed the academic requirements of an educational program in occupational therapy recognized by the Board, with concentration in biological or physical science, psychology and sociology, and with education in selected manual skills. For an occupational therapist the educational program shall be accredited by the Committee on Allied Health Education and Accreditation/American Medical Association in collaboration with the American Occupational Therapy Association. For an occupational therapy assistant, such a program shall be approved by the American Occupational Therapy Association;&nbsp;</span></p> <p><span class="cls0">4. Experience: Applicants shall submit to the Board evidence of having successfully completed a period of supervised field work experience at a recognized educational institution or a training program approved by the educational institution where he met the academic requirements. For an occupational therapist, a minimum of six (6) months of supervised field work experience is required. For an occupational therapy assistant, a minimum of two (2) months of supervised field work experience is required;&nbsp;</span></p> <p><span class="cls0">5. Examination: Applicants shall submit to the Board evidence of having successfully completed an examination as provided for in Section 7 of this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 6, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.7. Application for license Form Examination and reexamination.&nbsp;</span></p> <p><span class="cls0">A. A person applying for a license shall demonstrate his eligibility in accordance with the requirements of Section 6 of this act and shall make application for examination upon a form in such a manner as the Board shall prescribe. A person who fails the examination may make reapplication for reexamination accompanied by the prescribed fee.&nbsp;</span></p> <p><span class="cls0">B. Each applicant for licensure pursuant to the provisions of this act shall be examined by written examination to test his knowledge of the basic and clinical sciences relating to occupational therapy and occupational theory and practice, including the application of professional skills and judgment in the utilization of occupational therapy techniques and methods and such other subjects as the Board may deem useful to determine the applicant's fitness to practice. The Board shall approve an examination and establish standards for acceptable practice.&nbsp;</span></p> <p><span class="cls0">C. Applicants for licensure shall be examined at a time and place as the Board may determine. Applicants must pass the examination by a score determined by the Board. Examinations shall be given at least two times each year at such places as the Board may determine.&nbsp;</span></p> <p><span class="cls0">D. In case of failure of any examination the applicant shall have the privilege of a second examination on payment of the regular fees. In case of a second failure, the applicant shall be eligible for the third examination, but shall, in addition to the requirements for previous examinations have to wait a specific period as determined by the Board, not to exceed one (1) year, before reexamination. The waiting period may include completion of academic or clinical work as prescribed by rules promulgated by the Board. A temporary license may be issued pursuant to the provisions of Section 8 of this act. Further testing shall be at the discretion of the Board.&nbsp;</span></p> <p><span class="cls0">E. Applicants shall be given their examination scores in accordance with such rules and regulations as the Board may establish.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 7, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.8. Waiver of examination, education or experience requirements.&nbsp;</span></p> <p><span class="cls0">A. The Board shall waive the examination and grant a license to any person certified prior to the effective date of this act as an occupational therapist registered (O.T.R.) or a certified occupational therapy assistant (C.O.T.A.) by the American Occupational Therapy Association. The Board may waive the examination, education, or experience requirements and grant a license to any person so certified after the effective date of this act if the Board considers the requirements for such certification to be at least equivalent to the requirements for licensure in this act.&nbsp;</span></p> <p><span class="cls0">B. The Board may waive the examination, education, or experience requirements and grant a license to any applicant who shall present proof of current licensure as an occupational therapist or occupational therapy assistant in another state, the District of Columbia, or territory of the United States which requires standards of licensure considered by the Board to be at least equivalent to the requirements for licensure in this act.&nbsp;</span></p> <p><span class="cls0">C. An applicant may be licensed as an occupational therapist if he has first practiced as an occupational therapy assistant for four (4) years and has completed the requirements of paragraph 4 of Section 6 of this act before January 1, 1988, and has passed the examination for occupational therapist.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 8, eff. Nov. 1, 1984. Added by Laws 1984, c. 119, &sect; 8, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.9. Denial, refusal, suspension, revocation, censure, probation and reinstatement of license.&nbsp;</span></p> <p><span class="cls0">A. The Board may deny or refuse to renew a license, or may suspend or revoke a license, or may censure a licensee, publicly or otherwise, or may impose probationary conditions where the licensee or applicant for license has been guilty of unprofessional conduct which has endangered or is likely to endanger the health, welfare, or safety of the public. Such unprofessional conduct includes:&nbsp;</span></p> <p><span class="cls0">1. Obtaining a license by means of fraud, misrepresentation, or concealment of material facts;&nbsp;</span></p> <p><span class="cls0">2. Engaging in unprofessional conduct as defined by the rules established by the Board, or violating the Code of Ethics adopted and published by the Board;&nbsp;</span></p> <p><span class="cls0">3. Being convicted of any federal or state law, excepting any misdemeanor, traffic law or municipal ordinance;&nbsp;</span></p> <p><span class="cls0">4. Violating any lawful order, rule, or regulation rendered or adopted by the Board; and&nbsp;</span></p> <p><span class="cls0">5. Violating any provisions of this act.&nbsp;</span></p> <p><span class="cls0">B. Such denial, refusal to renew, suspension, revocation, censure, or imposition of probationary conditions upon a license may be ordered by the Board in a decision made after a hearing in the manner provided by the rules and regulations adopted by the Board. One (1) year from the date of the revocation, refusal of renewal, suspension, or probation of the license, application may be made to the Board for reinstatement. The Board shall have discretion to accept or reject an application for reinstatement and may, but shall not be required to, hold a hearing to consider such reinstatement.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 9, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.10. Renewal of license Continuing education.&nbsp;</span></p> <p><span class="cls0">A. Licenses under this act shall be subject to annual renewal and shall expire unless renewed in the manner prescribed by the rules and regulations of the Board, upon payment of a renewal fee provided for in Section 11 of this act. The Board may provide for the late renewal of a license upon payment of a late fee in accordance with its rules and regulations, but no such late renewal of a license may be granted more than five (5) years after its expiration. A hearing before the Board may be required in addition to a late fee.&nbsp;</span></p> <p><span class="cls0">B. A suspended license is subject to expiration and may be renewed as provided in this section, but such renewal shall not entitle the licensee, while the license remains suspended and until it is reinstated, to engage in the licensed activity, or in any conduct or activity in violation of the order or judgment by which the license was suspended. If a license revoked on disciplinary grounds is reinstated, the licensee as a condition of reinstatement, shall pay the renewal fee and any late fee that may be applicable.&nbsp;</span></p> <p><span class="cls0">C. The Board may establish continuing education requirements to facilitate the maintenance of current practice skills of all persons licensed under this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 10, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.11. Fees.&nbsp;</span></p> <p><span class="cls0">The Board shall prescribe and publish, in the manner established by its rules and regulations, fees in the amounts determined by the Board for the following:&nbsp;</span></p> <p><span class="cls0">1. Initial license fee not exceeding Fifty Dollars ($50.00);&nbsp;</span></p> <p><span class="cls0">2. Renewal of license fee not exceeding Twenty Dollars ($20.00); and&nbsp;</span></p> <p><span class="cls0">3. Late renewal fee not exceeding Twenty Dollars ($20.00).&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 11, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.12. Oklahoma Occupational Therapy Advisory Committee Creation Membership Term Vacancies Removal Liability.&nbsp;</span></p> <p><span class="cls0">An Oklahoma Occupational Therapy Advisory Committee of the State Board of Medical Licensure and Supervision is hereby created. The Committee shall consist of five (5) members appointed by the Board, upon recommendation of the Oklahoma Occupational Therapy Association, for staggered terms of three (3) years, except for the first Committee appointed hereunder. Three members shall be occupational therapists with at least five (5) years' experience, one member shall be an occupational therapy assistant with at least three (3) years' experience, and one member shall be a consumer. All of the therapists shall be licensed except for the first members of the Committee who shall be licensed as soon after their appointments as possible. Said licensing shall take place within ninety (90) days after this act becomes effective.&nbsp;</span></p> <p><span class="cls0">The terms of the members shall be for three (3) years and until their successors are appointed and qualify; except of those first appointed, one shall serve for one (1) year, one shall serve for two (2) years, and three shall serve for three (3) years. Vacancies shall be filled in the manner of the original appointment for the unexpired portion of the term only. The Board after notice and opportunity for hearing may remove any member of the Committee for neglect of duty, incompetence, revocation or suspension of license, or other dishonorable conduct. A member of the Committee is not liable to civil action for any act performed in good faith in the execution of his duties in this capacity.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 12, eff. Nov. 1, 1984. Amended by Laws 1987, c. 118, &sect; 47, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59888.13. Oklahoma Occupational Therapy Advisory Committee Officers Meetings Rules Records Expenses.&nbsp;</span></p> <p><span class="cls0">A. The members of the Oklahoma Occupational Therapy Advisory Committee shall elect from their number a chairman. Special meetings of the Committee shall be called by the chairman on the written request of any three members. The Committee shall recommend to the Board for adoption rules as necessary to govern its proceedings and implement the purposes of this act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall keep a written record of each meeting of the Committee and maintain a register containing names of all occupational therapists licensed under this act, which shall be at all times open to public inspection. On March 1, of each year, the Board shall transmit an official copy of the list of licensees to the Secretary of State for permanent record, a certified copy of which shall be admissible as evidence in any court in the state.&nbsp;</span></p> <p><span class="cls0">C. Members of the Committee shall be reimbursed for all actual and necessary expenses incurred in the performance of duties required by this act in accordance with the provisions of the State Travel Reimbursement Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 13, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.14. Powers and duties of Committee.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Occupational Therapy Advisory Committee shall recommend to the Board for approval a list of applicants for licenses at least twice each year at such reasonable times and places as shall be designated by the Board in its discretion.&nbsp;</span></p> <p><span class="cls0">B. The Board shall approve the examination as described in Section 7 of this act.&nbsp;</span></p> <p><span class="cls0">C. The Board may investigate complaints, issue, suspend, deny, and revoke licenses, reprimand licensees and place them on probation, issue subpoenas, and hold hearings.&nbsp;</span></p> <p><span class="cls0">D. The Committee shall propose rules to the Board consistent with this act to carry out its duties in administering this act.&nbsp;</span></p> <p><span class="cls0">E. The Board may hire individuals as it deems necessary to implement the purposes of this act.&nbsp;</span></p> <p><span class="cls0">F. The Board shall assist the proper legal authorities in the prosecution of all persons violating any provisions of this act.&nbsp;</span></p> <p><span class="cls0">G. The Board shall issue a license to any person who meets the requirements of this act upon payment of the prescribed license fee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 14, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59888.15. Titles and abbreviations Misrepresentation Penalties.&nbsp;</span></p> <p><span class="cls0">A. Any person holding a license as occupational therapist issued by the Board may use the title "Occupational Therapist", "Registered Occupational Therapist", or "Licensed Occupational Therapist", or the letters "O.T.", "O.T.R.", or "O.T.R./L.". Any person holding a license as an occupational therapy assistant issued by the Board may use the title "Occupational Therapy Assistant", "Certified Occupational Therapy Assistant", or "Licensed Occupational Therapy Assistant" or use the letters "O.T.A.", "C.O.T.A.", or "O.T.A./L.". No other person shall in any way, orally or in writing, in print, or by sign or transmission of sound or sight, directly or by implication, represent himself as an occupational therapist. Such misrepresentation, upon conviction, shall constitute a misdemeanor and shall be punishable as herein provided; provided, however, that nothing in this act shall prohibit any person who does not in any way assume or represent himself to be an occupational therapist, registered occupational therapist, licensed occupational therapist, occupational therapy assistant, certified occupational therapy assistant, or licensed occupational therapy assistant, from doing other types of therapies as may be authorized by law.&nbsp;</span></p> <p><span class="cls0">B. Any person who obtains, or attempts to obtain, licensure as an occupational therapist or occupational therapy assistant by any willful misrepresentation, grossly negligent misrepresentation, or any fraudulent misrepresentation, upon conviction, shall be guilty of a misdemeanor and punishable as herein set forth.&nbsp;</span></p> <p><span class="cls0">C. Any person who violates any provisions of this act, upon conviction, shall be guilty of a misdemeanor, and shall be punished by a fine of not less than Fifty Dollars ($50.00) nor more than Five Hundred Dollars ($500.00) or by imprisonment in the county jail in the county in which such conviction occurred for not less than five (5) days nor more than thirty (30) days, or by both such fine and imprisonment. Each day upon which this act shall be violated shall constitute a separate offense and shall be punishable as such.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 119, &sect; 15, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59941. Declaration of policy.&nbsp;</span></p> <p><span class="cls0">It is the public policy of the State of Oklahoma that the citizens of Oklahoma shall receive the best possible visual care, through the efforts of well trained and qualified physicians licensed under Chapter 11, Title 59, Oklahoma Statutes and optometrists licensed under Chapter 13, of Title 59, Oklahoma Statutes and that no unqualified person shall be permitted to visually correct for compensation the eyes of another.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1953, p. 271, &sect; 1. &nbsp;</span></p> <p><span class="cls0">&sect;59-942. Acts by unlicensed persons prohibited - Permissible acts on prescription - Repairs.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person, firm, corporation, company, or partnership not licensed pursuant to the provisions of Chapter 11, Chapter 13 or Chapter 14 of this title, to:&nbsp;</span></p> <p><span class="cls0">1. Fit, adjust, adapt, or to in any manner apply lenses, frames, prisms, or any other optical appliances to the face of a person;&nbsp;</span></p> <p><span class="cls0">2. Duplicate or attempt to duplicate, or to place or replace into the frames, any lenses or other optical appliances which have been prescribed, fitted, or adjusted for visual correction, or which are intended to aid human vision;&nbsp;</span></p> <p><span class="cls0">3. Give any treatment or training designed to aid human vision; or&nbsp;</span></p> <p><span class="cls0">4. Represent or hold oneself out to the public as being qualified to do any of the acts listed in this section.&nbsp;</span></p> <p><span class="cls0">B. 1. Persons licensed pursuant to the provisions of Chapters 11, 13 or 14 of this title may in a written prescription, or its duplicate, authorize any optical supplier to interpret the prescription. The optical supplier:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;may, in accordance with a written prescription or its duplicate, measure, adapt, fit, prepare, dispense, or adjust such lenses, spectacles, eyeglasses, prisms, tinted lenses, frames or appurtenances thereto, to the human face for the aid or correction of visual or ocular anomalies of the human eye, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;may continue to do such acts upon a written prescription, or its duplicate.&nbsp;</span></p> <p><span class="cls0">2. The physician or optometrist writing such prescription shall remain responsible for the full effect of the appliances so furnished by the other person.&nbsp;</span></p> <p><span class="cls0">C. 1. It is hereby prohibited and declared contrary to the public health and public policy of this state to dispense, supply, fit, adjust, adapt, or in any manner apply contact lenses to the eyes of a person whether or not those contact lenses are designed to aid or correct human vision or are plano or cosmetic contact lenses, without a prescription issued by a person licensed pursuant to Chapter 11, Chapter 13 or Chapter 14 of this title.&nbsp;</span></p> <p><span class="cls0">2. The Board of Examiners in Optometry may secure an injunction, without bond, in the district courts to prevent the dispensing, supplying, fitting, adjusting, or adapting of any contact lens without a prescription.&nbsp;</span></p> <p><span class="cls0">3. As used in this section, &ldquo;plano&rdquo; means a contact lens with no prescription power.&nbsp;</span></p> <p><span class="cls0">D. The provisions of this section shall not prevent a qualified person from making repairs to eyeglasses.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1953, p. 271, &sect; 2. Amended by Laws 2003, c. 47, &sect; 1, emerg. eff. April 7, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59943.1. Advertisement of ophthalmic lenses, frames, eyeglasses, spectacles or parts.&nbsp;</span></p> <p><span class="cls0">Section 943.1 A. No person, firm or corporation shall publish or display, or cause or permit to be published or displayed in any newspaper or by radio, television, window display, poster, sign, billboard or any other means, any statement or advertisement concerning ophthalmic lenses, frames, eyeglasses, spectacles or parts thereof, that is fraudulent, deceitful or misleading, including statements or advertisements of discount, premiums, price, gifts or any statements or advertisements of a similar nature, import or meaning or which is likely to mislead or deceive because in context it makes only a partial disclosure of relevant facts.&nbsp;</span></p> <p><span class="cls0">B. No person, firm or corporation shall publish or display or cause or permit to be published or displayed in any newspaper, or by radio, television, window display, poster, sign, billboard or any other means of media, any statement or advertisement of or reference to the price or prices of any eyeglasses, spectacles, lenses, frames or any other optical device or materials or parts thereof requiring a prescription from a licensed physician or optometrist unless such person, firm or corporation complies with the provisions of subsections C through E of this section.&nbsp;</span></p> <p><span class="cls0">C. Any advertisement or statement published or displayed that contains the price of an item in any of the following categories:&nbsp;</span></p> <p><span class="cls0">1. Single vision lenses;&nbsp;</span></p> <p><span class="cls0">2. Kryptok bifocal lenses;&nbsp;</span></p> <p><span class="cls0">3. Regular bifocal lenses;&nbsp;</span></p> <p><span class="cls0">4. Trifocal lenses;&nbsp;</span></p> <p><span class="cls0">5. Aphakic lenses;&nbsp;</span></p> <p><span class="cls0">6. Prism lenses;&nbsp;</span></p> <p><span class="cls0">7. Double segment bifocal lenses;&nbsp;</span></p> <p><span class="cls0">8. Subnormal vision lenses;&nbsp;</span></p> <p><span class="cls0">9. Tinted lenses; and&nbsp;</span></p> <p><span class="cls0">10. Frames;&nbsp;</span></p> <p><span class="cls0">or any other items advertised shall also contain the prices of all items in the same category. All items and prices shall be published or displayed with equal prominence. No advertisement that shows the price of items listed in the categories shown above shall contain any language which directly or indirectly compares the prices so quoted with any other prices of similar items. In showing the price of all items in any category, it shall be permissible to combine two or more categories into one general category of "all other lenses" and designate the price thereby of "up to $_____," which represents the highest price of any lenses included within this combined general category. Should there be a category in which two or more price differentials exist, it shall be permissible for the category to have a single listing in the advertisement with the lowest and the highest price in the category designated.&nbsp;</span></p> <p><span class="cls0">D. In the event the dispensing optician owns more than one office, the prices for all eyeglasses, spectacles, lenses, frames or other optical devices or materials or parts thereof in the same category shall be the same in all offices located within the same county or city regardless of the name under which the dispensing optician operates the offices.&nbsp;</span></p> <p><span class="cls0">E. All items advertised by price in accordance with this section shall be available at the advertised price without limit to quantity unless the advertisement contained quantity limitations to all persons including, but not limited to, individuals, physicians, optometrists and dispensing opticians.&nbsp;</span></p> <p><span class="cls0">F. Any advertisement quoting a price or prices of spectacles, eyeglasses and other optical appliances only, shall contain a readily legible statement that the quoted price or prices "Does not include professional services of an examining optometrist or physician."&nbsp;</span></p> <p><span class="cls0">G. Dispensers of optical appliances or devices are subject to the Oklahoma Deceptive Trade Practices Act, as provided in Sections 51 through 55 of Title 78 of the Oklahoma Statutes, and in addition to the civil remedies provided therein, it shall be a misdemeanor for any dispenser of optical appliances or devices as defined herein to knowingly commit a deceptive trade practice as defined in the Oklahoma Deceptive Trade Practices Act.&nbsp;</span></p> <p><span class="cls0">H. A person who violates any provision of this act is guilty of a misdemeanor and upon conviction is punishable by a fine of not less than Fifty Dollars ($50.00) nor more than Five Hundred Dollars ($500.00) or by confinement in the county jail for not less than two (2) months nor more than six (6) months, or both. A separate offense is committed each day a violation of this act occurs or continues. Should the violator be an optometrist, such violation also constitutes grounds for revocation of his license to practice optometry. Provided, however, the owner, officer or employee of any advertising media, not otherwise having a pecuniary interest in any advertising authorized by the provisions of this act, shall not be guilty of the misdemeanor hereinabove defined by reason of the publishing or other delivery of any advertising furnished by a vendor of the service or material so advertised.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 37, &sect; 2. &nbsp;</span></p> <p><span class="cls0">&sect;59943.2. Prescriptions for spectacles or eyeglasses Copies.&nbsp;</span></p> <p><span class="cls0">Any person who requests a copy of his prescription for spectacles or eyeglasses, following an eye examination by a person licensed under Sections 481 through 518 or Sections 581 through 606 of Title 59, shall be provided a written, signed copy of such prescription. No extra charge shall be made for the prescription if the patient chooses to take the prescription elsewhere. The examining optometrist or physician shall not be responsible for the accuracy of the optical materials furnished by another person.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 37, &sect; 3. &nbsp;</span></p> <p><span class="cls0">&sect;59943.3. Standards Eyeglasses, spectacles, lenses or other optical devices or parts.&nbsp;</span></p> <p><span class="cls0">All eyeglasses, spectacles, lenses or other optical devices or materials or parts thereof shall conform to standards of quality as promulgated by the American Standards Association, Inc. and commonly known as Z80.1 1964 Standards, as amended.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 37, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59944. Rebates, kickbacks, etc. Permitting solicitation Acts as employee or associate Renting space or subleasing departments.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any optometrist, physician or other person doing, or purporting or pretending to do eye examination or visual correction to receive or accept any rebate, kickback, reward or premium from any optical company or any other person, firm or corporation dealing in optical goods, appliances or materials, or knowingly allow or permit any person engaged in or interested in the sale of such optical goods, appliances, or materials, to solicit business for any person licensed under the provisions of Chapters 11 or 13 of Title 59, Oklahoma Statutes. It shall be unlawful for any optometrist, physician, or other person to make an eye examination, or do visual correction in any manner, either directly or indirectly as an employee or associate of a person, firm, corporation, lay body, organization, group or lay person and it shall be likewise unlawful for any corporation, lay body, organization, group or lay person in any manner to make an eye examination or perform any visual correction through the means of engaging the services on a salary, commission or any other compensatory basis of a person licensed under the provisions of Chapters 11 or 13 of Title 59, Oklahoma Statutes 1951, provided that this sentence shall not apply to the University of Oklahoma School of Medicine and Hospitals, or to a bona fide resident physician of a licensed hospital. No person, firm, or corporation engaged in the business of retailing merchandise to the general public shall rent space, sublease departments, or otherwise permit any person purporting to do eye examination or visual care to occupy space in such retail store. Nothing in this section shall prohibit a person licensed under Chapter 11 or Chapter 13 of Title 59, Oklahoma Statutes, from organizing or maintaining a professional association with other persons so licensed.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1953, p. 272, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59945. Discrimination between licensees by public officers and agencies Sending resident out of state for services.&nbsp;</span></p> <p><span class="cls0">No department, commission, board, official, employee, or agency of the State of Oklahoma, or of any county, municipality or other subdivision of the State of Oklahoma shall, in the performance of its duties and functions in obtaining examination for refractions and visual training or correction for citizens of this state discriminate between persons licensed to perform examination for refraction and visual training or correction within the field for which their respective license entitle them to practice; and no such department, commission, board, official or agency of the state, county, municipality, or other subdivision shall send any resident of the State of Oklahoma out of this state to receive or be furnished such services. This section shall have no application with respect to any person confined in the Oklahoma Medical Center.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1988, c. 326, &sect; 31, emerg. eff. July 13, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59946. Violations Punishment Injunction.&nbsp;</span></p> <p><span class="cls0">Any person, firm, company, corporation, or partnership violating any of the provisions, of this act shall be guilty of a misdemeanor and upon conviction thereof shall be punished for each such offense, as provided by law, and in addition thereto may be enjoined by a court of competent jurisdiction for any further violations of the provisions of this act. It shall be the mandatory duty of the district attorneys of the respective counties to bring such injunction suits when a verified complaint is filed with such district attorney alleging any violations of this act. This act shall not supercede other laws, but shall be cumulative to other statutes of the State of Oklahoma.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1953, p. 273, &sect; 6. &nbsp;</span></p> <p><span class="cls0">&sect;59947. Provisions inapplicable to osteopaths.&nbsp;</span></p> <p><span class="cls0">The provisions of Sections 1, 2 and 6 of this act shall not extend, limit or affect the legal scope of practice of persons licensed under the provisions of Chapter 14, Title 59, Oklahoma Statutes 1951.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1953, p. 273, &sect; 8. &nbsp;</span></p> <p><span class="cls0">&sect;59981. Citation.&nbsp;</span></p> <p><span class="cls0">This act shall be known as the "Oklahoma Public Auction Law".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 332, &sect; 1. &nbsp;</span></p> <p><span class="cls0">&sect;59982. Definitions.&nbsp;</span></p> <p><span class="cls0">The words "public auction sales" when used in this act, shall mean the offering for sale or selling of new goods, wares or merchandise to the highest bidder or offering for sale or selling of new goods, wares or merchandise at a high price and then offering the same at successive lower prices until a buyer is secured.&nbsp;</span></p> <p><span class="cls0">The words "new goods, wares and merchandise", when used in this act, shall mean and include all goods, wares and merchandise not previously sold at retail.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 332, &sect; 2. &nbsp;</span></p> <p><span class="cls0">&sect;59983. Sale of new goods, wares or merchandise at public auction License.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any person, firm or corporation to sell, dispose of, or offer for sale at public auction in the State of Oklahoma any new goods, wares or merchandise, unless such person, firm or corporation, and the owners of such new goods, wares or merchandise to be offered for sale or sold if such are not owned by the vendors, shall have first secured a license as herein provided and shall have complied with the other requirements of this act herein set forth.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 332, &sect; 3. &nbsp;</span></p> <p><span class="cls0">&sect;59984. Application for license Contents.&nbsp;</span></p> <p><span class="cls0">Any person, firm or corporation desiring to offer any new goods, wares or merchandise for sale at public auction shall file application for a license for that purpose with the treasurer of the county in this state in which the said auction is proposed to be held. The application shall be filed not less than ten (10) full days prior to the date the said auction is to be held. The application shall state the following facts:&nbsp;</span></p> <p><span class="cls0">(a) The name, residence and post office address of the person, firm or corporation making the application, and if a firm or corporation, the name and address of the members of the firm or officers of the corporation, as the case may be.&nbsp;</span></p> <p><span class="cls0">(b) If the applicant is a corporation then there shall be stated on the application form the date of incorporation, the state of incorporation and if for a corporation formed in a state other than the State of Oklahoma the date on which such corporation qualified to do business as a foreign corporation in the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">(c) The name, residence and post office address of the auctioneer who will conduct such auction sale.&nbsp;</span></p> <p><span class="cls0">(d) A detailed inventory and description of all such new goods, wares or merchandise to be offered for sale at such auction which inventory shall set forth the cost to the applicant of the several items contained in such inventory.&nbsp;</span></p> <p><span class="cls0">(e) Attached to the application shall be a copy of a notice, which ten (10) days before the said application has been filed, shall have been mailed registered mail by the proposed seller to the Tax Commission of the State of Oklahoma of such other department as may be charged with the duty of collecting gross income taxes or such other taxes of a comparable nature or which may be in lieu of such gross income taxes. The said notice must state the precise time and place where the said auction is to be held, the approximate value of the new goods, wares or merchandise to be offered for sale or sold and such other information as the Tax Commission of the State of Oklahoma or its successor may request or by regulation require.&nbsp;</span></p> <p><span class="cls0">(f) The number of days on which said auction will be held.&nbsp;</span></p> <p><span class="cls0">(g) The said application shall be verified.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 332, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59985. Bonds Service of process.&nbsp;</span></p> <p><span class="cls0">At the time of filing said application, and as a part thereof, the applicant shall file and deposit with the said county treasurer a bond, with sureties to be approved by the said county treasurer, in the penal sum of two times the value of the merchandise proposed to be offered for sale at public auction as shown by the inventory filed, running to the State of Oklahoma, and for the use and benefit of any purchaser of any such new goods, wares or merchandise at the said auction who might have a cause of action of any nature arising from or out of a sale or sales at such auction or against the applicant or against the auctioneer; the said bond shall be further conditioned on the payment by the applicant of all taxes that may be payable by or due from, the applicant to the State of Oklahoma or any department thereof or any subdivision of the State of Oklahoma, municipal or otherwise, the payment of any fines that may be assessed by any court against the applicant or against the auctioneer for violation of the provisions of this act, and the satisfaction of all causes of action commenced within one (1) year from the date that such sale is made at any such auction and arising therefrom provided, however, that the aggregate liability of the surety for all said taxes, fines, and causes of action shall in no event exceed the sum of such bond but there shall be no limitation of liability against the owners of the new goods, wares and merchandise or the auctioneer or the applicant for the license.&nbsp;</span></p> <p><span class="cls0">In such bond the applicant and surety shall appoint the treasurer of said county in which said bond is filed the agent of the applicant and the surety for the service of process. At the time that said bond is filed and deposited with the county treasurer as herein provided the auctioneer shall appoint the said county treasurer the agent of the auctioneer for the service of process. In the event of such service of process, the agent on whom such service is made shall, within five (5) days after the service, mail by ordinary mail a true copy of the process served upon him to each party for whom he has been served, addressed to the last known address of such party. Failure to so mail said copy shall not, however, affect the court's jurisdiction.&nbsp;</span></p> <p><span class="cls0">The State of Oklahoma or any department or subdivision, municipal or otherwise, thereof, or any person having a cause of action arising out of any sale of such new goods, wares or merchandise may join the applicant and the surety on such bond and the auctioneer in the same action, or may in such action due either such applicant or the surety or the auctioneer alone.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 333, &sect; 5. &nbsp;</span></p> <p><span class="cls0">&sect;59986. License fee.&nbsp;</span></p> <p><span class="cls0">The applicant desiring to file an application with the treasurer for a license to conduct a public auction shall pay to the treasurer of such county in which the said application is made, a license fee of Fifty Dollars ($50.00) per day for each day that he proposes to conduct a public auction.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 334, &sect; 6. &nbsp;</span></p> <p><span class="cls0">&sect;59987. Issuance of license.&nbsp;</span></p> <p><span class="cls0">Upon the filing of such application and after the applicant has established that he has fully complied with all the provisions of this act, the treasurer of said county, shall issue to the applicant a license authorizing the said applicant to conduct a public auction as proposed in said application; such license shall not be transferable and shall be valid only in the county where issued and shall not be valid in any town or city which has enacted an ordinance licensing public auction sales unless a license is also obtained from such city or town. No license shall be good for more than one person, unless such persons shall be copartners nor for more than one place in said county.&nbsp;</span></p> <p><span class="cls0">The treasurer shall keep a record of such licenses in a book provided for that purpose, which shall at all times be open to public inspection.&nbsp;</span></p> <p><span class="cls0">No particular form of license shall be required to be issued by said treasurer. However, any license issued shall state the name of the person, firm or corporation which is licensed, the precise place at which such auction sale is to be held and the number of days for which the license is issued.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 334, &sect; 7. &nbsp;</span></p> <p><span class="cls0">&sect;59988. Filing of inventory of merchandise sold Prices.&nbsp;</span></p> <p><span class="cls0">Within ten (10) days after the last day of said auction sale, the applicant shall file in duplicate with the county treasurer an inventory of all merchandise sold at such auction and the price received therefor, which inventory shall be verified by the person who filed the application for the license with the said auditor. The county treasurer shall immediately after receiving such report and inventory forward a copy thereof to the Tax Commission of the State of Oklahoma or its successor.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 334, &sect; 8. &nbsp;</span></p> <p><span class="cls0">&sect;59989. Penalties.&nbsp;</span></p> <p><span class="cls0">Every person, firm or corporation, either as principal or agent, who shall in any manner engage in, or conduct a public auction sale, without having first obtained a license as hereinbefore provided, or who shall knowingly advertise, represent or hold forth any sale of goods, wares or merchandise to be conducted contrary to the provisions of this act shall be deemed guilty of a misdemeanor and shall upon conviction thereof be fined in any sum not less than Two Hundred Dollars ($200.00) and not more than One Thousand Dollars ($1,000.00), to which may be added imprisonment of not less than thirty (30) days and not more than one hundred eighty (180) days .&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 334, &sect; 9. &nbsp;</span></p> <p><span class="cls0">&sect;59990. Sales exempt.&nbsp;</span></p> <p><span class="cls0">The provisions of this act shall not extend to the sale at public auction of livestock, real estate, farm machinery or farm produce or other items commonly sold at farm sales, community sales, or to auction sales by individuals of new merchandise, which was assessed personal property tax or is replacement stock of merchandise inventory which was assessed personal property tax in the county in which the sale is to be had, nor to a bona fide sale of goods, wares and merchandise by sample for future delivery, or by sales made by sheriffs, constables or other public officers selling goods, wares and merchandise according to law, nor to bona fide assignees or receivers appointed in this state selling goods, wares and merchandise for the benefit of creditors, provided further, nothing in this act shall prevent a person, firm or corporation registered hereunder and operating in more than one county, from selling all his goods in either county if said goods are duly assessed in one of said counties.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 334, &sect; 10. &nbsp;</span></p> <p><span class="cls0">&sect;59991. Regulation by cities and towns.&nbsp;</span></p> <p><span class="cls0">The towns and cities of the State of Oklahoma are hereby given full power and authority to tax, license and regulate persons, firms or corporations engaging in or desiring to engage in public auctions, and may require a license and charge a fee therefor; but such license fee shall not exceed the amount provided in this act for a county license but shall be in addition thereto and such towns and cities may provide for penalties for violations of said ordinance. A city or town license shall not be in lieu of a county license.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 334, &sect; 11. &nbsp;</span></p> <p><span class="cls0">&sect;59992. Law governing.&nbsp;</span></p> <p><span class="cls0">Insofar as the provisions of Section 11 of this act are in conflict with Section 651 or Section 1105 of Title 11, Oklahoma Statutes 1951, or any other prior legislative enactment, the provisions of Section 11 hereof shall prevail.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 335, &sect; 12. &nbsp;</span></p> <p><span class="cls0">&sect;59993. Partial invalidity.&nbsp;</span></p> <p><span class="cls0">If any section, subsection, paragraph, sentence, clause or phrase of this act is for any reason held to be unconstitutional or invalid, such unconstitutionality or invalidity shall not affect the constitutionality or validity of the remaining portion or portions of this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 335, &sect; 13. &nbsp;</span></p> <p><span class="cls0">&sect;59-1000.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1000.1 through 1000.9 of this title shall be known and may be cited as the "Construction Industries Board Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 1, eff. July 1, 2001. Amended by Laws 2013, c. 332, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.2. See the following versions:&nbsp;</span></p> <p><span class="cls0">OS 59-1000.2v1 (HB 1686, Laws 2013, c. 292, &sect; 1).&nbsp;</span></p> <p><span class="cls0">OS 59-1000.2v2 (SB 1022, Laws 2013, c. 332, &sect; 2).&nbsp;</span></p> <p><span class="cls0">&sect;59-1000.2v1. Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board is hereby re-created to continue until July 1, 2017, in accordance with the provisions of the Oklahoma Sunset Law. Beginning January 1, 2002, the Board shall regulate the plumbing, electrical and mechanical trades, and building and construction inspectors through the powers and duties set forth in the Construction Industries Board Act and in the respective licensing acts for such trades.&nbsp;</span></p> <p><span class="cls0">B. 1. Beginning July 1, 2008, the Board shall be composed of seven (7) members appointed by the Governor with the advice and consent of the Senate, as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;two members shall have at least ten (10) years' experience in the plumbing trade, of which one shall be a plumbing contractor and one shall be a journeyman plumber,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;two members shall have at least ten (10) years' experience in the electrical trade, of which one shall be an electrical contractor and one shall be a journeyman electrician,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;two members shall have at least ten (10) years' experience in the mechanical trade, of which one shall be a mechanical contractor and one shall be a mechanical journeyman, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;one member shall have at least ten (10) years' experience as a building and construction inspector and shall be from a list recommended by a statewide organization of municipal governments.&nbsp;</span></p> <p><span class="cls0">2. Members shall be appointed for terms of four (4) years; provided, of those members initially appointed to the Board, five members shall be appointed for two-year terms, beginning September 1, 2001, and four members shall be appointed for four-year terms, beginning September 1, 2001, as designated by the Governor. Members shall continue in office until a successor is appointed by the Governor. The Governor shall fill all vacancies and unexpired terms in the same manner as the original appointment of the member whose position is to be filled. Such members may be removed by the Governor for cause.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 2, eff. July 1, 2001. Amended by Laws 2003, c. 318, &sect; 3, eff. Nov. 1, 2003; Laws 2007, c. 87, &sect; 1; Laws 2008, c. 405, &sect; 10, emerg. eff. June 3, 2008; Laws 2013, c. 292, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.2v2. Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board is hereby created to continue until July 1, 2016, in accordance with the provisions of the Oklahoma Sunset Law. The Board shall regulate the plumbing, electrical and mechanical trades, the building and construction inspectors, and the roofing contractors through the powers and duties set forth in the Construction Industries Board Act and in the respective licensing or registration acts for such trades, or as otherwise provided by law.&nbsp;</span></p> <p><span class="cls0">B. 1. Beginning July 1, 2013, the Board shall be composed of seven (7) members appointed by the Governor with the advice and consent of the Senate, as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;two members shall have at least ten (10) years' experience in the plumbing trade, of which one shall be a plumbing contractor and one shall be a journeyman plumber,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;two members shall have at least ten (10) years' experience in the electrical trade, of which one shall be an electrical contractor and one shall be a journeyman electrician,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;two members shall have at least ten (10) years' experience in the mechanical trade, of which one shall be a mechanical contractor and one shall be a mechanical journeyman, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;one member shall have at least ten (10) years' experience as a building and construction inspector.&nbsp;</span></p> <p><span class="cls0">2. Members shall be appointed for staggered terms of four (4) years, as designated by the Governor. Members shall continue in office until a successor is appointed by the Governor. The Governor shall fill all vacancies and unexpired terms in the same manner as the original appointment of the member whose position is to be filled. A member may be removed by the Governor at any time.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 2, eff. July 1, 2001. Amended by Laws 2003, c. 318, &sect; 3, eff. Nov. 1, 2003; Laws 2007, c. 87, &sect; 1; Laws 2008, c. 405, &sect; 10, emerg. eff. June 3, 2008; Laws 2013, c. 332, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.3. Board meetings.&nbsp;</span></p> <p><span class="cls0">A. 1. The Construction Industries Board shall organize on September 1 each year, by electing from among its members a chair and a vice-chair. The Board shall hold regularly scheduled meetings at least once each quarter at a time and place determined by the Board and may hold special meetings, emergency meetings, or continued or reconvened meetings as found by the Board to be necessary. A majority of the members of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">2. The chair shall preside at meetings of the Board, set the agenda, sign orders and other required documents, coordinate Board activities, and perform such other duties as may be prescribed by the Board or authorized by law.&nbsp;</span></p> <p><span class="cls0">3. The vice-chair shall perform the duties of the chair during the absence or disability of the chair and shall perform such other duties as may be prescribed by the Board or authorized by law.&nbsp;</span></p> <p><span class="cls0">4. The Construction Industries Administrator, at the discretion of the Board shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;keep a record of all proceedings of the Board and certify to actions of the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;oversee the receipt and deposit of all monies received by the Board in the appropriate revolving funds,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;submit, at the first regular meeting of the Board after the end of each fiscal year, a full itemized report of the receipts and disbursements for the prior fiscal year, showing the amount of funds on hand, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;perform such other duties as are prescribed in the Construction Industries Board Act or as may be prescribed by the Board or required by law.&nbsp;</span></p> <p><span class="cls0">B. The Board shall act in accordance with the provisions of the Oklahoma Open Meeting Act, the Oklahoma Open Records Act, and the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. All members of the Board and such employees as determined by the Board shall be bonded as required by Sections 85.26 through 85.31 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">D. The liability of any member or employee of the Board acting within the scope of Board duties or employment shall be governed by The Governmental Tort Claims Act.&nbsp;</span></p> <p><span class="cls0">E. Members of the Board shall serve without compensation but shall be reimbursed for all actual and necessary expenses incurred in the performance of their duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 3, eff. July 1, 2001. Amended by Laws 2013, c. 332, &sect; 3.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.4. Rules - Powers and duties - Fines, penalties, and fees - Appeals.&nbsp;</span></p> <p><span class="cls0">A. 1. Pursuant to and in compliance with Article I of the Administrative Procedures Act, the Construction Industries Board shall have the power to adopt, amend, repeal, and promulgate rules as may be necessary to regulate the plumbing, electrical and mechanical trades, building and construction inspectors and home inspectors. All rules promulgated by the Board shall be reviewed and approved as provided in subsection F of Section 308 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">2. The Board shall have the power to enforce the provisions of the Construction Industries Board Act, The Plumbing License Law of 1955, the Oklahoma Inspectors Act, the Electrical License Act, the Mechanical Licensing Act, the Home Inspection Licensing Act, and the Roofing Contractor Registration Act, as provided in the respective acts.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the following powers:&nbsp;</span></p> <p><span class="cls0">1. Exercise all incidental powers and duties which are necessary to effectuate the provisions of The Plumbing License Law of 1955, the Oklahoma Inspectors Act, the Electrical License Act, the Mechanical Licensing Act, and the Home Inspection Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. Serve as a code variance and appeals board for the trades and industries it regulates which do not have statutory code variance and appeals boards;&nbsp;</span></p> <p><span class="cls0">3. Order or subpoena the attendance of witnesses, the inspection of records and premises, and the production of relevant books and papers for the investigation of matters that may come before the Board;&nbsp;</span></p> <p><span class="cls0">4. Initiate disciplinary proceedings, request prosecution of and initiate injunctive proceedings against any person who violates any of the provisions of the Plumbing License Law of 1955, the Oklahoma Inspectors Act, the Electrical License Act, the Mechanical Licensing Act, and the Home Inspection Licensing Act;&nbsp;</span></p> <p><span class="cls0">5. Maintain an administrative staff including, but not limited to, a Construction Industries Administrator whose appointment shall be made as provided in Section 1000.6 of this title;&nbsp;</span></p> <p><span class="cls0">6. Establish and levy administrative fines for violations of law or rule in the trades and industries the Board licenses or regulates or against any person or entity denying the Board or its representatives access to a job site for purposes of enforcing any of the provisions of the Plumbing License Law of 1955, the Oklahoma Inspectors Act, the Electrical License Act, and the Mechanical Licensing Act, or the Roofing Contractor Registration Act; provided, however, the Board is not authorized to inspect or issue administrative violations or fines for public utilities, public service corporations, intrastate gas pipeline companies, gas gathering pipeline companies, gas processing companies, rural electric associations, municipal utilities or their subsidiaries, chemical plants, gas processing plants or petroleum refineries where the entity uses their employees or contractors to work on their own facilities or equipment;&nbsp;</span></p> <p><span class="cls0">7. Direct such other expenditures as may be necessary in the performance of its duties including, but not limited to, expenditures for office space, equipment, furnishings and contracts for legal services. All expenditures shall be made pursuant to the Oklahoma Central Purchasing Act; and&nbsp;</span></p> <p><span class="cls0">8. Enforce provisions of the plumbing, electrical and mechanical codes as adopted by the Oklahoma Uniform Building Code Commission pursuant to the Oklahoma Uniform Building Code Commission Act.&nbsp;</span></p> <p><span class="cls0">C. The Board shall account for all receipts and expenditures of the monies of the Board, including annually preparing and publishing a statement of receipts and expenditures of the Board for each fiscal year. The Board's annual statement of receipts and expenditures shall be audited by the State Auditor and Inspector or an independent accounting firm in accordance with the provisions of subsection B of Section 212 of Title 74 of the Oklahoma Statutes, and the audit report shall be certified to the Governor of this state to be true and correct, under oath, by the chair and vice-chair of the Board. A copy of such certified report shall be delivered to the chairs of the respective Senate and House of Representatives Committees having authority over matters relating to business, labor and construction industry licensing or regulation not later than February 1 each year.&nbsp;</span></p> <p><span class="cls0">D. The Board shall account for all fines, penalties and fees assessed and collected pursuant to the Administrative Procedures Act or any rule promulgated for regulation of any industry and trade under the authority of the Construction Industries Board. All fines, penalties and fees assessed for any violation of law or rule shall be automatically reviewed and brought before the entire Board for consideration and vote not later than the last day of the monthly quarter in which it was imposed. The Construction Industries Administrator shall present to the Board a written recommendation and summary for each case in which an assessment of a fine, penalty or fee was imposed after administrative proceedings. The Board shall consider the recommendations for each case at the next meeting date and at such meeting shall either vote to affirm the recommendations or vote to deny the recommendations and remand the case for further administrative hearing, with or without instructions. No administrative case shall be delayed or continued by the Board after being placed on an agenda for final Board review, except with the consent of all parties. The licensee or persons affected by the imposition of an administrative fine, penalty or fee on final review by the Board shall have all rights of appeal preserved pursuant to the Administrative Procedures Act until final action by the Board.&nbsp;</span></p> <p><span class="cls0">E. The Construction Industries Board shall hear all appeals timely made from an administrative ruling relating to an industry and trade regulated by the Board; however, this appeal authority shall not be in addition to the appeal process authorized by the Administrative Procedures Act. Any ruling by the Board from an administrative hearing may be further appealed to the district court of Oklahoma County. The district court, upon conclusion of an appeal from a Board ruling, shall be authorized to award reasonable legal fees to the prevailing party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 4, eff. July 1, 2001. Amended by Laws 2002, c. 457, &sect; 1, eff. July 1, 2002; Laws 2003, c. 318, &sect; 4, eff. Nov. 1, 2003; Laws 2004, c. 163, &sect; 1, emerg. eff. April 26, 2004; Laws 2008, c. 405, &sect; 11, emerg. eff. June 3, 2008; Laws 2009, c. 439, &sect; 12, emerg. eff. June 2, 2009; Laws 2010, c. 413, &sect; 20, eff. July 1, 2010; Laws 2012, c. 304, &sect; 272; Laws 2013, c. 332, &sect; 4.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.5. Fees - Licenses and permits - Issuance and renewal.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board may establish a system of fees by rule to be charged for the application for licenses, for the issuance and renewal of licenses and permits, for administration of examinations, for formal project reviews and dishonored checks under the Board's authority. This provision is subject to the following limitations:&nbsp;</span></p> <p><span class="cls0">1. No schedule of fees may be established or amended by the Board except during such times as the Legislature is in session; provided, the Board may establish or amend a schedule of fees at a time when the Legislature is not in session if the fees or schedule of fees has been specifically authorized by the Legislature pursuant to paragraph 2 of this subsection. The Board must follow the procedures required by Article I of the Administrative Procedures Act for adoption of rules in establishing or amending any such schedule of fees; and&nbsp;</span></p> <p><span class="cls0">2. The Board shall charge fees only within the following ranges, except as may be otherwise specified in this section or another provision of law.&nbsp;</span></p> <p class="cls20"><span class="cls0">For application for license&nbsp;&nbsp;not to exceed $30.00&nbsp;</span></p> <p class="cls21"><span class="cls0">For administration of license examinations:&nbsp;&nbsp;not to exceed $200.00&nbsp;</span></p> <p class="cls21"><span class="cls0">For license or permit issuance:&nbsp;&nbsp;not to exceed $300.00&nbsp;</span></p> <p class="cls21"><span class="cls0">For license or permit renewal:&nbsp;&nbsp;not to exceed $200.00&nbsp;</span></p> <p class="cls21"><span class="cls0">For formal project review for code conformance:&nbsp;&nbsp;not to exceed $200.00&nbsp;</span></p> <p class="cls21"><span class="cls0">For permit issuance for the use of alternative materials or methods:&nbsp;&nbsp;not to exceed $50.00&nbsp;</span></p> <p class="cls22"><span class="cls0">For dishonored checks:&nbsp;&nbsp;not to exceed amount pursuant to the provisions of Section 1121 of Title 47 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. The Board shall base its schedule of fees upon the reasonable costs of review and inspection services rendered in connection with each license, permit, or review, but shall be within the ranges specified in paragraph 2 of subsection A of this section, except as otherwise specified in this section or provided by law. The Board shall establish a system of training for all personnel who render review and inspection services in order to assure uniform statewide application of rules. The Board shall include the reasonable costs associated with such training in the fees provided for in this section.&nbsp;</span></p> <p><span class="cls0">C. The Board may exempt by rule any class of licensee or permittee from the requirements of the fee schedule if the Board determines that the creation of such a schedule for any such class would create an unreasonable economic hardship.&nbsp;</span></p> <p><span class="cls0">D. All fee changes adopted by the Board shall be reviewed and approved as provided in subsection F of Section 308 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">E. Unless otherwise provided, licenses and permits issued by the Construction Industries Board shall be for a one-year period.&nbsp;</span></p> <p><span class="cls0">F. When, at the time of application or renewal of any license or registration, payment is made by check for fees and the check is not paid by the bank on which drawn for any reason, such license or registration issued at that time shall be invalid. In all such cases, the license or registration shall be subject to the license or registration fees and penalties provided in subsection A of this section and treated as though no attempt to apply for or renew a license or registration had been made. The Board may charge and collect from the licensee, registrant or other obligor of fees or fines, a fee for each return by a bank or other depository institution of a dishonored check, negotiable order of withdrawal or share draft issued by the licensee, registrant or other obligor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 5, eff. July 1, 2001. Amended by Laws 2002, c. 457, &sect; 2, eff. July 1, 2002; Laws 2008, c. 4, &sect; 1, eff. Nov. 1, 2008; Laws 2013, c. 332, &sect; 5.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.5a. License without examination - Reciprocity.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided by law, by way of reciprocity and without examination, an application for any license issued by any committee or board under the authority of the Construction Industries Board to engage in any work or trade in this state subject to the Board's regulatory authority may be made to the Board in writing on a form and in a manner prescribed by the Board. The application shall be accompanied by a fee pursuant to Section 1000.5 of this title, which shall not be refundable under any circumstances. If the application is disapproved by the Board, it shall be returned to the applicant with the reason for its disapproval stated thereon.&nbsp;</span></p> <p><span class="cls0">B. The Board may, in its discretion, issue a license by reciprocity to an applicant who is currently licensed to practice an applicable trade in another state, country, territory, province or city outside of the State of Oklahoma, upon a satisfactory showing of the following:&nbsp;</span></p> <p><span class="cls0">1. That the requirements for licensure in the city, state, country, territory or province in which the applicant is licensed are deemed by the Board to be substantially the same or equivalent to the requirements for obtaining an original license by examination in force in this state at the date of such license;&nbsp;</span></p> <p><span class="cls0">2. That one (1) year immediately prior to the date of payment of the required fee the applicant lawfully practiced an applicable trade within and under the laws of city, state, country, territory or province pursuant to a license issued thereby authorizing such practice;&nbsp;</span></p> <p><span class="cls0">3. That no disciplinary matters are pending against the applicant in any city, state, country, territory or province, and relating to the applicable trade in which the applicant seeks reciprocity;&nbsp;</span></p> <p><span class="cls0">4. That the license being reciprocated was obtained by examination in the city, state, country, territory or province wherein it was issued; and&nbsp;</span></p> <p><span class="cls0">5. That the applicant meets all other requirements of the Construction Industries Board Act, including payment of the applicable license fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2002, c. 457, &sect; 3, eff. July 1, 2002. Amended by Laws 2013, c. 332, &sect; 6.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.5b. Temporary license examinations.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board shall offer examinations for temporary journeyman plumber, temporary journeyman electrician, and temporary mechanical journeyman at least once every thirty (30) days following a declaration by the Governor of this state of a state of emergency in response to a disaster involving the destruction of dwelling units and shall continue do so for at least six (6) months following the declaration.&nbsp;</span></p> <p><span class="cls0">B. The temporary journeyman examinations shall be neither less stringent nor more stringent than examinations for regular journeyman licenses in this state.&nbsp;</span></p> <p><span class="cls0">C. No applicant for any temporary journeyman license shall be allowed more than one opportunity to take the temporary journeyman examination.&nbsp;</span></p> <p><span class="cls0">D. No temporary journeyman license shall be extended or renewed. Upon expiration of the temporary journeyman license, the license holder shall be ineligible to work as a journeyman in this state unless qualified under other provisions of law.&nbsp;</span></p> <p><span class="cls0">E. The temporary license shall be distinguishable from the regularly issued license.&nbsp;</span></p> <p><span class="cls0">F. The Construction Industries Board shall not issue a temporary license until the person demonstrates compliance with the requirements of Section 1701 et seq. of Title 68 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 405, &sect; 14, emerg. eff. June 10, 1999. Amended by Laws 2001, c. 394, &sect; 64, emerg. eff. June 4, 2001. Renumbered from Title 59, &sect; 1860 by Laws 2008, c. 4, &sect; 17, eff. Nov. 1, 2008. Amended by Laws 2013, c. 332, &sect; 7.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.6. Construction Industries Administrator.&nbsp;</span></p> <p><span class="cls0">A. No later than January 1, 2002, and thereafter, each time the position becomes vacant, the Construction Industries Board shall hire a Construction Industries Administrator. The Construction Industries Board may, upon a majority vote, terminate the employment of the Construction Industries Administrator.&nbsp;</span></p> <p><span class="cls0">B. The Construction Industries Administrator shall assist the Construction Industries Board in the performance of its duties and shall report directly to the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 394, &sect; 6, eff. July 1, 2001. Amended by Laws 2003, c. 318, &sect; 5, eff. Nov. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1000.7. Repealed by Laws 2003, c. 8, &sect; 5, eff. July 1, 2003 and Laws 2003, c. 318, &sect; 17, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-1000.9. Orders requiring compliance with standards and rules - Penalty.&nbsp;</span></p> <p><span class="cls0">A. In addition to any other remedies provided for by law, the Construction Industries Board may issue a written order to any person or entity whom the Board has reason to believe is in violation of, or has violated, any law which the Board has authority to enforce or the standards or rules promulgated by the Board, and to whom the Board has served, no less than fifteen (15) days previously, a written notice of violation. The fifteen-day notice period may be reduced as, in the opinion of the Board, may be necessary to render the order reasonably effectual.&nbsp;</span></p> <p><span class="cls0">B. The written order may require immediate compliance with the law or the standards or rules promulgated by the Board, or within a specified time period, or both. The order may also assess an administrative fine for each day or part of a day that such person fails to comply with the order.&nbsp;</span></p> <p><span class="cls0">C. Any order issued pursuant to this section shall state with specificity the nature of the violation. Any penalty assessed in the order shall not exceed One Thousand Dollars ($1,000.00) per day of noncompliance with the order. In assessing such penalty, the Board shall consider the seriousness of the violation and any efforts to comply with applicable requirements.&nbsp;</span></p> <p><span class="cls0">D. Any order issued pursuant to the provisions of this section shall become a final order unless, no later than fifteen (15) days after the order is served, the person or persons named therein request an administrative hearing. Upon such request, the Board shall promptly conduct a hearing. The Board may dismiss such proceedings when compliance with the order is demonstrated and all assessed fines, whether negotiated or not, are paid. A final order following a hearing determining a violation occurred shall assess an administrative fine based upon consideration of the evidence and as allowed by law or rule.&nbsp;</span></p> <p><span class="cls0">E. Such orders and hearings are subject to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 318, &sect; 6, eff. Nov. 1, 2003. Amended by Laws 2013, c. 332, &sect; 8.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.20. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 2 through 11 of this act shall be known and may be cited as the "Oklahoma Uniform Building Code Commission Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 2, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.21. Commission Members.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created the Oklahoma Uniform Building Code Commission within the Construction Industries Board which shall consist of eleven (11) members, nine of whom shall be appointed by the Governor with the advice and consent of the Senate as follows: &nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;one member who is a general contractor from a statewide organization that represents residential construction,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;one member who is a general contractor from a statewide organization that represents commercial construction,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;one member who is a contractor from a statewide organization that represents electrical contractors,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;one member who is a contractor from a statewide organization that represents plumbing contractors,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;one member who is a contractor from a statewide organization that represents heating and cooling contractors,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;one member who is a local-level regulator/inspector who is a member of a statewide organization that is exempt from taxation under federal law and designated pursuant to the provisions of the Internal Revenue Code, 26 U.S.C., Section 170(a), who has represented municipalities and had statutory functions for municipalities for at least fifteen (15) years prior to November 1, 2005,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;one member who is a Certified Building Official employed by a political subdivision,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;one member who is a licensed architect from a statewide organization that represents architects, and&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;one member who is from the insurance industry with knowledge of building codes and experience in property loss mitigation.&nbsp;</span></p> <p><span class="cls0">2. Such members shall be appointed for terms of four (4) years; provided, of those members initially appointed to the Commission, three members shall be appointed for one (1) year, beginning July 1, 2009, two members shall be appointed for two (2) years, beginning July 1, 2009, two members shall be appointed for three (3) years beginning, July 1, 2009, and two members who shall be appointed for four (4) years, beginning July 1, 2009.&nbsp;</span></p> <p><span class="cls0">B. The remaining two members of the Commission shall be the State Fire Marshal, or a designee, and an appointee of the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">C. Appointed members shall continue in office until a successor is appointed by the Governor. No appointed member shall serve more than two consecutive terms; provided, such a member shall be eligible to be reappointed after a two-year absence from the Commission. The Governor shall fill all vacancies and unexpired terms in the same manner as the original appointment of the member whose position is to be filled. Such members may be removed by the Governor for cause.&nbsp;</span></p> <p><span class="cls0">D. Whenever a member of the Commission is absent from more than one-half of all meetings of the governing body, regular and special, held within any period of twelve (12) consecutive months, the member shall thereupon cease to hold office by operation of law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 3, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.22. Commission - Meetings - Duties.&nbsp;</span></p> <p><span class="cls0">1. The Oklahoma Uniform Building Code Commission shall organize immediately after July 1, 2009, and annually thereafter, by electing from among its members a chair and a vice-chair. The Commission shall hold regularly scheduled meetings at least once each quarter at a time and place determined by the Commission and may hold such special meetings, emergency meetings or continued or reconvened meetings as found by the Commission to be necessary. A majority of the members of the Commission shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">2. The chair shall preside at meetings of the Commission, set the agenda, sign orders and other required documents, coordinate Commission activities and perform such other duties as may be prescribed by the Commission.&nbsp;</span></p> <p><span class="cls0">3. The vice-chair shall perform the duties of the chair during the absence or disability of the chair and shall perform such other duties as may be prescribed by the Commission.&nbsp;</span></p> <p><span class="cls0">4. The Oklahoma Uniform Building Code Commission Chief Executive Officer, at the discretion of the Commission, shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;keep a record of all proceedings of the Commission and certify to actions of the Commission,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;oversee the receipt and deposit of all monies received by the Commission in the appropriate revolving funds,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;submit, at the first regular meeting of the Commission after the end of each fiscal year, a fully itemized report of the receipts and disbursements for the prior fiscal year, showing the amount of funds on hand, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;perform such other duties as are prescribed in this act or as may be prescribed by the Commission.&nbsp;</span></p> <p><span class="cls0">5. The Commission shall comply with the provisions of the Oklahoma Open Meeting Act, the Oklahoma Open Records Act and the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">6. All members of the Commission and such employees as determined by the Commission shall be bonded as required by Sections 85.26 through 85.31 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">7. The liability of any member or employee of the Commission acting within the scope of Commission duties or employment shall be governed by The Governmental Tort Claims Act.&nbsp;</span></p> <p><span class="cls0">8. Members of the Oklahoma Uniform Building Code Commission and members of all technical committees shall serve without compensation, but shall be reimbursed for all actual and necessary expenses incurred in the performance of their duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 4, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.23. Codes and standards.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Uniform Building Code Commission shall have the power and the duty to review and adopt all building codes for residential and commercial construction to be used by all entities within this state. Codes and standards adopted by the Commission shall be the minimum standards for residential and commercial construction in this state.&nbsp;</span></p> <p><span class="cls0">B. All public projects shall abide by such minimum standards and requirements; provided, nothing in this act shall prevent or take away from state agencies the authority to enact and enforce requirements containing higher standards and requirements than such minimum standards and requirements.&nbsp;</span></p> <p><span class="cls0">C. Municipalities and other political subdivisions shall abide by such minimum standards and requirements; provided, nothing in this act shall prevent or take away from such municipalities and other political subdivisions the authority to enact and enforce requirements containing higher standards and requirements than such minimum standards and requirements.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 5, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.24. Rules - Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. 1. Beginning July 1, 2009, pursuant to and in compliance with Article I of the Administrative Procedures Act, the Oklahoma Uniform Building Code Commission shall have the power to adopt, amend, repeal and promulgate rules as may be necessary to perform the duties required under the Oklahoma Uniform Building Code Commission Act. Rules authorized under this section shall not become effective prior to October 1, 2009.&nbsp;</span></p> <p><span class="cls0">2. Beginning October 1, 2009, the Commission shall have the power to enforce the provisions of the Oklahoma Uniform Building Code Commission Act.&nbsp;</span></p> <p><span class="cls0">3. Any codes adopted by state agencies, municipalities or other political subdivisions of the state prior to uniform codes being adopted by the Oklahoma Uniform Building Code Commission, pursuant to the provisions of, or rules promulgated pursuant to, the Oklahoma Uniform Building Code Commission Act, shall be considered valid and in effect until uniform codes are adopted by the Oklahoma Uniform Building Code Commission.&nbsp;</span></p> <p><span class="cls0">B. The Oklahoma Uniform Building Code Commission shall have the following powers:&nbsp;</span></p> <p><span class="cls0">1. Exercise all incidental powers and duties which are necessary to effectuate the provisions of the Oklahoma Uniform Building Code Commission Act;&nbsp;</span></p> <p><span class="cls0">2. Adopt and have an official seal;&nbsp;</span></p> <p><span class="cls0">3. Maintain an administrative staff, including, but not limited to, an Oklahoma Uniform Building Code Commission Chief Executive Officer;&nbsp;</span></p> <p><span class="cls0">4. Direct such other expenditures as may be necessary in the performance of its duties, including, but not limited to, expenditures for office space, equipment, furnishings and contracts for services. All expenditures shall be made pursuant to the Oklahoma Central Purchasing Act;&nbsp;</span></p> <p><span class="cls0">5. Appoint technical committees to review and recommend for adoption all building codes. The technical committees shall review and recommend building codes with any amendments for adoption by the Commission; and&nbsp;</span></p> <p><span class="cls0">6. Create a website listing all building codes adopted by the Commission. The website shall provide a method for listing all codes adopted by a state agency, city or any other political subdivision of the state containing higher standards and requirements than the codes adopted pursuant to the Oklahoma Uniform Building Code Commission Act as required in Section 14-107 of Title 11 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. After October 1, 2009, the Commission shall account for all receipts and expenditures of the monies of the Commission, including annually preparing and publishing a statement of receipts and expenditures of the Commission for each fiscal year. The Commission&rsquo;s annual statement of receipts and expenditures shall be audited by the State Auditor and Inspector or an independent accounting firm, and the audit report shall be certified to the Governor of this state to be true and correct, under oath, by the chair and vice-chair of the Commission.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 6, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.25. System of fees - Construction permits.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Uniform Building Code Commission shall establish a system of fees to be charged for the issuance and renewal of any construction permits issued by any agency, municipality, or other political subdivision of this state. &nbsp;</span></p> <p><span class="cls0">B. This provision is subject to the following limitations:&nbsp;</span></p> <p><span class="cls0">1. No schedule of fees may be established or amended by the Commission except during such times as the Legislature is in session; provided, the Commission may establish or amend a schedule of fees at a time when the Legislature is not in session if the fees or schedule of fees has been specifically authorized by the Legislature pursuant to paragraphs 2 and 3 of this subsection. The Commission must follow the procedures required by Article I of the Administrative Procedures Act for adoption of rules in establishing or amending any such schedule of fees;&nbsp;</span></p> <p><span class="cls0">2. The Commission shall charge fees for building permits and renewal of such permits issued by any state agency, municipality, or other political subdivision of this state which authorized work governed by codes within the purview of the Commission only within the following ranges:&nbsp;</span></p> <p><span class="cls0">For issuance of permit&nbsp;&nbsp;not to exceed $5.00&nbsp;</span></p> <p><span class="cls0">For renewal of permit&nbsp;&nbsp;not to exceed $5.00&nbsp;</span></p> <p><span class="cls0">Fees shall be remitted to the Oklahoma Uniform Building Code Commission thirty (30) days after the end of the preceding calendar month. Past-due payments shall be charged a late fee of one percent (1%) per month until paid. The Oklahoma Uniform Building Code Commission shall report to the Governor, President Pro Tempore of the Senate and the Speaker of the House semiannually its collections, past-due charges, late-fee assessments and late-fee collections for the six (6) months preceding the report;&nbsp;</span></p> <p><span class="cls0">3. Fees shall be collected by any state agency, municipality or other political subdivision issuing construction permits within this state. The fees shall be deposited in an account created by the collecting entity for that purpose;&nbsp;</span></p> <p><span class="cls0">4. The state agency, municipality or other political subdivision shall remit the monies in the account on a monthly basis directly to the State Treasury for deposit in the Oklahoma Uniform Building Code Commission Revolving Fund created pursuant to Section 1000.28 of this title. Along with the deposits required by this paragraph, each state agency, municipality or other political subdivision shall also submit a report stating the total amount of funds collected and the total number of fees imposed during the preceding month. The report shall be made on computerized or manual disposition reports as provided by rule of the Commission;&nbsp;</span></p> <p><span class="cls0">5. Any state agency, municipality or other political subdivision collecting and remitting fees pursuant to this section may levy a fee up to fifty cents ($0.50) for every construction permit or renewal permit issued. These monies shall be deposited into an account for the sole use of the state agency, municipality or other political subdivision. The state agency, municipality or other political subdivision shall state the total amount of funds collected and the total number of fees imposed to the State Treasury in the report required by paragraph 4 of this subsection;&nbsp;</span></p> <p><span class="cls0">6. It shall be the responsibility of the state agency, municipality or other political subdivision to account for and ensure the correctness and accuracy of payments made to the State Treasury pursuant to this title; and&nbsp;</span></p> <p><span class="cls0">7. Funds collected by a state agency, municipality or other political subdivision and remitted to the State Treasury pursuant to the Oklahoma Uniform Building Code Commission Act shall be deposited in the Oklahoma Uniform Building Code Commission Revolving Fund and shall be used solely for the purposes of the Oklahoma Uniform Building Code Commission Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 7, emerg. eff. June 2, 2009. Amended by Laws 2012, c. 317, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.26. Chief Executive Officer - Hire and terminate - Majority of vote.&nbsp;</span></p> <p><span class="cls0">A. No later than August 15, 2009, and thereafter, each time the position becomes vacant, the Oklahoma Uniform Building Code Commission shall hire an Oklahoma Uniform Building Code Commission Chief Executive Officer. The Commission may, upon a majority vote, terminate the employment of the Oklahoma Uniform Building Code Commission Chief Executive Officer.&nbsp;</span></p> <p><span class="cls0">B. The Oklahoma Uniform Building Code Commission Chief Executive Officer shall assist the Commission in the performance of its duties and shall report directly to the Commission.&nbsp;</span></p> <p><span class="cls0">C. Commission employees shall be hired by and subject to the supervision and control of the Chief Executive Officer or designee. All employees are employees of the State of Oklahoma and shall be in the unclassified service.&nbsp;</span></p> <p><span class="cls0">D. The Chief Executive Officer is authorized to employ temporary workers or contract labor as may be prudent to properly administer the Oklahoma Uniform Building Code Commission Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 8, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.27. Attorney General - Legal advisor - Discharge of duties.&nbsp;</span></p> <p><span class="cls0">The Attorney General shall be the legal advisor for the Oklahoma Uniform Building Code Commission; and the Oklahoma Uniform Building Code Commission Chief Executive Officer and shall appear for and represent the Commission, the Chief Executive Officer and any deputies or agents in any and all litigation that may arise in the discharge of their respective duties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 9, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.28. Oklahoma Uniform Building Code Commission Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Oklahoma Uniform Building Code Commission to be designated the Oklahoma Uniform Building Code Commission Revolving Fund. The fund shall be a continuous fund, not subject to fiscal year limitations, and shall consist of all fees or payments of any type received by the Commission. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Commission for the purpose of implementing the Oklahoma Uniform Building Code Commission Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 10, emerg. eff. June 2, 2009. Amended by Laws 2012, c. 304, &sect; 273.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1000.29. State agencies or political subdivisions - Enactment of codes and rules.&nbsp;</span></p> <p><span class="cls0">Nothing in the Oklahoma Uniform Building Code Commission Act shall prohibit state agencies or political subdivisions of the state from having full authority to provide for the enactment of codes and rules in such form as they may determine and prescribe; provided, that such code, ordinance, bylaw or rule shall contain higher standards and requirements than the codes adopted pursuant to the Oklahoma Uniform Building Code Commission Act, or any rule adopted or prescribed by the Oklahoma Uniform Building Code Commission through authority of Oklahoma Uniform Building Code Commission Act, nor shall it prevent or take away from any state agencies or political subdivisions of the state the authority to amend such adopted codes to make changes necessary to accommodate local conditions; provided, such changes shall be approved by the Commission.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 439, &sect; 11, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1001. Citation.&nbsp;</span></p> <p><span class="cls0">Sections 1001 through 1023.1 of this title shall be known and may be cited as "The Plumbing License Law of 1955&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 366, &sect; 1. Amended by Laws 2001, c. 394, &sect; 9, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1002. Rules - State bond, cash or deposit in lieu of bond.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board is hereby authorized, empowered, and directed to make, prescribe, enforce, amend, and repeal rules governing the following:&nbsp;</span></p> <p><span class="cls0">1. The examination and licensing of persons desiring or intending to engage in the business, trade or calling of plumbing contractor or journeyman plumber;&nbsp;</span></p> <p><span class="cls0">2. The registering of and issuing of certificates to persons desiring or intending to work or act as a plumber's apprentice;&nbsp;</span></p> <p><span class="cls0">3. The establishment and levying of administrative fines;&nbsp;</span></p> <p><span class="cls0">4. The initiation of disciplinary proceedings;&nbsp;</span></p> <p><span class="cls0">5. The requesting of prosecution of and initiation of injunctive proceedings against any person who violates any of the provisions of The Plumbing License Law of 1955 or any rule promulgated pursuant to The Plumbing License Law of 1955;&nbsp;</span></p> <p><span class="cls0">6. The establishment of minimum standards of plumbing installation; and&nbsp;</span></p> <p><span class="cls0">7. The establishment of bonding and insurance requirements for the issuance of a license as a plumbing contractor; provided, such rules shall not be inconsistent with the terms and conditions hereinafter provided.&nbsp;</span></p> <p><span class="cls0">B. Such bonding requirements shall allow the filing of cash or a certificate of deposit in lieu of a bond. A state bond or cash or certificate of deposit filed in lieu of a bond and which is posted pursuant to the provisions of this section shall be deemed sufficient to meet the requirements of any municipality, provided that a copy of said bond or documentation of cash or certificate of deposit filed in lieu of a bond shall be filed by the contractor prior to the commencement of any plumbing work with any municipality in which the licensee does work if required by local ordinances or rules.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 366, &sect; 2. Amended by Laws 1989, c. 331, &sect; 1, emerg. eff. May 31, 1989; Laws 1991, c. 106, &sect; 1, eff. Sept. 1, 1991; Laws 1993, c. 236, &sect; 1, eff. Sept. 1, 1993; Laws 2001, c. 394, &sect; 10, eff. Jan. 1, 2002; Laws 2003, c. 318, &sect; 7, eff. Nov. 1, 2003; Laws 2008, c. 4, &sect; 2, eff. Nov. 1, 2008; Laws 2009, c. 439, &sect; 13, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1002.1. Voluntary review of project plans and specifications.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall establish by rule a process for the formal review of the plans and specifications for a project prior to bid dates for the project to ensure that the project plans and specifications are in conformance with applicable plumbing, electrical, mechanical, and fire sprinkler installation codes. The rule shall provide that the review shall be completed in a timely manner, not to exceed fourteen (14) calendar days from the date of the submission of a completed application for review which is accompanied by the review fee not to exceed Two Hundred Dollars ($200.00) to be established by the rule. Upon completion of the review, the plans and specifications shall be returned to the applicant with documentation indicating either approval of plans and specifications which are in compliance with the applicable codes, or modifications which must be made to bring the plans and specifications into conformance. Submission of such plans and specifications for review by the Board shall be voluntary.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 293, &sect; 1, eff. July 1, 1994. Amended by Laws 2001, c. 394, &sect; 11, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1003. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in The Plumbing License Law of 1955:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Board&rdquo; means the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Committee&rdquo; means the State Committee of Plumbing Examiners appointed by the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Plumbing Hearing Board&rdquo; means the State Plumbing Hearing Board which shall consist of a designee of the Construction Industries Board, as chair, and the members of the State Committee of Plumbing Examiners;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Apprentice&rdquo; or &ldquo;plumber&rsquo;s apprentice&rdquo; means any person sixteen (16) years of age or older who, as the principal occupation of the person, is engaged in learning and assisting in the installation of plumbing under the direct supervision of a licensed journeyman plumber or plumbing contractor;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Journeyman plumber&rdquo; means any person other than a master plumber or plumbing contractor who engages in or works at the actual installation, alteration, repair and/or renovation of plumbing;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Temporary journeyman plumber&rdquo; means any person other than a person permanently licensed as a journeyman plumber, master plumber, or plumbing contractor in this state who meets the temporary licensure requirements of Section 1006.1 of this title;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Master plumber&rdquo; is a term used and defined under laws which have been repealed. A person formerly known as a master plumber is henceforth to be known as a &ldquo;plumbing contractor&rdquo; as defined in this section;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Plumbing contractor&rdquo; means any person who is skilled in the planning, superintending, and practical installation of plumbing and who is familiar with the laws and rules governing the same. This definition may be construed to mean any person who has qualified and is licensed under The Plumbing License Law of 1955 as a plumbing contractor, who may operate as an individual, a firm, partnership, limited liability company, or corporation, or other legal entity to engage in the business of plumbing, or the business of contracting to do plumbing, or furnish labor or materials or both for the installation, repair, maintenance, or renovation of plumbing according to the requirements of The Plumbing License Law of 1955;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Plumbing&rdquo; means, and includes:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;all piping, fixtures, appurtenances and appliances for, and in connection with, a supply of water within or adjacent to any building, structure, or conveyance, on the premises and to the connection with a water main or other source of supply,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;all piping, fixtures, appurtenances and appliances for sanitary drainage or storm drainage facilities, including venting systems for such facilities, within or adjacent to any building, structure, or conveyance, on the premises and to the connection with a public disposal system or other acceptable terminal,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the installation, repair, maintenance and renovation of all piping, fixtures, appurtenances and appliances for a supply of water, or for the disposal of waste water, liquid waste, or sewage within or adjacent to any building, structure, or conveyance, on the premises and to the source of supply of water or point of disposal of wastes, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the installation, repair and maintenance of radiant-floor heating system piping in residential homes with capacities no greater than one hundred thousand (100,000) BTU&rsquo;s using only piping approved by the most current adopted edition of the International Mechanical Code; and&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Variance and Appeals Board&rdquo; means the Oklahoma State Plumbing Installation Code Variance and Appeals Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 366, &sect; 3. Amended by Laws 1994, c. 293, &sect; 2, eff. July 1, 1994; Laws 1999, c. 405, &sect; 1, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 12, eff. Jan. 1, 2002; Laws 2004, c. 163, &sect; 2, emerg. eff. April 26, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1004. Oklahoma State Committee of Plumbing Examiners - Membership - Tenure - Qualifications and duties - Travel expenses.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma State Committee of Plumbing Examiners is hereby re-created to continue until July 1, 2016, in accordance with the provisions of the Oklahoma Sunset Law, as provided by Section 3901 et seq. of Title 74 of the Oklahoma Statutes, and shall consist of five (5) members, each of whom shall be a citizen of the United States, and a resident of this state. One member shall be appointed from each congressional district and any remaining members shall be appointed from the state at large. However, when congressional districts are redrawn each member appointed prior to July 1 of the year in which such modification becomes effective shall complete the current term of office and appointments made after July 1 of the year in which such modification becomes effective shall be based on the redrawn districts. Appointments made after July 1 of the year in which such modification becomes effective shall be from any redrawn districts which are not represented by a board member until such time as each of the modified congressional districts are represented by a board member. No appointments may be made after July 1 of the year in which such modification becomes effective if such appointment would result in more than two members serving from the same modified district. Beginning January 1, 2002, as the terms of members serving on the Committee on such date expire, members of the Committee shall be appointed by the Construction Industries Board which may also remove them for cause. They will hold office for terms of two (2) years, or until their successors are appointed. Two members of the Committee shall have had at least five (5) years' practical experience as a licensed master plumber or plumbing contractor, and two members shall have had at least five (5) years' practical experience as a licensed journeyman plumber. One member shall be a plumbing inspector selected from lists of names submitted from plumbing inspection industries. Whenever appointments of initial, new, or replacement plumbing members of the Committee are to be made, the Board shall choose them only from lists of at least three names to be furnished whenever needed as follows:&nbsp;</span></p> <p><span class="cls0">1. Master plumber or plumbing contractor member - lists to be furnished by associated plumbing and heating contractors of this state;&nbsp;</span></p> <p><span class="cls0">2. Journeyman plumber member - lists to be furnished by state pipe trades associations;&nbsp;</span></p> <p><span class="cls0">3. One licensed master plumber or plumbing contractor who is not a member of an association of plumbing, heating, and cooling contractors of this state; and&nbsp;</span></p> <p><span class="cls0">4. One licensed journeyman plumber who is not a member of a state pipe trades association.&nbsp;</span></p> <p><span class="cls0">B. Duties of the Committee shall be to serve the Construction Industries Board in an advisory capacity, to formulate rules pursuant to The Plumbing License Law of 1955, and to assist and advise the Board on the examination of applicants for licenses as journeyman plumber or plumbing contractor, in accordance with such rules and the terms and conditions hereof. A majority of the Committee shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">C. Each examiner shall be reimbursed for travel expenses in accordance with the provisions of the State Travel Reimbursement Act, Section 500.1 et seq. of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 367, &sect; 4. Amended by Laws 1978, c. 58, &sect; 1, emerg. eff. March 20, 1978; Laws 1980, c. 1, &sect; 1, eff. July 1, 1980; Laws 1984, c. 115, &sect; 1, eff. July 1, 1984; Laws 1985, c. 178, &sect; 39, operative July 1, 1985; Laws 1990, c. 157, &sect; 1, emerg. eff. May 1, 1990; Laws 1996, c. 63, &sect; 1, eff. July 1, 1996; Laws 2001, c. 394, &sect; 13, eff. Jan. 1, 2002; Laws 2002, c. 375, &sect; 10, eff. Nov. 5, 2002; Laws 2003, c. 3, &sect; 52, emerg. eff. March 19, 2003; Laws 2008, c. 12, &sect; 1; Laws 2012, c. 73, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2002, c. 175, &sect; 1 repealed by Laws 2003, c. 3, &sect; 53, emerg. eff. March 19, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591005. Examinations.&nbsp;</span></p> <p><span class="cls0">(a) Examinations shall be uniform and shall be practical in nature but sufficiently strict to test the qualification and fitness of the applicant as a journeyman plumber or as a plumbing contractor, as the case may be. It shall be in whole or in part in writing.&nbsp;</span></p> <p><span class="cls0">(b) Regular examinations shall be held at least twice each year and special examinations may be fixed by the Committee. Any applicant initially failing to pass the examination shall not be permitted to take another examination for a period of thirty (30) days, and thereafter any such applicant subsequently failing to pass the examination shall not be permitted to take a subsequent examination for a period of ninety (90) days.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 368 &sect; 5; Laws 1973, c. 122, &sect; 1, emerg. eff. May 7, 1973. &nbsp;</span></p> <p><span class="cls0">&sect;59-1006. Licenses - Transferability.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board shall issue licenses to persons who have been certified by the Board as having successfully passed the examination for journeyman plumber or plumbing contractor, as the case may be, and who have paid the fees and have otherwise complied with the applicable requirements of The Plumbing License Law of 1955.&nbsp;</span></p> <p><span class="cls0">B. All licenses shall be nontransferable. It shall be unlawful for any holder of a license under The Plumbing License Law of 1955 to loan or allow the use of such license by any other person, firm or corporation, except as specifically provided in The Plumbing License Law of 1955.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 368, &sect; 6. Amended by Laws 2001, c. 394, &sect; 14, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1006.1. Temporary licenses.&nbsp;</span></p> <p><span class="cls0">A. Within one (1) year of the date the Governor of this state declares a state of emergency in response to a disaster involving the destruction of dwelling units, the Construction Industries Board shall issue a distinctively colored, nonrenewable, temporary journeyman plumber license which shall expire one (1) year after the date of the declaration to any person who is currently licensed as a journeyman plumber by another state and who:&nbsp;</span></p> <p><span class="cls0">1. Submits, within ten (10) days of beginning journeyman plumber's work in this state, an application and fee for a journeyman plumber's examination;&nbsp;</span></p> <p><span class="cls0">2. Takes and passes the examination at the first opportunity thereafter offered by the Board; and&nbsp;</span></p> <p><span class="cls0">3. Pays a temporary journeyman plumber's license fee to be established by rule by the Board pursuant to Section 1000.5 of this title.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this section shall be construed as prohibiting any person from qualifying at any time for any other license by meeting the requirements for the other license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 405, &sect; 2, emerg. eff. June 10, 1999. Amended by Laws 2001, c. 394, &sect; 15, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 4, eff. July 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1007. Applications.&nbsp;</span></p> <p><span class="cls0">Application for examination, license or renewal of license shall be made to the Construction Industries Board in writing and, if required, on forms furnished by the Board and shall be accompanied by the proper fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 368, &sect; 7. Amended by Laws 2001, c. 394, &sect; 16, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1008. Repealed by Laws 2002, c. 457, &sect; 12, eff. July 1, 2002.&nbsp;</span></p> <p><span class="cls0">&sect;59-1009. Duration of licenses - Expiration date - Renewals.&nbsp;</span></p> <p><span class="cls0">No license shall be issued for longer than one (1) year and all licenses shall expire on the last day in the birth month of the licensee. Such licenses may be renewed upon application and payment of fees within thirty (30) days preceding or following the date the license renewal is due. No journeyman or contractor license shall be renewed unless the licensee has completed the required hours of continuing education as determined and approved by the Committee. The Committee may renew licenses upon application made more than thirty (30) days following the date of expiration only upon payment of the renewal and additional fee prescribed and upon compliance with any applicable continuing education requirements as established by the Board and this act. Provided that no penalty for renewal shall be charged to any holder of a license which expires while such holder is in military service if application is made within one (1) year following discharge from the military service.&nbsp;</span></p> <p><span class="cls0">Apprentice registration certificates expire one (1) year after date of registration, at which time the apprentice may reregister.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 368, &sect; 9. Amended by Laws 1980, c. 1, &sect; 3, eff. July 1, 1980; Laws 2003, c. 318, &sect; 8, eff. Nov. 1, 2003; Laws 2008, c. 4, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1010. Plumbing Hearing Board - Investigations and hearings - Suspensions - Jurisdiction of political subdivisions.&nbsp;</span></p> <p><span class="cls0">A. The designee of the Construction Industries Board, as chair, and the members of the Oklahoma State Committee of Plumbing Examiners shall constitute a Plumbing Hearing Board, which may on its own motion make investigations and conduct hearings. The Plumbing Hearing Board may, on its own motion or upon complaint in writing duly signed and verified by the complainant, and upon not less than ten (10) days' notice to the licensee, suspend any license or registration issued under The Plumbing License Law of 1955, and may revoke such license or registration in the manner hereinafter provided, if by clear and convincing evidence it finds that the holder of the license has:&nbsp;</span></p> <p><span class="cls0">1. Made a material misstatement in the application for license or renewal thereof;&nbsp;</span></p> <p><span class="cls0">2. Loaned or illegally used the license;&nbsp;</span></p> <p><span class="cls0">3. Demonstrated incompetency to act as a journeyman plumber or plumbing contractor, as the case may be;&nbsp;</span></p> <p><span class="cls0">4. Violated any provision of The Plumbing License Law of 1955, or any rule or order prescribed by the Construction Industries Board, or any ordinance or regulation for the installation of plumbing made or enacted by a city, town, or sewer Board by authority of The Plumbing License Law of 1955; or&nbsp;</span></p> <p><span class="cls0">5. Willfully and unreasonably failed to perform his or her normal business obligations without justifiable cause.&nbsp;</span></p> <p><span class="cls0">B. A copy of the complaint with notice of the suspension of license, if ordered by the Plumbing Hearing Board, shall be served on the person complained against, and the answer thereto shall be filed in the time allowed for the filing of answers in legal proceedings by the statutes of this state.&nbsp;</span></p> <p><span class="cls0">C. Any administrative hearing on suspensions, revocations or fines shall be conducted by a hearing examiner appointed by the Construction Industries Board. The hearing examiner&rsquo;s decision shall be a final decision which may be appealed to a district court in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. No order revoking a license shall be made until after a public hearing, held in accordance with the provisions of Article II of the Administrative Procedures Act, by the Plumbing Hearing Board which shall not be less than thirty (30) days and not more than sixty (60) days after the date of notice of suspension. The hearing shall be held at the place designated by the Plumbing Hearing Board. The person complained against shall have the right to be represented by counsel and to introduce any evidence in defense. The conduct of the hearing shall be in accordance with recognized rules of legal procedure and any member of the Plumbing Hearing Board or a representative designated by the Plumbing Hearing Board shall have authority to administer oaths and take testimony.&nbsp;</span></p> <p><span class="cls0">E. Any person whose license or registration has been revoked may, after the expiration of one (1) year from the date of such revocation, but not before, apply for a new license.&nbsp;</span></p> <p><span class="cls0">F. Notwithstanding any other provision of law, a political subdivision of this state that has adopted a nationally recognized plumbing code and appointed an inspector pursuant to Section 1016 of this title or pursuant to the Oklahoma Inspectors Act for such work shall have jurisdiction over the interpretation of the code and the installation of all plumbing work done in that political subdivision, subject to the provisions of the Oklahoma Inspectors Act. Provided, a state inspector may work directly with a plumbing contractor or journeyman plumber in such a locality if a violation of the code creates an immediate threat to life or health.&nbsp;</span></p> <p><span class="cls0">G. In the case of a complaint about, investigation of, or inspection of any license, registration, permit or plumbing in any political subdivision of this state which has not adopted a nationally recognized plumbing code and appointed an inspector pursuant to Section 1016 of this title or pursuant to the Oklahoma Inspectors Act for such work, the Construction Industries Board shall have jurisdiction over such matters.&nbsp;</span></p> <p><span class="cls0">H. 1. No individual, business, company, corporation, limited liability company, association or other entity subject to the provisions of Section 1001 et seq. of this title shall install, modify or alter plumbing in any incorporated area of this state which has not adopted a nationally recognized plumbing code and appointed an inspector pursuant to Section 1016 of this title or pursuant to the Oklahoma Inspectors Act for such work without providing notice of such plumbing to the Construction Industries Board. A notice form for reproduction by an individual or entity required to make such notice shall be provided by the Construction Industries Board upon request.&nbsp;</span></p> <p><span class="cls0">2. Notice to the Construction Industries Board pursuant to this subsection shall not be required for plumbing maintenance or replacement of an existing plumbing device or fixture, unless such device is gas fired, or of any petroleum refinery or its research facilities.&nbsp;</span></p> <p><span class="cls0">3. Enforcement of this subsection is authorized pursuant to The Plumbing License Law of 1955, or under authority granted to the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 369, &sect; 10. Amended by Laws 1993, c. 251, &sect; 1, eff. Sept. 1, 1993; Laws 1997, c. 353, &sect; 1, eff. Nov. 1, 1997; Laws 2001, c. 394, &sect; 18, eff. Jan. 1, 2002; Laws 2008, c. 4, &sect; 4, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1010.1. Administrative fines - Injunctions.&nbsp;</span></p> <p><span class="cls0">A. In addition to other penalties provided by law, if after a hearing in accordance with the provisions of Section 1010 of this title, the Plumbing Hearing Board shall find any person to be in violation of any of the provisions of The Plumbing License Law of 1955, such person may be subject to an administrative fine of not more than Five Hundred Dollars ($500.00) for each violation. Each day a person is in violation of The Plumbing License Law of 1955 may constitute a separate violation. The maximum fine will not exceed One Thousand Dollars ($1,000.00). All administrative fines collected pursuant to the provisions of this subsection shall be deposited in the fund established in Section 1018 of this title. Administrative fines imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">B. The Plumbing Hearing Board may make application to the appropriate court for an order enjoining the acts or practices prohibited by The Plumbing License Law of 1955, and upon a showing by the Plumbing Hearing Board that the person has engaged in any of the prohibited acts or practices, an injunction, restraining order, or other order as may be appropriate shall be granted by the court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 236, &sect; 3, eff. Sept. 1, 1993. Amended by Laws 2001, c. 394, &sect; 19, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1011. Appeals from decisions of Board.&nbsp;</span></p> <p><span class="cls0">An appeal from the decision of the Plumbing Hearing Board upon the suspension or revocation of a license, or upon any decision not specifically provided for in The Plumbing License Law of 1955, may be taken to the district court in accordance with the provisions of Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 369, &sect; 11. Amended by Laws 2001, c. 394, &sect; 20, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591012. Necessity for licenses Penalty.&nbsp;</span></p> <p><span class="cls0">(a) Ninety (90) days from and after the effective date of this act it shall be unlawful and a misdemeanor for any person to act as, or perform the work of, a journeyman plumber, as defined in this act, until such person has qualified and is licensed as a journeyman plumber or plumbing contractor, as provided in this act.&nbsp;</span></p> <p><span class="cls0">(b) Ninety (90) days from and after the effective date of this act it shall be unlawful and a misdemeanor for any person, firm, partnership, association or corporation to act as a master plumber or plumbing contractor or to engage in or offer to engage in, by advertisement or otherwise, the business of plumbing, or plumbing contractor, as defined in this act, until such person, or a bona fide member of such partnership, or a bona fide officer of such firm, association, or corporation, as the case may be, shall have qualified and is licensed as a plumbing contractor as required by this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 369, &sect; 12. &nbsp;</span></p> <p><span class="cls0">&sect;59-1013. Plumbers apprentice - Certificates.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall, upon proper application and payment of fee, register as a plumber's apprentice, and shall issue a certificate of registration to, persons who furnish proof satisfactory to the Board that they are sixteen (16) years of age or older and are enrolled in a recognized school or training course for plumber apprentices, or have arranged for employment as a plumber's apprentice with a licensed plumbing contractor. The certificate of an apprentice shall expire at the end of one (1) year from date of issuance, at which time the Board may issue a renewal certificate upon payment of the renewal fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 369, &sect; 13. Amended by Laws 1980, c. 1, &sect; 4, eff. July 1, 1980; Laws 1999, c. 405, &sect; 4, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 21, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1014. Change of business address.&nbsp;</span></p> <p><span class="cls0">Every holder of a license as a journeyman plumber or plumbing contractor, or of a certificate of registration as a plumber's apprentice, shall promptly notify the Construction Industries Board of any change in business address.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 370, &sect; 14. Amended by Laws 2001, c. 394, &sect; 22, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591015. Municipal water and sewage systems Rules and regulations.&nbsp;</span></p> <p><span class="cls0">Each city and/or incorporated town with a population of two thousand (2,000) or more in the state, having a system of water supply or sewerage shall, and any incorporated town, or any sewer district Commission may, by ordinance or regulation, prescribe rules and regulations for the material, construction, installation and inspection of all plumbing and sewerage placed in, or in connection with any building, structure, or conveyance in such city, town or sewer district, and the board of health or other proper authority of such city, town or sewer district shall further provide that no plumbing work shall be done, except in the case of repairing leaks, without permit being issued therefor upon such terms and conditions as such city, town or sewer commission shall prescribe.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1955, p. 370, &sect; 15. &nbsp;</span></p> <p><span class="cls0">&sect;591016. Municipal plumbing inspector - Combining plumbing inspector and electrical inspector.&nbsp;</span></p> <p><span class="cls0">A. Each city or incorporated town with a population of two thousand (2,000) or more in the state, having a system of water supply or sewerage shall by ordinance, within ninety (90) days after the effective date of this act, create an office of plumbing inspector, whose duty it shall be to inspect all plumbing installed in the jurisdiction of such city or town, and shall furnish a certificate of same. Said plumbing inspector shall have had not less than three (3) years' practical experience at the plumbing business, and shall not be interested, either directly or indirectly, in any firm or corporation engaged in the plumbing business.&nbsp;</span></p> <p><span class="cls0">B. Any city or town in this state, with a population in excess of four thousand (4,000) but not exceeding thirty thousand (30,000), may create an office which combines the powers and duties of the plumbing inspector and the electrical inspector. Except as otherwise provided in this subsection, the holder of such office must have at least three (3) years' practical experience in the plumbing industry and three (3) years' practical experience in the electrical industry. Any such city or town may, in its discretion, appoint some other person deemed qualified for such office if such person, within two (2) years after the date of appointment, successfully passes the examination for a license as a plumbing inspector and the examination for a license as an electrical inspector conducted by a recognized national building code or standard service. Cities or towns with a population of four thousand (4,000) or less may, in their discretion, appoint some other person deemed qualified for the office. The salary of said plumbing inspector is to be provided for by the respective city or town.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 370, &sect; 16. Amended by Laws 1991, c. 324, &sect; 1, emerg. eff. June 14, 1991; Laws 1995, c. 9, &sect; 1, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1017. Inapplicability.&nbsp;</span></p> <p><span class="cls0">The provisions of The Plumbing License Law of 1955 shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. Minor repairs, consisting of repairing or replacing faucets or minor working parts of plumbing fixtures;&nbsp;</span></p> <p><span class="cls0">2. Farm buildings located outside any city or town unless such buildings are connected to a public water or sewer system;&nbsp;</span></p> <p><span class="cls0">3. Maintenance work for state institutions and school districts;&nbsp;</span></p> <p><span class="cls0">4. The installation, maintenance, repair, renovation of automatic sprinkler systems and related mechanical appurtenances beginning at a point where the pipe or piping system provides water used exclusively for these automatic sprinklers and their related appurtenances and to standpipes connected to automatic sprinkler systems;&nbsp;</span></p> <p><span class="cls0">5. The construction, installation, maintenance, repair, renovation, and/or removal of pipe or piping systems and related mechanical appurtenances including backflow preventers, appliances and/or equipment used in connection therewith, directly or indirectly within or without any building or structure, from a point or location in a source of potable water supply at which point or location there exists any backflow preventer, provided that said pipe and/or piping systems are for:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;heating, except radiant-floor heating systems as defined in subparagraph d of paragraph 9 of Section 1003 of this title,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;cooling,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;air conditioning,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;refrigeration, or&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;boilers and other pressure vessels of whatsoever kind and character.&nbsp;</span></p> <p><span class="cls0">A &ldquo;backflow preventer,&rdquo; as used herein, means any permanent mechanical device, or combination of permanent mechanical devices, of whatever material, which, after installation acts to prevent a reversal of the normal directional flow of potable water within the piping system in which it is installed, and shall include, but not be limited to, metal checkvalves and airgaps, either naturally or artificially created. Provided, further, that the exclusionary provisions of this paragraph shall apply only to and within governmental agencies, counties, cities and towns which now have or which hereafter may adopt separate laws relating to the licensing, registration and regulating of persons engaged, for business purposes, in any of the areas of trade hereinbefore specified in this paragraph; the exemptions herein being provided to apply only to these items specifically regulated by any such local laws and ordinances; and&nbsp;</span></p> <p><span class="cls0">6. An individual who performs plumbing work on such individual&rsquo;s property of residence.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 370, &sect; 17. Amended by Laws 1965, c. 147, &sect; 1, emerg. eff. May 24, 1965; Laws 1967, c. 361, &sect; 1, emerg. eff. May 22, 1967; Laws 1996, c. 318, &sect; 1, eff. July 1, 1996; Laws 2004, c. 163, &sect; 3, emerg. eff. April 26, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1018. Fees paid to State Treasury - Disposition.&nbsp;</span></p> <p><span class="cls0">All fees, administrative fines or payments of any type received by the Construction Industries Board under The Plumbing License Law of 1955 shall be deposited in a revolving fund to be designated as the "Plumbing Licensing Revolving Fund" and are hereby appropriated and may be expended by the Construction Industries Board for the purpose of implementing The Plumbing License Law of 1955. The fund shall be a continuing fund, not subject to fiscal year limitations. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 370, &sect; 18. Amended by Laws 1993, c. 236, &sect; 2, eff. Sept. 1, 1993; Laws 2001, c. 394, &sect; 23, eff. Jan. 1, 2002; Laws 2004, c. 163, &sect; 4, emerg. eff. April 26, 2004; Laws 2012, c. 304, &sect; 274.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1019. Violations and penalties.&nbsp;</span></p> <p><span class="cls0">A. Any person who violates any of the provisions of The Plumbing License Law of 1955, or any provision of an ordinance or regulation enacted by a city, town, or sewer commission, by authority of this act shall, upon conviction, in addition to suffering possible suspension or revocation of a license, be guilty of a misdemeanor and shall be punished by a fine of not less than Two Hundred Dollars ($200.00) nor more than One Thousand Dollars ($1,000.00), together with the costs of prosecution.&nbsp;</span></p> <p><span class="cls0">B. The Plumbing Hearing Board may make application to the appropriate court for an order enjoining the acts or practices prohibited by this act, and upon a showing by the Plumbing Hearing Board that the person or firm has engaged in any of the prohibited acts or practices, an injunction, restraining order or other order as may be appropriate shall be granted by the court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 371, &sect; 19. Amended by Laws 2008, c. 4, &sect; 5, eff. Nov. 1, 2008; Laws 2008, c. 142, &sect; 1, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1020. Local regulation by municipalities not prohibited.&nbsp;</span></p> <p><span class="cls0">Nothing in The Plumbing License Law of 1955 shall prohibit cities and towns from having full authority to provide full supervision and inspection of plumbing by the enactment of codes and rules in such form as they may determine and prescribe; provided, that no such ordinances, bylaw or rule shall be inconsistent with the Oklahoma Uniform Building Code Commission Act or any rule adopted or prescribed by the Oklahoma Uniform Building Code Commission, The Plumbing License Law of 1955, or any rule adopted or prescribed by the Construction Industries Board through authority of The Plumbing License Law of 1955 and the provisions of the Construction Industries Board Act. Each state-licensed master plumber or plumbing contractor shall be required to register with the plumbing inspector of every city and town in whose jurisdiction the plumber operates, and each such city or town is hereby authorized to register such master plumber or plumbing contractor to revoke the same, to charge fees for such registration, for permits and for inspections of plumbing and fixtures. Provided, further, that no master plumber or plumbing contractor shall be permitted to do business or work in any city or town wherein the local registration of the plumber has been revoked.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1955, p. 371, &sect; 20. Amended by Laws 2001, c. 394, &sect; 24, eff. Jan. 1, 2002; Laws 2003, c. 318, &sect; 9, eff. Nov. 1, 2003; Laws 2009, c. 439, &sect; 14, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1021.1. Oklahoma State Plumbing Installation Code Variance and Appeals Board.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created the Oklahoma State Plumbing Installation Code Variance and Appeals Board. The Variance and Appeals Board shall hear testimony and shall review sufficient technical data submitted by an applicant to substantiate the proposed installation of any material, assembly or manufacturer-engineered components, equipment or system that is not specifically prescribed by an appropriate installation code, an industry consensus standard or fabricated or installed according to recognized and generally accepted good engineering practices, where no ordinance or regulation of a governmental subdivision applies. If it is determined that the evidence submitted is satisfactory proof of performance for the proposed installation, the Variance and Appeals Board shall approve such alternative, subject to the requirements of the appropriate installation code. Applications for the use of an alternative material or method of construction shall be submitted in writing to the Construction Industries Board for approval prior to use. Applications shall be accompanied by a filing fee, not to exceed Fifty Dollars ($50.00), as set by rule of the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">2. The Variance and Appeals Board shall also hear appeals from contractors, licensed by the Construction Industries Board, and any party who has an ownership interest in or is in responsible charge of the design of or work on the installation, who contest the Construction Industries Board's interpretation of the state's model plumbing installation code as applied to a particular installation. Such appeals shall be based on a claim that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the true intent of the installation code has been incorrectly interpreted,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the provisions of the code do not fully apply, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an equal or better form of installation is proposed.&nbsp;</span></p> <p><span class="cls0">Such appeals to the Variance and Appeals Board shall be made in writing to the Construction Industries Board within fourteen (14) days after a code interpretation or receipt of written notice of the alleged code violation by the licensed contractor.&nbsp;</span></p> <p><span class="cls0">B. The Variance and Appeals Board shall consist of the designated representative of the Construction Industries Board and the following members who, except for the State Fire Marshal or designee, shall be appointed by the Construction Industries Board from a list of names submitted by the professional organizations of the professions represented on the Variance and Appeals Board and who shall serve at the pleasure of the Construction Industries Board:&nbsp;</span></p> <p><span class="cls0">1. Two members shall be appointed from the State Committee of Plumbing Examiners; one shall be a contractor with five (5) years of experience and one shall be a journeyman with five (5) years of experience;&nbsp;</span></p> <p><span class="cls0">2. One member shall be a registered design professional who is a registered architect with at least ten (10) years of experience, five (5) of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">3. One member shall be a registered design professional with at least ten (10) years of structural engineering or architectural experience, five (5) of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">4. One member shall be a registered design professional with mechanical or plumbing engineering experience; provided, such member shall have at least ten (10) years of experience, five (5) years of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">5. One member shall be a registered design professional with electrical engineering experience; provided, such member shall have at least ten (10) years of experience, five (5) years of which shall have been in responsible charge of work; and&nbsp;</span></p> <p><span class="cls0">6. One member shall be the State Fire Marshal or a designee of the State Fire Marshal.&nbsp;</span></p> <p><span class="cls0">Any member serving on the Variance and Appeals Board on January 1, 2002, may continue to serve until a replacement is appointed by the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">C. Members, except the designated representatives of the State Fire Marshal and the Construction Industries Board, and employees of the Construction Industries Board, shall be reimbursed for travel expenses pursuant to the State Travel Reimbursement Act from the revolving fund created pursuant to Section 1018 of this title.&nbsp;</span></p> <p><span class="cls0">D. The Variance and Appeals Board shall meet after the Construction Industries Board receives proper application for a variance, accompanied by the filing fee, or proper notice of an appeal, as provided in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">E. The designated representative of the Construction Industries Board shall serve as chair of the Variance and Appeals Board. A majority of the members of the Variance and Appeals Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 293, &sect; 3, eff. July 1, 1994. Amended by Laws 2001, c. 394, &sect; 25, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1022. Repealed by Laws 1997, c. 353, &sect; 6, eff. Nov. 1, 1997.&nbsp;</span></p> <p><span class="cls0">&sect;59-1023.1. Issuance of citation for certain work prohibited.&nbsp;</span></p> <p><span class="cls0">No state or municipal inspector may issue a citation for work which is exempt from the requirement for a permit under Section 106 of the International Plumbing Code, latest edition.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1997, c. 353, &sect; 2, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1031. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1031 through 1044 of this title shall be known and may be cited as the "Oklahoma Inspectors Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 1, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 26, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1032. Rules - Promulgation by Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall promulgate rules governing the examination and licensing of building, electrical, mechanical, plumbing, and other construction inspectors and the establishment of classifications for such inspectors. The Board may adopt as part of such rules any or all nationally recognized inspector certification programs or codes for purposes of building and construction inspector licensing. The rules adopted by the Board shall provide requirements for continuing education for building and construction inspectors.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 2, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 27, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1033. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Inspectors Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Oklahoma Inspector Examiners Committee;&nbsp;</span></p> <p><span class="cls0">3. "Building and construction inspection" means the inspection of plumbing, electrical, mechanical or structural aspects of building and construction, for the purpose of enforcing compliance with the applicable building codes or standards;&nbsp;</span></p> <p><span class="cls0">4. "Building and construction inspector" means any person actively engaged in the inspection of any phase of building and construction for the purpose of enforcing compliance with the applicable building codes or standards and includes, but is not limited to, plumbing inspectors, electrical inspectors, mechanical inspectors and structural inspectors; and&nbsp;</span></p> <p><span class="cls0">5. "Circuit rider inspector" means a person who acts as a building and construction inspector for two or more municipalities or other political subdivisions and is certified and licensed pursuant to the Oklahoma Inspectors Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 3, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 28, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1034. Oklahoma Inspector Examiners Committee - Members - Appointment - Qualifications - Travel Expenses.&nbsp;</span></p> <p><span class="cls0">There is hereby created the Oklahoma Inspector Examiners Committee which shall consist of seven (7) members. One member shall be the designee of the Construction Industries Board. When the terms of the other members serving on the Committee expire or are vacated, members shall be appointed by the Board, which may also remove any appointed member for cause. Appointed members shall hold office for terms of four (4) years or until their successors are appointed.&nbsp;</span></p> <p><span class="cls0">Four appointed members shall be residents of this state and each shall have had at least five (5) years of practical experience as a building and construction inspector in the respective field of the inspector. Of these appointees, one member each shall be appointed from the plumbing, electrical, mechanical and structural professions. One appointed member shall be a municipal officer as defined in Section 1-102 of Title 11 of the Oklahoma Statutes, and one appointed member shall be a lay person.&nbsp;</span></p> <p><span class="cls0">Each member shall serve without pay but shall be reimbursed for his actual expenses in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 4, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 29, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1035. Oklahoma Inspector Examiners Committee - Powers and duties.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Inspector Examiners Committee shall have the power and duty:&nbsp;</span></p> <p><span class="cls0">1. To assist the Construction Industries Board in certifying, licensing and otherwise regulating persons employed as building and construction inspectors;&nbsp;</span></p> <p><span class="cls0">2. To assist the Board in establishing and administering examinations to applicants for an Oklahoma inspector's license;&nbsp;</span></p> <p><span class="cls0">3. To assist the Board in prescribing and adopting forms for certification and licensure applications;&nbsp;</span></p> <p><span class="cls0">4. To assist the Board by making recommendations concerning rules which establish standards of performance for building and construction inspectors;&nbsp;</span></p> <p><span class="cls0">5. To assist the Board in determining whether certification by a national certification program or licensing by another governmental entity should be approved as a substitute for a successful completion of the Oklahoma Inspector's Examination;&nbsp;</span></p> <p><span class="cls0">6. To investigate alleged violations of the provisions of the Oklahoma Inspectors Act and of any rules promulgated pursuant thereto; and&nbsp;</span></p> <p><span class="cls0">7. To have such other powers and duties as are necessary to implement the Oklahoma Inspectors Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 5, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 30, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1036. Application for certification and license &ndash; Requirements - Provisional license &ndash; Examination - Nontransferability.&nbsp;</span></p> <p><span class="cls0">A. Applicants for certification and license shall:&nbsp;</span></p> <p><span class="cls0">1. Show proof of certification or licensing by a program or governmental entity approved by the Construction Industries Board; or&nbsp;</span></p> <p><span class="cls0">2. Have been certified by the Committee as having passed the examination.&nbsp;</span></p> <p><span class="cls0">The Board shall issue a license to any person who has met the requirements of paragraph 1 or 2 of this subsection and who has paid the fees required by the Oklahoma Inspectors Act and has otherwise complied with the applicable requirements of the Oklahoma Inspectors Act. Provided, the Board may issue a provisional license limited to two (2) years to enable an applicant to meet the certification requirements of this subsection.&nbsp;</span></p> <p><span class="cls0">B. Examinations shall be uniform and shall be practical in nature but shall be sufficiently strict to test the qualifications and fitness of the applicant as a building and construction inspector. The examination shall be in whole or in part in writing. Examination dates shall be set by the Committee. Any applicant failing to pass the examination shall not be permitted to take another examination for a period of thirty (30) days, and thereafter any such applicants subsequently failing to pass the examination shall not be permitted to take a subsequent examination for a period of ninety (90) days.&nbsp;</span></p> <p><span class="cls0">C. All licenses shall be nontransferable and it shall be unlawful for any holder of a license issued pursuant to the Oklahoma Inspectors Act to loan or allow the use of such license by any other person, firm or corporation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 6, eff. Nov. 6, 1989. Amended by Laws 1995, c. 9, &sect; 2, eff. Nov. 1, 1995; Laws 2001, c. 394, &sect; 31, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1037. Application forms - Fee - Renewal.&nbsp;</span></p> <p><span class="cls0">Application for examination, certification, or license or renewal of license shall be made to the Construction Industries Board in writing on forms furnished by the Board and each application shall be accompanied by a fee to be established by rule by the Board pursuant to Section 1000.5 of this title. Applicants for renewal may also be required to submit proof of compliance with continuing education requirements established by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 7, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 32, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 5, eff. July 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1038. License - Expiration - Late renewal - Fee - Exemption for military service.&nbsp;</span></p> <p><span class="cls0">A. Until June 30, 2004, no license shall be issued for longer than one (1) year and all licenses shall expire on June 30 of each year. Beginning July 1, 2004, all licenses shall expire on the birth date of the licensee. The Construction Industries Board shall establish by rule a method for prorating license fees to coincide with the birth date of the licensee.&nbsp;</span></p> <p><span class="cls0">B. An application for the renewal of a license which is received more than thirty (30) days following the date of expiration and which is accompanied by a fee established pursuant to Section 1000.5 of this title, and proof of current continuing education requirements, may be accepted and the license reissued without examination.&nbsp;</span></p> <p><span class="cls0">C. The fee for late renewal and the continuing education requirements shall not be required of any holder of a license which expires while such holder is in military service, if application for renewal is made within one (1) year following the service discharge of such person.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 8, eff. Nov. 1, 1989. Amended by Laws 2003, c. 318, &sect; 10, eff. Nov. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1039. Complaints - Investigation - Individual proceeding - Finding - Suspension or revocation of license - Other administrative penalties - Reapplication for license.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Inspector Examiners Committee may, upon its own motion, and shall upon written complaint filed by any person, investigate inspection practices of any building and construction inspector.&nbsp;</span></p> <p><span class="cls0">B. The Committee may request that an individual proceeding be conducted to determine whether the licensee has:&nbsp;</span></p> <p><span class="cls0">1. Made a material misstatement in the application for license or renewal thereof;&nbsp;</span></p> <p><span class="cls0">2. Loaned or illegally used the license of the licensee;&nbsp;</span></p> <p><span class="cls0">3. Demonstrated incompetency to act as a building and construction inspector; or&nbsp;</span></p> <p><span class="cls0">4. Violated any provision of the Oklahoma Inspectors Act, or any rule promulgated or order issued pursuant to the Oklahoma Inspectors Act.&nbsp;</span></p> <p><span class="cls0">C. After a finding by an impartial hearing examiner that the licensee is guilty of any violation as provided for in subsection B of this section, the Construction Industries Board may:&nbsp;</span></p> <p><span class="cls0">1. Suspend or revoke the license;&nbsp;</span></p> <p><span class="cls0">2. Defer such suspension or revocation pending mitigating or remedial action by the licensee; or&nbsp;</span></p> <p><span class="cls0">3. Assess administrative penalties pursuant to the provisions of Section 1044 of this title.&nbsp;</span></p> <p><span class="cls0">D. Any person whose license has been revoked by the Board may not apply for a new license for at least one (1) year from the date of such revocation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 9, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 33, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591040. Acting as or performing work of building and construction inspector without a license Violation Effective date.&nbsp;</span></p> <p><span class="cls0">Beginning February 1, 1990, it shall be unlawful for any person to act as or perform the work of a building and construction inspector unless such person is qualified and licensed as a building and construction inspector pursuant to the Oklahoma Inspectors Act.&nbsp;</span></p> <p><span class="cls0">&sect;59-1041. Employment of inspectors by municipality or other governmental entity - Notification of Commissioner - Exemption of municipalities under 10,000.&nbsp;</span></p> <p><span class="cls0">Any municipality or other governmental entity which employs any person as a building and construction inspector for functions normally performed by a building and construction inspector shall notify the Construction Industries Board of the employment.&nbsp;</span></p> <p><span class="cls0">Any municipality or other political subdivision of the state with a population of ten thousand (10,000) or less according to the most current census published by the Oklahoma Employment Security Board shall be exempt from the provisions of the Oklahoma Inspectors Act, unless such municipality or other political subdivision of the state employs the services of a circuit rider inspector.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 11, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 34, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1042. Oklahoma Inspectors Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Construction Industries Board, to be designated the "Oklahoma Inspectors Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board from fees and fines collected pursuant to the Oklahoma Inspectors Act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Construction Industries Board for the purpose of implementing the provisions of the Oklahoma Inspectors Act for the continuing education of building and construction inspectors, and for implementing programs designed to further the efficiency of the building and construction inspector profession and public understanding of the profession. Expenditures from said fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 12, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 35, eff. Jan. 1, 2002; Laws 2004, c. 163, &sect; 5, emerg. eff. April 26, 2004; Laws 2012, c. 304, &sect; 275.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591043. Nonapplicability to unincorporated areas of state.&nbsp;</span></p> <p><span class="cls0">This act shall not apply to unincorporated areas of this state.&nbsp;</span></p> <p><span class="cls0">&sect;59-1044. Violations - Penalties.&nbsp;</span></p> <p><span class="cls0">Any person convicted of acting or performing as a building and construction inspector without the proper license shall be guilty of a misdemeanor and shall be punished by a fine of not less than Two Hundred Fifty Dollars ($250.00) nor more than Two Thousand Five Hundred Dollars ($2,500.00), together with the costs of prosecution. Each day of violation shall constitute a separate offense.&nbsp;</span></p> <p><span class="cls0">Any entity who employs an unlicensed person to perform the duties and responsibilities of a building and construction inspector or who fails to notify the Construction Industries Board of the employment of an inspector shall be subject to an administrative fine of not more than Two Hundred Dollars ($200.00) for each violation. Each day a person is in violation may constitute a separate violation. The maximum fine shall not exceed One Thousand Dollars ($1,000.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 215, &sect; 14, eff. Nov. 1, 1989. Amended by Laws 2001, c. 394, &sect; 36, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1045. Access to premises to be granted - Violation.&nbsp;</span></p> <p><span class="cls0">Any building and construction inspector licensed pursuant to Sections 1031 through 1044 of this title, shall be granted access within a reasonable period of time to perform an inspection for the purpose of enforcing compliance with the Oklahoma Inspectors Act. Pursuant to its authority under Section 1000.4 of Title 59 of the Oklahoma Statutes, the Construction Industries Board may initiate disciplinary proceedings, request prosecution of and initiate injunctive proceedings against any person who violates this provision.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2002, c. 457, &sect; 6, eff. July 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1101. Short title - Declaration.&nbsp;</span></p> <p><span class="cls0">A. Sections 275 through 289 of this act shall be known and may be cited as the "Waterworks and Wastewater Works Operator Certification Act".&nbsp;</span></p> <p><span class="cls0">B. The Waterworks and Wastewater Works Operator Certification Act is declared to be necessary to safeguard life, health, and property, and to protect the waters of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 269, &sect; 1. Amended by Laws 1993, c. 145, &sect; 275, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1102. Definitions.&nbsp;</span></p> <p><span class="cls0">A. As used in the Waterworks and Wastewater Works Operator Certification Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Environmental Quality Board of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">2. "Certificate" means a certificate of competency issued as provided for herein;&nbsp;</span></p> <p><span class="cls0">3. "Department" means the Oklahoma Department of Environmental Quality;&nbsp;</span></p> <p><span class="cls0">4. "Executive Director" means the Executive Director of the Oklahoma Department of Environmental Quality;&nbsp;</span></p> <p><span class="cls0">5. "Helper" means any person who performs or assists in the performance of work which may affect the quality of either water or wastewater;&nbsp;</span></p> <p><span class="cls0">6. "Operator" means any person who is at any time responsible for the operation of a wastewater works or waterworks or associated laboratories, in part or in whole. Operator shall not ordinarily apply to an official exercising official general administrative supervision but shall include any person who can, through a direct act or command, affect the quality of the water or wastewater;&nbsp;</span></p> <p><span class="cls0">7. "Person" means and includes individuals, firms, partnerships, associations, and corporations; and also means and includes the State of Oklahoma, counties, districts, municipalities, and all subdivisions, districts, officers, agencies, departments, institutions, or instrumentalities of any thereof, whether governmental or proprietary;&nbsp;</span></p> <p><span class="cls0">8. "Wastewater works" means wastewater treatment systems and facilities used in the collection, transmission, storage, pumping, treatment or disposal of liquid or waterborne wastes, except as provided in subsection B of this section; and&nbsp;</span></p> <p><span class="cls0">9. "Waterworks" means facilities used in the procurement, treatment, storage, pumping or distribution of water for human consumption, except as provided in subsection B of this section.&nbsp;</span></p> <p><span class="cls0">B. The words "waterworks", or "wastewater works" shall not include:&nbsp;</span></p> <p><span class="cls0">1. Any waterworks used exclusively by a private residence or a private business or industry, except when a waterworks has fifteen or more permanent or temporary service connections available for residential use, or regularly serves twenty-five or more of the same individuals at least six (6) months in a year;&nbsp;</span></p> <p><span class="cls0">2. Any nonindustrial wastewater works treatment system which has an average flow of five thousand (5,000) gallons per day or less;&nbsp;</span></p> <p><span class="cls0">3. Any industrial wastewater works; and&nbsp;</span></p> <p><span class="cls0">4. Such classes of systems, which because of their size, type of treatment, or the nature of wastes involved, the Board shall find do not require general supervision by a certified operator in order to safeguard life, health, property, or the water supplies or streams of this state. Such classes shall be fixed by rules promulgated by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 270, &sect; 2. Amended by Laws 1965, c. 88, &sect; 1, emerg. eff. May 5, 1965; Laws 1978, c. 166, &sect; 1, eff. July 1, 1978; Laws 1993, c. 145, &sect; 276, eff. July 1, 1993; Laws 1993, c. 324, &sect; 50, eff. July 1, 1993; Laws 2005, c. 138, &sect; 2, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1103. Repealed by Laws 2013, c. 227, &sect; 12, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1104. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">The Environmental Quality Board shall have the power and duty to promulgate such rules, including requirements, restrictions and conditions relating to the hiring or contracting of licensed public water supply or wastewater operators pursuant to the provisions of Section 2 of this act and the establishment of a fee schedule pursuant to Section 2-3-402 of Title 27A of the Oklahoma Statutes, as it may deem necessary to the carrying out of the provisions and purposes of the Waterworks and Wastewater Works Operator Certification Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 271, &sect; 4. Amended by Laws 1993, c. 145, &sect; 278, eff. July 1, 1993; Laws 2006, c. 154, &sect; 1, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1105. Powers and duties of Department.&nbsp;</span></p> <p><span class="cls0">In addition to the other powers conferred by the Waterworks and Wastewater Works Operator Certification Act, the Department shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To institute in any court of competent jurisdiction such actions or proceedings, including but not limited to actions and proceedings for mandatory or prohibitory injunctions or mandamus, as it may deem necessary either to enforce or to prevent violation of any provision of this act or of any rule or order made thereunder, or to enforce any subpoena or order issued or made under authority of the Waterworks and Wastewater Works Operator Certification Act;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;2. To conduct and cooperate with others in conducting educational and training programs, including itinerant training programs or district meetings, concerning plant operation and related subjects;&nbsp;</span></p> <p><span class="cls0">3. To employ such personnel, incur such expenses, and purchase such personal property as may be necessary for the purposes of this act, insofar as funds are lawfully available therefor;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;4. To prescribe such procedures and forms as may be necessary to the administration of the Waterworks and Wastewater Works Operator Certification Act;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;5. To prescribe the form and content of, and to grade and determine the criteria for the successful completion of, examinations given to applicants and to provide for the confidentiality of examinations and individual test scores;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;6. To perform such other acts as shall be necessary for the accomplishment of the purposes of the Waterworks and Wastewater Works Operator Certification Act;&nbsp;</span></p> <p><span class="cls0">7. To enforce the provisions of the Waterworks and Wastewater Works Operator Certification Act, rules promulgated thereunder and orders, certifications and registrations issued pursuant thereto; and&nbsp;</span></p> <p><span class="cls0">8. To conduct voluntary certification programs, certification programs specifically authorized by state statute, and certification programs promulgated by the Environmental Quality Board pursuant to a federal regulation or requirement; and to issue, renew or reactivate certificates and to register persons employed as helpers pursuant to such programs.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 271, &sect; 5. Amended by Laws 1993, c. 145, &sect; 279, eff. July 1, 1993; Laws 1994, c. 353, &sect; 31, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1106. Unlawful acts - Necessity for certificate.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided in the Waterworks and Wastewater Works Operator Certification Act, it shall be unlawful:&nbsp;</span></p> <p><span class="cls0">1. For any person to employ or appoint or vote for or approve the employment or appointment of any person as an operator of a waterworks or wastewater works who does not possess a valid current certificate issued under the Waterworks and Wastewater Works Operator Certification Act, which certifies the operator's competency to operate a waterworks or wastewater works for which the operator is employed or appointed as operator; or to employ or appoint a person as an operator of a waterworks or wastewater works or vote for or approve the employment or appointment of any person as an operator of a waterworks or wastewater works contrary to the terms and conditions of the certificate held by such person;&nbsp;</span></p> <p><span class="cls0">2. For any person to be the operator of a waterworks or wastewater works for the operation of which the person does not hold a required certificate, or to be the operator of any waterworks or wastewater works contrary to any of the terms and conditions of the operator's certificate; or&nbsp;</span></p> <p><span class="cls0">3. For any person to violate any rule or order made under the authority of the Waterworks and Wastewater Works Operator Certification Act or any certificate issued pursuant thereto.&nbsp;</span></p> <p><span class="cls0">B. Paragraphs 1 and 2 of subsection A of this section shall apply to a waterworks or wastewater works employing a superintendent of the waterworks or wastewater works who has not obtained the proper level of certification within six (6) months of employment as superintendent. The Environmental Quality Board may, by rule, limit the number of times this six-month exemption is available to a waterworks and wastewater works.&nbsp;</span></p> <p><span class="cls0">C. The provisions of this section shall not affect the practice of engineering by a professional engineer.&nbsp;</span></p> <p><span class="cls0">D. A plumber licensed pursuant to the Plumbing License Law of 1955 shall not be required to hold any waterworks or wastewater operator certificate in order to make connections to public water systems or lines or sewer systems or lines.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 271, &sect; 6. Amended by Laws 1978, c. 166, &sect; 3, eff. July 1, 1978; Laws 1993, c. 145, &sect; 280, eff. July 1, 1993; Laws 1993, c. 324, &sect; 52, eff. July 1, 1993; Laws 1994, c. 353, &sect; 32, eff. July 1, 1994; Laws 1996, c. 115, &sect; 1, emerg. eff. April 18, 1996; Laws 1999, c. 204, &sect; 1, emerg. eff. May 24, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1107. Application for certificate - Qualifications - Renewals, expiratrion.&nbsp;</span></p> <p><span class="cls0">A. Upon application, made upon a form to be prescribed by the Department, by an individual not less than eighteen (18) years of age, the Department shall issue a certificate when the applicant has paid a nonrefundable application fee and has met any one of the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. An applicant who successfully completes training and examination as prescribed by the Department; or&nbsp;</span></p> <p><span class="cls0">2. An applicant who holds a license or certificate issued by any other state or territory of the United States, and currently valid at the time he makes application hereunder, similar to a certificate provided for herein, where the requirements of such other state or territory for the issuance of a license or certificate, at the time such applicant received said license or certificate, were of a level found by the Department to be the equivalent of the standards required hereby for a certificate of similar kind. Provided, however, that no certificate shall be issued under this paragraph unless the holder of a certificate under this act would be issued a similar license or certificate by such other state or territory under substantially the same conditions.&nbsp;</span></p> <p><span class="cls0">B. All fees shall be deposited in the Certification Fund.&nbsp;</span></p> <p><span class="cls0">C. Any certificate issued under this section shall be renewable annually for the period from July 1 to June 30.&nbsp;</span></p> <p><span class="cls0">D. A certificate shall be renewed upon approval of the Department. Application for such renewal shall be submitted to the Department on forms prescribed by the Department, shall be accompanied by a renewal fee as set by the Board and shall include documentation that the applicant has met the annual renewal training requirements of the Department. The Department may allow a thirty-one-day grace period for such renewals, from July 1 through July 31, without requiring payment of a late fee as set by the Board, provided the applicant submits the required renewal fee and qualifies for such renewal.&nbsp;</span></p> <p><span class="cls0">E. A certificate which is not so renewed by July 31 shall have no further force, effect or validity unless the Department, upon receipt of an application from the holder of the expired certificate within two (2) years after the certificate's June 30 renewal date, reactivates such certificate. Such reactivation application shall include the submission of data on forms prescribed by the Department, renewal and reactivation late fees as set by the Board, and documentation that the applicant has met the Department's renewal training requirements. A reactivated certificate may be renewed annually thereafter as provided in this section.&nbsp;</span></p> <p><span class="cls0">F. The holder of an expired and unreactivated certificate shall not be issued any new certificate unless he applies and qualifies therefor pursuant to the Waterworks and Wastewater Works Operator Certification Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 271, &sect; 7. Amended by Laws 1965, c. 88, &sect; 2, emerg. eff. May 5, 1965; Laws 1978, c. 166, &sect; 4, eff. July 1, 1978; Laws 1993, c. 145, &sect; 281, eff. July 1, 1993; Laws 1994, c. 353, &sect; 33, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1108. Temporary permit for operation of waterworks or wastewater works.&nbsp;</span></p> <p><span class="cls0">Any individual who, after the effective date of this act, is employed or appointed as operator of a waterworks or wastewater works for the operation of which he does not hold a certificate, or the operation of which would be contrary to the terms and conditions of any certificate held by such individual, shall be issued a temporary certificate for the operation of such works by the Department upon satisfactory application made therefor within ten (10) days after initial employment or appointment of such individual as the operator of such works, accompanied by a fee as set by the Board. Such application shall be made under oath, and shall provide in addition any information required by the Department. Said temporary certificate shall expire one (1) calendar year after the date of the applicant's initial employment as the operator of such works, and shall not be renewable. If such application is not made within said ten (10) days, then the continuation of such individual as the operator of such works after said ten (10) days shall be unlawful and shall constitute a violation of this act by both said individual and the person owning or maintaining such works. If the issuance of such temporary certificate is refused for any lawful reason, then the continuation of such individual as the operator of such works after thirty (30) days after the Department has mailed notice of such refusal to the person owning or maintaining such works, and to such applicant, shall be unlawful and shall constitute a violation of this act by both said individual and the person owning or maintaining such works. Not more than one temporary certificate shall be issued to the same individual during any five-year period. This section shall not be applicable to or authorize the issuance of a temporary certificate to any individual who has had a certificate revoked or whose certificate is under suspension, or to whom the issuance or renewal or reactivation of a certificate has been refused, under Section 1113 of this title, except where such individual has thereafter been reinstated or issued a certificate as provided in the Waterworks and Wastewater Works Operator Certification Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 272, &sect; 8. Amended by Laws 1993, c. 145, &sect; 282, eff. July 1, 1993; Laws 1993, c. 324, &sect; 53, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1109. Certificates may contain conditions or restrictions.&nbsp;</span></p> <p><span class="cls0">Any certificate issued pursuant to the Waterworks and Wastewater Works Operator Certification Act may contain such conditions or restrictions as the Department shall deem necessary or appropriate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 273, &sect; 9. Amended by Laws 1993, c. 145, &sect; 283, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1110. Certificate issued to individuals only.&nbsp;</span></p> <p><span class="cls0">A certificate shall not be issued pursuant to the provisions of the Waterworks and Wastewater Works Operator Certification Act to any person other than an individual.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 273, &sect; 10. Amended by Laws 1993, c. 145, &sect; 284, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1111. Refusal to issue, renew, reinstate, reactivate or to revoke or suspend certificate - Grounds - Notice and proceedings.&nbsp;</span></p> <p><span class="cls0">The Department shall have power to refuse to issue, renew, reinstate or reactivate or, after notice and opportunity for an individual proceeding as provided in the Administrative Procedures Act, the Oklahoma Environmental Quality Code and rules of the Board, to revoke or suspend any certificate for good cause including but not limited to:&nbsp;</span></p> <p><span class="cls0">1. Gross inefficiency or incompetence;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;2. Violation of any provisions of the Waterworks and Wastewater Works Operator Certification Act or applicable provisions of the Oklahoma Environmental Quality Code, rules promulgated thereunder or the terms of any certificate or order issued pursuant thereto; or&nbsp;</span></p> <p><span class="cls0">3. Fraud or misrepresentation in obtaining a certificate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 273, &sect; 11. Amended by Laws 1993, c. 145, &sect; 285, eff. July 1, 1993; Laws 1994, c. 353, &sect; 34, eff. July 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1112. Renewal, reactivation or reinstatement of certificate.&nbsp;</span></p> <p><span class="cls0">After the expiration of one (1) year after the Department denies an application for certification, renewal or reactivation or revokes a certificate pursuant to the Waterworks and Wastewater Works Operator Certification Act, the holder of such certificate may make application to the Department for renewal, reactivation or reinstatement. Such renewal, reactivation or reinstatement shall rest in the sound discretion of the Department.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 274, &sect; 12. Amended by Laws 1993, c. 145, &sect; 286, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1113. Certification Fund - Created - Receipts - Disbursements - Use of fund for training program.&nbsp;</span></p> <p><span class="cls0">There is hereby created a revolving fund in the State Treasury to be known as the "Certification Fund". Said fund shall consist of all monies appropriated to said fund, and all fees collected under the provisions of this act. Said fund shall be under the control and supervision of the Department, and shall be paid out on claims approved by the Department and forwarded to the Director of the Office of Management and Enterprise Services who shall audit the same, and, upon approval thereof, warrants shall be issued according to law, and said warrants shall be paid by the State Treasurer from the said fund. The said fund shall be expended for training programs including itinerant training programs, meetings, personnel, expenses, and purchase of personal property, to carry out the purposes of the Waterworks and Wastewater Works Operator Certification Act, and for no other purpose. Nothing herein shall prevent the expenditure of other funds of the Department or of the Board, the expenditure of which is not otherwise restricted, from being expended to accomplish the purposes of the Waterworks and Wastewater Works Operator Certification Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 274, &sect; 13. Amended by Laws 1993, c. 145, &sect; 287, eff. July 1, 1993; Laws 2012, c. 304, &sect; 276.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591114. Powers of Commissioner subject to rules and regulations of Board.&nbsp;</span></p> <p><span class="cls0">The powers herein granted to the Commissioner shall be exercised subject to such rules and regulations as the Board may make, which are applicable thereto.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1959, p. 274, &sect; 14. &nbsp;</span></p> <p><span class="cls0">&sect;59-1115. Violations and penalties.&nbsp;</span></p> <p><span class="cls0">Any public officer who shall knowingly violate any provision of the Waterworks and Wastewater Works Operator Certification Act shall upon conviction thereof be guilty of a misdemeanor. If any county, district, municipality, or any agency or instrumentality thereof, or any state board, institution, agency, instrumentality, or commission shall violate any provision of the Waterworks and Wastewater Works Operator Certification Act, each of the members of the governing board thereof who shall vote for or otherwise approve of such violation shall upon conviction thereof be guilty of a misdemeanor. Every other person who shall violate any provision of the Waterworks and Wastewater Works Operator Certification Act shall upon conviction thereof be guilty of a misdemeanor. Any person guilty of a misdemeanor hereunder shall, upon conviction thereof, be punished by a fine of not to exceed One Hundred Dollars ($100.00), or by imprisonment in the county jail for not to exceed thirty (30) days, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1959, p. 274, &sect; 15. Amended by Laws 1993, c. 145, &sect; 288, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1117. Registration of helpers - Reporting list of helpers.&nbsp;</span></p> <p><span class="cls0">A. A helper shall register annually with the Department. Any registered helper shall work only under the direct supervision of a certified operator.&nbsp;</span></p> <p><span class="cls0">B. Any authority, company, district, county, municipality, individual or agency providing water or wastewater services shall report a list of all helpers in its employment as of the first day of July of each year together with a registration fee for each such helper and such other information as may be required by the Department.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 166, &sect; 5, eff. July 1, 1978. Amended by Laws 1993, c. 145, &sect; 289, eff. July 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1118. Hiring or contracting of licensed public water supply or wastewater operators.&nbsp;</span></p> <p><span class="cls0">A. A municipality, sewer improvement district, water or sewer public trust, or rural water or sewer district may hire or contract for the services of one or more operators, properly licensed and certified by the Department of Environmental Quality, to operate the entity&rsquo;s publicly owned public water supply or wastewater systems. The entity may contract with a small publicly owned water supply system or small publicly owned wastewater system to provide the services of the entity&rsquo;s certified operator or operators to assist in the operation of the small system.&nbsp;</span></p> <p><span class="cls0">B. A consortium of small publicly owned water supply systems or small publicly owned wastewater systems may hire or contract for the services of one or more operators, properly licensed and certified by the Department, to provide certified operator services for those small publicly owned public water supply or wastewater systems.&nbsp;</span></p> <p><span class="cls0">C. A substate planning district may hire or contract for the services of one or more operators, properly licensed and certified by the Department, to provide certified operator services for small publicly owned public water supply or wastewater systems within the substate planning district.&nbsp;</span></p> <p><span class="cls0">D. The Oklahoma Rural Water Association may hire or contract for the services of one or more operators, properly licensed and certified by the Department, to provide certified operator services for small publicly owned public water supply or waste water systems.&nbsp;</span></p> <p><span class="cls0">E. The Environmental Quality Board shall adopt rules defining a small system for purposes of this section, and establishing such requirements, restrictions and conditions relating to the hiring and contracting of operators as it deems necessary to ensure proper operation of publicly owned public water supply or wastewater systems.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 154, &sect; 2, eff. July 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1150.1. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1150.1 through 1150.13 of this title shall be known and may be cited as the "Oklahoma Sanitarian and Environmental Specialist Registration Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 290, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 1, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.2. Definitions.&nbsp;</span></p> <p><span class="cls0">For the purposes of the Oklahoma Sanitarian and Environmental Specialist Registration Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Health of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">2. "Commissioner" means the State Commissioner of Health of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">3. "Council" means the Sanitarian and Environmental Specialist Registration Advisory Council;&nbsp;</span></p> <p><span class="cls0">4. "Executive Director" means the Executive Director of the Department of Environmental Quality;&nbsp;</span></p> <p><span class="cls0">5. "Person" means individuals;&nbsp;</span></p> <p><span class="cls0">6. "Registration" means a certificate issued pursuant to the Oklahoma Sanitarian and Environmental Specialist Registration Act; and&nbsp;</span></p> <p><span class="cls0">7. "Sanitarian or environmental specialist" means a person uniquely qualified by education in the sciences, specialized training, and documented field experience to effectively plan, organize, manage, execute and evaluate one or more of the many diverse elements comprising the fields of public health or environmental protection or both public health and environmental protection. The term "sanitarian or environmental specialist" may be interpreted to include environmental sanitarian, environmental protection specialist, environmental health specialist or other similar terms.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 225, &sect; 17. Amended by Laws 1993, c. 145, &sect; 291, eff. July 1, 1993. Renumbered from Title 63, &sect; 1-2201 by Laws 1993, c. 145, &sect; 360, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 2, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.3. Promulgation of rules.&nbsp;</span></p> <p><span class="cls0">The State Board of Health in conjunction with the Sanitarian and Environmental Specialist Registration Advisory Council is hereby authorized to promulgate rules governing the examination and registration of sanitarians and environmental specialists, and the defining of categories and limitations for such registration and providing continuing education requirements for the renewal of registration.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 292, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 3, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.4. Intent of Legislature - Disposition of fees collected.&nbsp;</span></p> <p><span class="cls0">A. It is the intent of the Legislature that the Council and the registration of sanitarians and environmental specialists pursuant to the provisions of the Oklahoma Sanitarian and Environmental Specialist Registration Act shall constitute a section of the Occupational Licensing Division of the Oklahoma State Department of Health.&nbsp;</span></p> <p><span class="cls0">B. Fees collected pursuant to the provisions of the Oklahoma Sanitarian and Environmental Specialist Registration Act shall be determined by the Board in conjunction with the Council pursuant to Article I of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 293, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 4, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.5. Sanitarian and Environmental Specialist Registration Advisory Council.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the "Sanitarian and Environmental Specialist Registration Advisory Council", which shall consist of nine (9) members as follows:&nbsp;</span></p> <p><span class="cls0">1. One member shall be the Commissioner of Health or designated representative;&nbsp;</span></p> <p><span class="cls0">2. One member shall be the Executive Director of the Department of Environmental Quality or designee;&nbsp;</span></p> <p><span class="cls0">3. One member shall be the Director of the Office of Management and Enterprise Services or designee;&nbsp;</span></p> <p><span class="cls0">4. One member who shall be appointed for an initial term of three (3) years by the Director of the City-County Health Department of Oklahoma County;&nbsp;</span></p> <p><span class="cls0">5. One member who shall be appointed for an initial term of three (3) years by the Director of the Tulsa City-County Health Department;&nbsp;</span></p> <p><span class="cls0">6. Two members shall be employed by state government who shall be appointed by the Commissioner for an initial term of two (2) years each; and&nbsp;</span></p> <p><span class="cls0">7. Two members, for an initial term of one (1) year each, who shall be appointed by the Executive Director of the Department of Environmental Quality, one who is employed by private industry and one who is employed by the Indian Health Service of the Public Health Service or by a tribal government with an office in the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">B. With the exception of paragraph 3 of subsection A of this section all of the members shall have at least five (5) years of experience as registered sanitarians or environmental specialists.&nbsp;</span></p> <p><span class="cls0">C. After expiration of one initial term of office, the term of office of each appointed member shall be for three (3) years. Each appointed member shall hold office until his successor is appointed and has qualified under the Oklahoma Sanitarian and Environmental Specialist Registration Act. The initial term for all appointed members shall begin January 1, 1996.&nbsp;</span></p> <p><span class="cls0">D. Sixty (60) days prior to the expiration of the term to be filled or whenever a vacancy occurs, any statewide organization whose membership represents more than twenty percent (20%) of the registered sanitarians and environmental specialists in the state may recommend three persons for such position or vacancy to the appointing authority.&nbsp;</span></p> <p><span class="cls0">E. Appointed members of the Council may be removed from office by the appointing authority.&nbsp;</span></p> <p><span class="cls0">F. The members of the Council shall serve without pay but may be reimbursed for actual expenses pursuant to the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">G. The Council shall elect from among its membership a chair, vice-chair and secretary to serve a term of not more than one (1) year ending on July 1 of the year designated by the Council. Members may be elected for more than one term. The chair or vice-chair shall preside at all meetings. The chair, vice-chair and secretary shall perform such duties as may be decided by the Council in order to effectively administer the Oklahoma Sanitarian and Environmental Specialist Registration Act.&nbsp;</span></p> <p><span class="cls0">H. A majority of Council members shall constitute a quorum to transact official business.&nbsp;</span></p> <p><span class="cls0">I. The Council shall meet within sixty (60) days after the effective date of this act and shall meet thereafter at such times as the Council deems necessary to implement the Oklahoma Sanitarian and Environmental Specialist Registration Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 294, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 5, eff. Nov. 1, 1995; Laws 2012, c. 304, &sect; 277.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1150.6. Powers and duties of Council.&nbsp;</span></p> <p><span class="cls0">Pursuant to the Oklahoma Sanitarian and Environmental Specialist Registration Act, the Council shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Assist and advise the Board on all matters relating to the formulation of rules in accordance with this act;&nbsp;</span></p> <p><span class="cls0">2. Administer and develop the examinations of applicants for registration pursuant to this act;&nbsp;</span></p> <p><span class="cls0">3. Determine qualifications of applicants for registration pursuant to this act;&nbsp;</span></p> <p><span class="cls0">4. Prescribe and adopt forms for registration applications and initiate mailing of the application forms to all persons requesting applications;&nbsp;</span></p> <p><span class="cls0">5. Investigate alleged violations of the provisions of this act and of any rules promulgated by the Board thereunder;&nbsp;</span></p> <p><span class="cls0">6. Assist the Board in establishing categories of registrations and application requirements for each category including but not limited to education, experience requirements, and examinations; and&nbsp;</span></p> <p><span class="cls0">7. Have such other powers and duties as is necessary to implement this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 295, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 6, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.7. Certificate of registration - Qualifications - Issuance - Sanitarian- or environmental specialist-in-training.&nbsp;</span></p> <p><span class="cls0">A. Applicants for certificate of registration as a sanitarian or environmental specialist shall be approved for registration by the Council upon compliance with the following:&nbsp;</span></p> <p><span class="cls0">1. Have two (2) years of postgraduate, full-time experience working in the fields of public health or environmental protection;&nbsp;</span></p> <p><span class="cls0">2. Have a four-year baccalaureate degree with a major in public health, environmental health, environmental science, physical science, natural science, biological science, agricultural science, or equivalent, from an accredited college or university with at least thirty (30) semester hours of work in physical, natural and biological sciences, public health and/or environmental health or environmental protection or both environmental health and environmental protection;&nbsp;</span></p> <p><span class="cls0">3. Pass an examination prescribed by the Council, demonstrating knowledge and understanding of the principles of sanitation and of the physical, biological and environmental sciences; and&nbsp;</span></p> <p><span class="cls0">4. Pay applicable examination and registration fees.&nbsp;</span></p> <p><span class="cls0">B. Upon compliance with subsection A of this section, the Commissioner shall issue a certificate of registration as a registered professional sanitarian or registered professional environmental specialist. The area of specialization, if any, shall be designated on the certificate.&nbsp;</span></p> <p><span class="cls0">C. Applicants who, except for the experience requirement, meet all qualifications for registration as required in this section may be granted a certificate as a sanitarian- or environmental specialist-in-training, which certificate shall remain in effect, unless revoked by the Commissioner, for a period not to exceed thirty (30) months after date of issue.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 225, &sect; 18. Amended by Laws 1993, c. 145, &sect; 296, eff. July 1, 1993. Renumbered from Title 63, &sect; 1-2202 by Laws 1993, c. 145, &sect; 360, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 7, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.8. Examinations.&nbsp;</span></p> <p><span class="cls0">A. Examinations shall be uniform and practical in nature and shall be sufficiently strict to test the qualifications and fitness of the applicants for registration. Examinations shall be in whole or in part in writing. The Council shall conduct examinations twice a year and at such other times as it deems necessary. Examinations may be general or specific to an area of specialization.&nbsp;</span></p> <p><span class="cls0">B. Any applicant initially failing to pass the examination shall not be permitted to take another examination for a period of thirty (30) days. Any applicant subsequently failing to pass the examination shall not be permitted to take another examination for a period of ninety (90) days.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 297, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 8, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.9. Criteria for issuance of registration - Nontransferability - Registration without examination or additional fees.&nbsp;</span></p> <p><span class="cls0">A. The Commissioner shall issue a certificate of registration as a sanitarian or environmental specialist to any person who:&nbsp;</span></p> <p><span class="cls0">1. Has been certified by the Council as having a current valid registration in good standing issued by another entity with registration requirements similar to but not less than those provided in the Oklahoma Sanitarian and Environmental Specialist Registration Act; and&nbsp;</span></p> <p><span class="cls0">2. Has paid the registration fee and otherwise complied with the provisions of the Oklahoma Sanitarian and Environmental Specialist Registration Act.&nbsp;</span></p> <p><span class="cls0">B. No registration shall be issued unless the holder of a registration pursuant to the Oklahoma Sanitarian and Environmental Specialist Registration Act would be issued a similar registration by such other body under substantially the same conditions.&nbsp;</span></p> <p><span class="cls0">C. All registrations shall be nontransferable. It shall be a misdemeanor for any person registered pursuant to the provisions of the Oklahoma Sanitarian and Environmental Specialist Registration Act to loan or allow the use of such registration by any other person.&nbsp;</span></p> <p><span class="cls0">D. Until January 1, 1994, the Council shall, upon proper application, issue registrations without examinations and without payment of additional fees to persons who prior to October 1, 1993, hold unexpired registrations as sanitarians issued by the Commissioner, and who have otherwise complied with the requirements of the Oklahoma Sanitarian Registration Act as of October 1, 1993. This registration must be produced as a prerequisite to obtaining a registration pursuant to the Oklahoma Sanitarian and Environmental Specialist Registration Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 298, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 9, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.10. Repealed by Laws 1995, c. 91, &sect; 12, eff. Nov. 1, 1995.&nbsp;</span></p> <p><span class="cls0">&sect;59-1150.11. Repealed by Laws 1995, c. 91, &sect; 12, eff. Nov. 1, 1995.&nbsp;</span></p> <p><span class="cls0">&sect;59-1150.12. Use of title and abbreviation R.P.S. or R.P.E.S.&nbsp;</span></p> <p><span class="cls0">Only a person who has qualified as a registered sanitarian or environmental specialist and who holds a valid current registration certificate for use in this state shall have the right and privilege of using the title Registered Professional Sanitarian or Registered Professional Environmental Specialist and to use the abbreviation R.P.S. or R.P.E.S. after the name of such person. Any person who violates the provisions of this section, upon conviction thereof, shall be guilty of a misdemeanor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 301, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 10, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.13. Revocation or suspension of registration.&nbsp;</span></p> <p><span class="cls0">A. The Commissioner shall have the power to revoke the certificate of registration of any registrant pursuant to this section.&nbsp;</span></p> <p><span class="cls0">B. The Commissioner shall suspend or revoke or not renew any registration for:&nbsp;</span></p> <p><span class="cls0">1. Fraud or deceit in obtaining a registration;&nbsp;</span></p> <p><span class="cls0">2. Making a material misstatement in the application for a registration, or the renewal of a registration;&nbsp;</span></p> <p><span class="cls0">3. Loaning or illegally using a registration;&nbsp;</span></p> <p><span class="cls0">4. Demonstrating incompetence, or any gross negligence or misconduct in the profession of Registered Professional Sanitarian or Registered Professional Environmental Specialist; or&nbsp;</span></p> <p><span class="cls0">5. Violating any provisions of the Oklahoma Sanitarian and Environmental Specialist Registration Act, or any rule, or order prescribed by the Board promulgated thereto.&nbsp;</span></p> <p><span class="cls0">C. Any person whose registration has been revoked by the Commissioner may apply for a new registration one (1) year from the date of such revocation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 145, &sect; 302, eff. July 1, 1993. Amended by Laws 1995, c. 91, &sect; 11, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1150.14. Soil tests to design sewage disposal systems for compensation.&nbsp;</span></p> <p><span class="cls0">Individuals registered under the Oklahoma Sanitarian and Environmental Specialist Registration Act who are employed by the State of Oklahoma may perform soil tests to design sewage disposal systems for compensation during hours when they are not officially on work status as a state employee, as defined by a state agency&rsquo;s policy and procedures. This section shall not preclude the State of Oklahoma from receiving compensation for soil tests performed by these individuals as part of their official state employment duties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 245, &sect; 2, eff. Nov. 1, 2001. Amended by Laws 2005, c. 187, &sect; 1, emerg. eff. May 17, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1151.1. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Roofing Contractor Registration Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 1, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Roofing Contractor Registration Act:&nbsp;</span></p> <p><span class="cls0">1. "Roofing contractor" means any person, including a subcontractor and nonresident contractor, engaged in the business of commercial or residential roofing services for a fee, or who offers to engage in or solicits roofing-related services, including construction, installation, renovation, repair, maintenance, alteration, and waterproofing. Roofing contractor shall not mean a person engaged in the demolition of a structure or the cleanup of construction waste and debris that contains roofing material nor a person working under the direct supervision of the roofing contractor who is hired either as an employee, day laborer, or contract laborer;&nbsp;</span></p> <p><span class="cls0">2. "Nonresident contractor" means any contractor who has not established and maintained a place of business as a roofing contractor in this state within the preceding year, or who claims residency in another state, or who has not submitted an income tax return as a resident of this state within the preceding year;&nbsp;</span></p> <p><span class="cls0">3. "Person" means any individual, firm, partnership, association, corporation, limited liability company, or other group or combination thereof acting as a unit, unless the intent to give a more limited meaning is disclosed clearly by this act;&nbsp;</span></p> <p><span class="cls0">4. "Public contract" means a contract with the State of Oklahoma, its political subdivisions, or any board, commission, or department thereof, or with any board of county commissioners, or with any city council, school board, or with any state or municipal agency, or with any other public board, body, commission, or agency authorized to award contracts for the construction or reconstruction of public work and includes subcontracts undertaken to perform works covered by the original contract or any part thereof; and&nbsp;</span></p> <p><span class="cls0">5. "Registrar" means the Construction Industries Board or any person designated by the Board to administer the provisions of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 2, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.3. Registration - Fine.&nbsp;</span></p> <p><span class="cls0">A. A person may not engage in the business nor act in the capacity of a roofing contractor within this state nor may that person bring or maintain any claim, action, suit, or proceeding in any court of this state related to the person's business or capacity as a roofing contractor without a valid registration as provided in the Roofing Contractor Registration Act.&nbsp;</span></p> <p><span class="cls0">B. A person who fails to obtain a valid registration prior to acting as a roofing contractor as defined in the Roofing Contractor Registration Act, a person who acts as a roofing contractor while his or her registration is suspended or revoked, or a person who violates any provision of the Roofing Contractor Registration Act shall be guilty of a misdemeanor, upon conviction, punishable by a fine not to exceed Five Hundred Dollars ($500.00) for each violation. More than one violation in any twelve-month period shall be grounds for the suspension of the registration, and shall cause the person to be ineligible for registration for a period not to exceed twelve (12) months.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 3, eff. Nov. 1, 2010. Amended by Laws 2011, c. 225, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.4. Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board is authorized to employ personnel and procure such supplies and equipment as may be necessary to carry out and implement the provisions of this act, subject to budgetary limitations and funding. The Construction Industries Board may promulgate forms to implement the provisions of this act. The Construction Industries Board may administer any provision of this act through use of the Internet or other technology as deemed necessary or appropriate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 4, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.5. Obtaining a roofing contractor registration - Refusal of registration - Registrar.&nbsp;</span></p> <p><span class="cls0">A. To obtain a roofing contractor registration under the Roofing Contractor Registration Act, an applicant who is eighteen (18) years of age or older shall submit, on forms the registrar prescribes, an application under oath containing a statement of the applicant's experience and qualifications as a roofing contractor, if any, the applicant&rsquo;s name, physical address, business name and address and place of incorporation, if different, information on any other person who will be authorized to act as the business entity, and the applicant&rsquo;s phone number. A copy of the roofing contractor&rsquo;s certificate of liability insurance shall be filed with the application and shall be not less than Five Hundred Thousand Dollars ($500,000.00). Any insurance company issuing a liability policy to a roofing contractor pursuant to the provisions of the Roofing Contractor Registration Act shall be required to notify the Construction Industries Board in the event such liability policy is cancelled for any reason or lapses for nonpayment of premiums. All registrations granted under the Roofing Contractor Registration Act shall be suspended on the date of the policy cancellation. The registrar must receive proof of insurance prior to restoring the registration. In addition, the roofing contractor shall submit proof that the contractor has secured workers' compensation coverage satisfactory under the Workers' Compensation Act, or an affidavit of exemption or self-insurance as authorized pursuant to the Workers&rsquo; Compensation Act. If the registrar deems it appropriate or necessary, the registrar may also require other information to be included on the application form to assist the registrar in registering the person as a contractor. The application shall contain statements that the applicant desires the issuance of a roofing contractor registration certificate; that the applicant will comply with the provisions of the Roofing Contractor Registration Act; that the applicant will comply with state laws and local ordinances relating to standards and permits; that the applicant has or has not been registered or licensed as a roofing contractor in another state and whether any disciplinary action was taken against such registration or license or whether it is still in good standing; and that the nonresident applicant appoints the Secretary of State as legal service agent for all lawful process to be served upon the applicant for work performed in this state or as otherwise provided in the Roofing Contractor Registration Act.&nbsp;</span></p> <p><span class="cls0">B. The registrar shall refuse to register any person if the registrar determines:&nbsp;</span></p> <p><span class="cls0">1. The application contains false, misleading, or incomplete information;&nbsp;</span></p> <p><span class="cls0">2. The applicant fails or refuses to provide any information requested by the registrar;&nbsp;</span></p> <p><span class="cls0">3. The applicant fails or refuses to pay the required fees;&nbsp;</span></p> <p><span class="cls0">4. The applicant is ineligible for registration due to a suspended or revoked registration in this state;&nbsp;</span></p> <p><span class="cls0">5. The nonresident applicant has a revoked or suspended registration or license required by law for roofing contractors in another state; or&nbsp;</span></p> <p><span class="cls0">6. The applicant has failed or refuses to submit any taxes due in this state.&nbsp;</span></p> <p><span class="cls0">C. The registrar shall notify the applicant in writing if the registrar denies a registration or renewal certificate, and shall provide the applicant an opportunity to respond to or cure any defect in the written application or renewal for a period of ten (10) days from the date of the written notification. An applicant aggrieved by a decision of the registrar denying a registration or renewal may appeal the decision as provided in the Administrative Procedures Act, or the applicant may reapply after a ninety-day waiting period, if otherwise eligible under the provisions of the Roofing Contractor Registration Act. The application and renewal fees shall not be refundable.&nbsp;</span></p> <p><span class="cls0">D. The registrar shall classify as not in good standing the registration of any roofing contractor who fails to:&nbsp;</span></p> <p><span class="cls0">1. Maintain liability insurance coverage;&nbsp;</span></p> <p><span class="cls0">2. Maintain workers' compensation coverage satisfactory under the Workers' Compensation Act, or provide an affidavit of exemption or self-insurance as authorized pursuant to the Workers&rsquo; Compensation Act;&nbsp;</span></p> <p><span class="cls0">3. File, renew, or properly amend any fictitious name certificate;&nbsp;</span></p> <p><span class="cls0">4. Maintain an active status of a corporation or registration as a foreign corporation, a limited liability company or registration as a foreign limited liability company, a limited liability partnership registration or foreign limited liability partnership registration, or a limited partnership certificate or limited partnership or foreign limited partnership certificate of authority, with the Office of the Secretary of State;&nbsp;</span></p> <p><span class="cls0">5. File or renew a trade name registration;&nbsp;</span></p> <p><span class="cls0">6. Maintain or renew a roofing contractor registration as provided in the Roofing Contractor Registration Act;&nbsp;</span></p> <p><span class="cls0">7. Notify the registrar of a change in name, address, legal business entity, legal service agent, or adjudication by a court of competent jurisdiction for any act or omission specified in subsection A of Section 1151.14 of this title or a violation of the Roofing Contractor Registration Act;&nbsp;</span></p> <p><span class="cls0">8. Maintain a registration as required by law in another state while registered in this state as a nonresident roofing contractor; or&nbsp;</span></p> <p><span class="cls0">9. File and pay all taxes when due in this state.&nbsp;</span></p> <p><span class="cls0">E. The registrar shall send a written notice to the person when his or her registration is not in good standing. Any roofing contractor who has been notified by the registrar that his or her registration is not in good standing shall cease soliciting or entering new roofing services and projects as of the date of such notification; however, the roofing contractor shall be allowed to complete roofing projects where actual physical work has begun prior to the date of issuance of the notice that his or her registration is not in good standing. The roofing contractor must disclose the change in standing to any homeowner or other person who has an interest in any job covered under the Roofing Contractor Registration Act. Upon notice of a change in standing, the homeowner shall have the option to cancel the contract. The roofing contractor will be owed the actual cost incurred for materials and the market value of labor already incurred on the job. The roofing contractor must obtain an updated authorization from the homeowner and other parties of interest if there is an agreement to continue the job as originally negotiated. If the roofing contractor fails to correct the deficiency specified in the notice by evidence satisfactory to the registrar within thirty (30) days of the date of the notice, or if the roofing contractor solicits or enters into new roofing services contracts or projects while the roofing contractor's registration is not in good standing, or while such registration is suspended or revoked, the roofing contractor shall be in violation of the provisions of the Roofing Contractor Registration Act. Any registration that remains not in good standing for a sixty-day period shall be suspended on the sixtieth day from the date of issuance of the notice to the roofing contractor that his or her registration is not in good standing. Any registration the remains not in good standing, and is suspended for such cause, shall be revoked on the ninetieth day from the date of issuance of the notice to the roofing contractor that his or her registration is not in good standing. The registrar shall notify the roofing contractor upon suspension or revocation of his or her registration for failure to comply in bringing such registration into good standing as required by law. The roofing contractor may reinstate his or her registration to good standing by paying the required fees provided in Section 1151.12 of this title and complying with all other requirements for issuance of a registration in good standing. Any person aggrieved by the decision of the registrar to suspend or revoke a registration pursuant to this section may appeal such decision as provided in the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 5, eff. Nov. 1, 2010. Amended by Laws 2011, c. 225, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.6. Application questions - Criminal history records search or background check.&nbsp;</span></p> <p><span class="cls0">A. There shall be a question on the application and renewal forms requiring the applicant to answer under oath whether or not the applicant has been convicted of a felony offense in this state, another state, or any other place, and the nature of that offense upon which a conviction was imposed. The registrar shall provide either on the application and renewal forms or by separate notice a statement describing the requirement under state law to register upon entering this state to reside or work if the person has been convicted of a sex offense.&nbsp;</span></p> <p><span class="cls0">B. Conviction of an offense shall not disqualify a person from registration as a roofing contractor under this act; provided, the applicant has truthfully disclosed the conviction and nature of the offense.&nbsp;</span></p> <p><span class="cls0">C. When deemed appropriate, the registrar may conduct a criminal history records search or background check on any applicant or registered roofing contractor and may investigate the information submitted on a roofing contractor application or renewal form; provided, no adverse action may be taken against the person until the person has been notified and given an opportunity to respond in writing.&nbsp;</span></p> <p><span class="cls0"> D. The registrar, its agents, employees and assigns shall not be liable and are granted immunity for the acts or omissions of any registered roofing contractor or its employees, or for any person&rsquo;s failure or omission to properly disclose any information on an application or renewal form, including, but not limited to, pending criminal charges, arrests or prior criminal history records, disclosure of his or her roofing contractor registration status, or his or her qualifications to perform or act as a roofing contractor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 6, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.7. Roofing contractor registration certificate - Business limitations.&nbsp;</span></p> <p><span class="cls0">The holder of a roofing contractor registration certificate is entitled to engage in the roofing business within this state pursuant to the provisions of the Roofing Contractor Registration Act, and subject to the following limitations:&nbsp;</span></p> <p><span class="cls0">1. A roofing contractor&rsquo;s registration certificate number shall be valid and in good standing at the time of soliciting a project and during subsequent job performance;&nbsp;</span></p> <p><span class="cls0">2. A roofing contractor&rsquo;s registration certificate number shall be submitted when applying for any permit issued by the state, or any of its political subdivisions, for commercial or residential roofing services or projects, if a permit is required by such authority, and shall be written upon each permit issued. Provided, however, no permitting authority shall require a roofing contractor registration certificate as a condition to issuing a permit when registration is exempt pursuant to Section 1151.9 of this title;&nbsp;</span></p> <p><span class="cls0">3. A roofing contractor&rsquo;s registration certificate cannot be shared or used by any other individual or business entity; provided, however, a business firm, partnership, association, corporation, limited liability company, or other group or combination thereof acting as a unit may be granted a single roofing registration certificate number for use by designated roofing contractors acting as agents for the business entity when the application for registration contained sufficient information on each member, partner, officer and agent and the registrar issued a single certificate number to such persons as a business unit;&nbsp;</span></p> <p><span class="cls0">4. Upon any change to the name, address, business entity, or legal service agent of a roofing contractor or upon adjudication by a court of competent jurisdiction for a violation of the Roofing Contractor Registration Act or an act or omission specified in subsection A of Section 1151.14 of this title, the registrar shall be notified in writing;&nbsp;</span></p> <p><span class="cls0">5. A roofing contractor shall comply with state laws and local ordinances relating to standards and permits for roofing services and projects; and&nbsp;</span></p> <p><span class="cls0">6. A roofing contractor must pay taxes due in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 7, eff. Nov. 1, 2010. Amended by Laws 2011, c. 225, &sect; 3.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.8. Registration fee.&nbsp;</span></p> <p><span class="cls0">A. At the time of making application for a roofing contractor registration certificate pursuant to the Roofing Contractor Registration Act, the applicant shall pay to the registrar a fee of Seventy-five Dollars ($75.00) for the annual registration certificate.&nbsp;</span></p> <p><span class="cls0">B. All monies collected by the registrar for roofing contractor registration applications, renewals and other fee assessments shall be deposited by the registrar and credited to the Roofing Contractor Registration Revolving Fund and such funds shall be used by the registrar to implement and administer the provisions of the Roofing Contractor Registration Act.&nbsp;</span></p> <p><span class="cls0">C. The fee to be submitted with an application for a roofing contractor registration may be prorated as set by the provisions of the Roofing Contractor Registration Act. Unless prorated at the time of initial registration, fees shall be paid in the amount stated in subsection A of this section and such registration certificates shall expire June 30 each year.&nbsp;</span></p> <p><span class="cls0">D. A renewal fee for a roofing contractor registration shall be Seventy-five Dollars ($75.00) for the annual renewal registration certificate.&nbsp;</span></p> <p><span class="cls0">E. Any person having registered prior to July 15, 2011, shall be entitled to a fee refund for any amount paid in excess of the fee stated in subsection A of this section. The registrar shall make the fee refund on the date of expiration of the current registration period for which the fee charged was in excess of the amount stated in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 8, eff. Nov. 1, 2010. Amended by Laws 2011, c. 225, &sect; 4.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.9. Applicability of Roofing Contractor Registration Act.&nbsp;</span></p> <p><span class="cls0">A. The Roofing Contractor Registration Act does not apply to:&nbsp;</span></p> <p><span class="cls0">1. An actual owner of residential or farm property who physically performs, or has family member, employee or employees who perform with or without remuneration, roofing services including, construction, installation, renovation, repair, maintenance, alteration, waterproofing, or removal of materials or structures on property owned by such person;&nbsp;</span></p> <p><span class="cls0">2. Any authorized employee, representative or representatives of the United States Government, the State of Oklahoma, or any county, municipality, or other political subdivision of this state;&nbsp;</span></p> <p><span class="cls0">3. Any person who furnishes any fabricated or finished product, material, or article of merchandise which is not incorporated into or attached to real property by such person so as to become affixed thereto; or&nbsp;</span></p> <p><span class="cls0">4. Churches or other charitable entities that provide roof repairs or replacements at no charge using volunteer labor.&nbsp;</span></p> <p><span class="cls0">B. Any administrative or governing body with authority to enter into public contracts shall require individual roofing contractor registration for purposes of such persons submitting or entering into any bid or contract.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 9, eff. Nov. 1, 2010. Amended by Laws 2011, c. 225, &sect; 5.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.10. Issuance or denial of registration.&nbsp;</span></p> <p><span class="cls0">Within twenty-five (25) calendar days from the date of application, the registrar shall either issue or deny the roofing contractor registration. No registration shall be issued to an applicant until the registrar receives all documentation and fees necessary to obtain a registration certificate in good standing. The registration certificate issued on an original application entitles the person to act as a roofing contractor within this state, subject to the limitations of this act, until the expiration of the then current fiscal year ending June 30, except that an initial registration issued in May or June is valid until June 30 of the subsequent year. On the effective date of this act, a prorated registration certificate issued between January 1, 2011, and April 30, 2011, shall be valid until June 30, 2011.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 10, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.11. Change in roofing contractor's name, address, legal service agent, or cease of business - Notification of registrar.&nbsp;</span></p> <p><span class="cls0">Not later than ten (10) days after the date of a change in a roofing contractor's name, address, or legal service agent, or upon a registered roofing contractor ceasing business as a roofing contractor, the person shall notify the registrar of the change on a form provided by the registrar. A name, address, or legal service agent change shall be accompanied by a fee not exceeding Twenty-five Dollars ($25.00) to be set by the registrar. A person may not change his or her name under an active registration certificate if the change is associated with a change in the legal status of the business entity other than a change in marital status. Doing business under a new business name or a change in legal status of a business requires issuance of a new registration certificate. When a registered roofing contractor ceases to be active as a roofing contractor, the registrar shall suspend the registration certificate of such contractor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 11, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.12. Certificate of renewal.&nbsp;</span></p> <p><span class="cls0">A. Any roofing contractor registration certificate issued under this act may be renewed for each successive fiscal year by obtaining from the registrar a certificate of renewal. To obtain a certificate of renewal, the person shall file with the registrar a renewal application by June 30 and pay the renewal fee. The application for renewal shall require statements under oath that the applicant has properly submitted income and employment taxes due in this state; whether or not the applicant has been convicted of any felony offense, and the nature of such offense, since issuance of the prior registration; and whether or not the applicant has been adjudicated by a court of competent jurisdiction for any violation of this act or any act or omission specified in subsection A of Section 14 of this act. The registrar may forward a copy of any information in an application for renewal to the Oklahoma Tax Commission and any other state agency. The applicant shall include with the renewal application a copy of the certificate of liability insurance, unless the registrar has a current valid certificate of insurance on file, proof of workers&rsquo; compensation coverage, unless exempt under the Workers&rsquo; Compensation Act, and, if applicable, a copy of the current registration certificate required by law for roofing contractors. The renewal application need not be notarized.&nbsp;</span></p> <p><span class="cls0">B. The registrar shall refuse to renew a roofing contractor&rsquo;s registration certificate for any reason stated in subsection B of Section 5 of this act. The registrar shall notify the applicant in writing if the registrar denies the renewal as provided in subsection C of Section 5 of this act.&nbsp;</span></p> <p><span class="cls0">C. If any roofing contractor fails to file a renewal application by the June 30 deadline that contractor's registration shall be not in good standing. A roofing contractor has a thirty-day grace period after June 30 to renew the registration certificate without a late fee. The late fee shall be set by the registrar and such fee shall not exceed One Hundred Dollars ($100.00). A roofing contractor registration certificate not renewed by August 30 shall be suspended for failure to renew, and on January 1, if a roofing contractor&rsquo;s registration certificate still has not been renewed, it shall be revoked for failure to renew.&nbsp;</span></p> <p><span class="cls0">D. 1. A roofing contractor desiring to renew a registration certificate that has been suspended for any cause provided in this act shall be assessed a fee equal to twice the amount of the fee established by subsection D of Section 8 of this act.&nbsp;</span></p> <p><span class="cls0">2. The registrar shall assess a reinstatement fee not exceeding Three Hundred Dollars ($300.00) to be set by the registrar plus the fee established by Section 8 of this act for any registration that has been revoked for any cause provided in this act.&nbsp;</span></p> <p><span class="cls0">3. A roofing contractor submitting an application for registration after suspension or revocation of that contractor&rsquo;s registration certificate must be otherwise eligible for registration under this act.&nbsp;</span></p> <p><span class="cls0">E. The registrar shall include a registration status notation in a roofing contractor&rsquo;s record if the status of registration changes from an active and valid registration to not in good standing, denied, suspended or revoked.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 12, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.13. Indexed record of roofing contractors.&nbsp;</span></p> <p><span class="cls0">The registrar shall maintain in the registrar's office in Oklahoma City, Oklahoma, open to public inspection during normal office hours, a complete indexed record of all roofing contractor registrations and information maintained on individual roofing contractors. The registrar may dispose of an inactive roofing contractor file after three (3) years. Before disposal and upon written request by any person, the registrar shall furnish a certified copy of any information maintained on an individual roofing contractor upon receipt of the sum of Ten Dollars ($10.00) for each annual record. Each certified copy of a roofing contractor&rsquo;s record from the registrar shall be received in all courts in this state as prima facie evidence of the facts stated therein. The registrar may condense or provide an abstract of a roofing contractor&rsquo;s record for public inspection at any time for purposes of data management; provided, a complete record is available for public inspection upon written request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 13, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.14. Filing of complaint.&nbsp;</span></p> <p><span class="cls0">A. Any person may file a duly verified complaint with the registrar alleging that the person has committed any of the following acts or omissions:&nbsp;</span></p> <p><span class="cls0">1. Abandonment of a roofing contract without legal excuse after a deposit of money or other consideration has been paid;&nbsp;</span></p> <p><span class="cls0">2. Diversion of funds or property entrusted to a roofing contractor;&nbsp;</span></p> <p><span class="cls0">3. Engaging in any fraudulent or deceptive acts or practices or misrepresentation of products, services or qualifications as a roofing contractor;&nbsp;</span></p> <p><span class="cls0">4. Making a false or misleading statement in an application for roofing contractor registration or renewal application or in soliciting a contract for roofing services;&nbsp;</span></p> <p><span class="cls0">5. Adjudication against the roofing contractor by a court of competent jurisdiction for a violation of the provisions of this act;&nbsp;</span></p> <p><span class="cls0">6. Engaging in work without a valid registration as required for roofing contractors pursuant to this act or performing roofing services during any period when the roofing contractor&rsquo;s registration is denied, suspended or revoked;&nbsp;</span></p> <p><span class="cls0">7. Engaging in roofing services without obtaining a proper permit as may be required by any state or local authority;&nbsp;</span></p> <p><span class="cls0">8. Failure to comply with any tax laws authorized by the state or any of its political subdivisions;&nbsp;</span></p> <p><span class="cls0">9. Damaging or injuring persons or property while performing roofing services under a valid roofing contractor registration for which the roofing contractor&rsquo;s liability insurance or workers compensation coverage was inadequate; or&nbsp;</span></p> <p><span class="cls0">10. Failure to comply with a specified provision of this act.&nbsp;</span></p> <p><span class="cls0">B. The complaint shall be on a form approved by the registrar and shall set forth the alleged act or omission stated in subsection A of this section, and a statement of sufficient facts upon which a reasonable person could conclude that the act or omission specified in subsection A of this section has been committed. All complaints filed with the registrar shall be open to public inspection. Nothing in this section shall be construed to require the complainant to first file a complaint with the registrar before seeking relief or remedies allowed by law.&nbsp;</span></p> <p><span class="cls0">C. A complaint received by the registrar as provided in this section shall be referred to the district attorney for appropriate disposition as determined by the district attorney, in his or her discretion.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 14, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.15. Notification of contractor - Referral of complaint to district attorney.&nbsp;</span></p> <p><span class="cls0">A. The registrar shall read each complaint received and shall enter a notation in the individual roofing contractor&rsquo;s record showing the date that the verified complaint was received and the nature of the complaint. The registrar shall notify the roofing contractor against whom the complaint is made, in writing, within five (5) days of the receipt of the written complaint. The roofing contractor shall have ten (10) days to respond, in writing, to the registrar. If a response to the complaint is received by the registrar, whether admitting or denying the basis of the complaint, a copy of both the complaint and the response shall be referred to the district attorney. If no response is received, the complaint shall still be referred to the district attorney. In addition, the registrar shall enter a notation in the individual roofing contractor&rsquo;s record showing the date that the roofing contractor&rsquo;s response was received, if any, and whether the response admitted or denied the basis of the complaint.&nbsp;</span></p> <p><span class="cls0">B. Following referral of a complaint to the district attorney, if the roofing contractor is adjudicated by the court for an act or omission specified in subsection A of Section 14 of this act, or upon a conviction for any violation of the provisions of this act, the registrar, when ordered by the court, shall suspend, revoke or deny the roofing contractor's registration for the period of time specified by the court, and if the court orders the registration suspended, revoked or denied, and yet fails to set the term of such suspension, revocation or denial, the period shall be six (6) months.&nbsp;</span></p> <p><span class="cls0">C. The registrar shall not renew, reinstate, or issue a new roofing contractor registration to any person subject to any term of denial, suspension or revocation until such term has been completed, and thereafter, the person makes application and pays required fees pursuant to Sections 8 and 12 of this act.&nbsp;</span></p> <p><span class="cls0">D. It shall be unlawful for a person to obtain or attempt to obtain a roofing contractor registration certificate under any other name during any period when the roofing contractor&rsquo;s registration is suspended or revoked. Upon conviction of a violation of this subsection, the person shall be guilty of a misdemeanor as provided in Section 3 of this act. A business firm, partnership, association, corporation, limited liability company, or other group or combination thereof acting as a unit whose registration certificate is suspended or revoked includes all of the members, partners, officers, and agents acting under that roofing contractor registration certificate when such persons are specified on and did sign the application or renewal form.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 15, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.16. Contractor's agent for service of process.&nbsp;</span></p> <p><span class="cls0">Every applicant for a roofing contractor's registration who is a nonresident contractor as defined by this act, by signing and filing the application, appoints the Secretary of State as the applicant's true and lawful agent upon whom may be served all lawful process in any action or proceeding against such nonresident contractor for construction projects performed in this state. Such appointment in writing is evidence of the roofing contractor's consent that any such process against the contractor which is so served upon the Secretary of State shall be of the same legal force and effect as if served upon the contractor personally within this state. Registered foreign corporations, registered foreign limited liability companies, foreign limited liability partnerships and foreign limited partnerships entitled to do business in this state and having a current registered agent and registered address on file in the Office of the Secretary of State need not appoint the Secretary of State as agent for service of process under this section. Within ten (10) days after service of the summons upon the Secretary of State, notice of such service with the summons and complaint in the action shall be sent to the defendant roofing contractor at the defendant contractor's last-known address by registered or certified mail with return receipt requested and proof of such mailing shall be attached to the summons. The Secretary of State shall keep a record of all process served upon the Secretary of State under this section, showing the day and hour of service. Whenever service of process was made under this section, the court, before entering a default judgment, or at any stage of the proceeding, may order such continuance as may be necessary to afford the defendant contractor reasonable opportunity to defend any action pending against the defendant contractor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 16, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.17. Application for building permits - Disclosure of registration certificate number.&nbsp;</span></p> <p><span class="cls0">A. When applying for any permit required by the state or any of its political subdivisions for roofing services or jobs, a roofing contractor shall supply the permit-issuing official that roofing contractor's registration certificate number issued pursuant to this act. That official shall enter a roofing contractor&rsquo;s registration number on the permit. The registrar shall not investigate any roofing project for purposes of verifying roofing contractor registration or permit verification.&nbsp;</span></p> <p><span class="cls0">B. A person performing as a roofing contractor on his or her own property, although exempt from the registration requirements of this act, shall, when applying for a permit required for the project, supply the permit-issuing official any roofing contractor registration number, as soon as available, of each roofing subcontractor engaged in roofing services and doing work covered by the permit, if any. That official shall enter each roofing contractor registration number so supplied before inspection of the job.&nbsp;</span></p> <p><span class="cls0">C. A roofing contractor shall display his or her roofing contractor registration number issued pursuant to this act on each commercial vehicle used for roofing services and upon every business sign, card, correspondence, and contract used to solicit and conduct roofing services in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 17, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.18. Verification of contractor's certificate number to enforcement officials and the public.&nbsp;</span></p> <p><span class="cls0">Upon request, the registrar shall verify a roofing contractor registration number to city, county and state enforcement officials and to the public. The registrar shall establish through the Internet or other technology a verification system or direct access system for confirming roofing contractor registration certificates and status of registration maintained by the Construction Industries Board. The system shall include the notation of each complaint received against an individual roofing contractor, his or her response to each complaint by noting whether the roofing contractor admits or denies the allegation, any court disposition of a complaint, if known, and any conviction for a violation of the provisions of this act. In addition, the system may include a notation for any conviction of a criminal violation in this state, another state, or the United States when disclosed by a criminal history records search on the individual roofing contractor. Disclosure of any information through use of the roofing contractor registration system or information maintained by the registrar shall not be deemed to be an endorsement of any roofing contractor or determination of any facts, qualifications, information or reputation of any roofing contractor by the registrar, the state, the Construction Industries Board, or any of their respective agents, officers, employees or assigns.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 18, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.19. Construction of act.&nbsp;</span></p> <p><span class="cls0">This act shall be construed to be in addition to, and not in lieu of, any required licensure of persons for certain professions and trades in this state, and further, this act shall not be deemed to conflict with or affect the authority of any state or local agency, board or commission whose duty and authority is to administer or enforce any law or ordinance or to establish, administer or enforce any policy, rule, qualification or standard for any trade or profession.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 19, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.20. Roofing Contractor Registration Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Construction Industries Board to be designated the "Roofing Contractor Registration Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of application and renewal fees, late fees, administrative fees, reinstatement fees, and any other monies collected pursuant to the Roofing Contractor Registration Act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Construction Industries Board for implementation and administration of the Roofing Contractor Registration Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment. This fund shall be subject to and comply with the provisions of Section 211 of Title 62 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 479, &sect; 20, eff. Nov. 1, 2010. Amended by Laws 2012, c. 304, &sect; 278.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.21. Contract cancellation.&nbsp;</span></p> <p><span class="cls0">A. When a person indicates a residential contractor will be paid by the proceeds of a property and casualty insurance policy and the person enters into a written contract with a residential contractor to provide goods and services with the understanding the insured is to pay from the proceeds of a property and casualty insurance policy claim, the person may cancel the contract within seventy-two (72) hours after the insured has received written notice from the insurer that all or any part of the claim has been denied. Cancellation is evidenced by the insured giving written notice of cancellation to the residential contractor at the address stated in the contract. Notice of cancellation, if given by mail, is effective upon deposit into the United States mail, postage prepaid and properly addressed to the contractor. Notice of cancellation need not take a particular form and is sufficient if it indicates, by any form of written expression, the intention of the insured not to be bound by the contract.&nbsp;</span></p> <p><span class="cls0">B. Before entering into a contract referred to in subsection C of this section, the residential contractor shall:&nbsp;</span></p> <p><span class="cls0">1. Furnish the insured a statement in boldface letters in a minimum size of twelve-point type, in substantially the following form: &ldquo;You may cancel this contract at any time within seventy-two (72) hours after you have received written notification from your insurer that your claim to pay for the goods and services to be provided under this contract has been denied. See attached Notice of Cancellation for an explanation of this right.&rdquo;; and&nbsp;</span></p> <p><span class="cls0">2. Furnish the insured a Notice of Cancellation form, fully completed in duplicate, attached to the contract, but easily detachable, containing a statement in boldface letters in a minimum size of ten-point type, containing the following statement:&nbsp;</span></p> <p class="cls23"><span class="cls0">&ldquo;NOTICE OF CANCELLATION&nbsp;</span></p> <p class="cls24"><span class="cls0">If your insurer denies all or any part of your claim to pay for goods and services to be provided under this contract, you may cancel the contract by mailing or delivering a signed and dated copy of this cancellation notice or any other written notice to ______ (name of contractor) at _______ (address of contractor&rsquo;s place of business) at any time within seventy-two (72) hours after you have received written notice that your claim has been denied. If you cancel, any payments made by you under the contract will be returned to you within ten (10) business days following receipt by the contractor of your cancellation notice.&nbsp;</span></p> <p class="cls24"><span class="cls0">I HEREBY CANCEL THIS TRANSACTION&nbsp;</span></p> <p class="cls24"><span class="cls0">______________________&nbsp;</span></p> <p class="cls24"><span class="cls0">(date)&nbsp;</span></p> <p class="cls24"><span class="cls0">______________________&nbsp;</span></p> <p class="cls24"><span class="cls0">(insured&rsquo;s signature)&rdquo;&nbsp;</span></p> <p><span class="cls0">C. Within ten (10) days after a contract referred to in subsection A of this section has been cancelled, the contractor shall tender to the insured any payments made by the insured and any note or other evidence of indebtedness. If, however, the contractor has performed any emergency services, acknowledged by the insured in writing to be necessary to prevent damage to the premises, the contractor is entitled to the reasonable value of such services.&nbsp;</span></p> <p><span class="cls0">D. Any violation of this section by a residential contractor shall be considered a violation of the Roofing Contractor Registration Act, and shall be subject to the misdemeanor penalties prescribed in Section 1151.3 of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 225, &sect; 6.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.22. Workers compensation insurance coverage.&nbsp;</span></p> <p><span class="cls0">A. Any contract entered into under the Roofing Contractor Registration Act shall include a statement that all individuals performing work under the contract are covered by workers&rsquo; compensation insurance.&nbsp;</span></p> <p><span class="cls0">B. If the individuals performing work under the contract are not covered by workers&rsquo; compensation insurance, the contractor shall provide a written statement to the homeowner advising that the individuals performing work under the contract are not covered by workers&rsquo; compensation insurance, which shall be signed by all parties to the contract and attached to the contract.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 225, &sect; 7.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.23. Subcontractor and independent contract liability insurance.&nbsp;</span></p> <p><span class="cls0">A subcontractor or an independent contractor hired by a general contractor to engage in the business of roofing shall provide proof of liability insurance as provided for in subsection A of Section 1151.5 of Title 59 of the Oklahoma Statutes. It shall be the responsibility of the general contractor to ensure the subcontractor or independent contractor has complied with this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 225, &sect; 8.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1151.24. Additional registration prohibited.&nbsp;</span></p> <p><span class="cls0">No political subdivision or governmental entity created by or acting on the authority of a political subdivision shall use the Roofing Contractor Registration Act to impose any additional registration or permitting requirement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 225, &sect; 9.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1158. Installers of individual sewage disposal systems &ndash; Certification - Penalties.&nbsp;</span></p> <p><span class="cls0">A. On and after July 1, 2002, any person, before engaging in the installation of individual sewage disposal systems, shall first obtain certification from the Department of Environmental Quality under such rules as may be promulgated by the Environmental Quality Board. The provisions of this subsection shall only apply to persons who install more than ten individual sewage disposal systems per calendar year. As used in this section, &ldquo;individual sewage disposal systems&rdquo; means a sewage disposal system that serves an individual residence or duplex and is not available for use by the general public.&nbsp;</span></p> <p><span class="cls0">B. Environmental Specialists employed by the Department of Environmental Quality may perform soil profile descriptions to design individual and other subsurface sewage disposal systems. Any other individual choosing to perform soil profile descriptions to design individual and other subsurface sewage disposal systems shall first be certified by the Department of Environmental Quality under such rules as may be promulgated by the Environmental Quality Board.&nbsp;</span></p> <p><span class="cls0">C. The Environmental Quality Board shall promulgate rules that shall include, but not be limited to, the following:&nbsp;</span></p> <p><span class="cls0">1. Establishment of minimum requirements for each type of certification;&nbsp;</span></p> <p><span class="cls0">2. Establishment of a procedure and schedule for the assessment of penalties for failure to comply with this section or rules promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">3. Establishment of procedures for suspension, revocation and nonrenewal of a certification; and&nbsp;</span></p> <p><span class="cls0">4. A requirement that an annual fee, as set by the Environmental Quality Board pursuant to Section 2-3-402 of Title 27A of the Oklahoma Statutes, shall be paid to the Department of Environmental Quality for each certification.&nbsp;</span></p> <p><span class="cls0">D. The Water Quality Management Advisory Council shall recommend proposed rules to the Environmental Quality Board pursuant to Section 2-2-201 of Title 27A of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">E. The Department of Environmental Quality may, after notice and opportunity for a hearing pursuant to the Administrative Procedures Act, assess administrative penalties and may revoke, suspend or deny renewal of a certification pursuant to Section 2-3-502 of Title 27A of the Oklahoma Statutes for any violation of this section or rules promulgated pursuant thereto. Such administrative penalties shall be deposited as provided in Section 2-3-401 of Title 27A of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 245, &sect; 3, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591201. License required Purpose of act.&nbsp;</span></p> <p><span class="cls0">No person shall use in connection with his name or otherwise assume, use, or advertise any title or description that he is a registered forester, unless he shall be licensed as hereinafter provided. Nothing contained in this act shall be construed as preventing any person, firm, partnership, or corporation from practicing forestry, landscape architecture, or managing woodlands, forest, or trees, or from operating the removal of any products therefrom, or planting trees on any plat of land, in any manner desired. This act is for the benefit and protection of the public.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1963, c. 92, &sect; 1, emerg. eff. May 27, 1963. &nbsp;</span></p> <p><span class="cls0">&sect;59-1202. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in Section 1201 et seq. of this title: (1) the term "forester" means a person who, by reason of his knowledge of the natural sciences, mathematics, and the principles of forestry, acquired by forestry education, as set forth in Section 1212 of this title, and/or practical experience is qualified to engage in the practice of professional forestry as hereinafter defined; (2) the term "registered forester" means a person who has been licensed pursuant to the act; (3) the term "practice of professional forestry" means professional forestry services, including but not limited to consultation, investigation, evaluation, planning, or responsible supervisions of any forestry activities when such professional services require the application of forestry principles and techniques; and (4) the term "Department" means the Oklahoma Department of Agriculture, Food, and Forestry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 2, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1203. Repealed by Laws 2013, c. 118, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1204. Repealed by Laws 2013, c. 118, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1206. Repealed by Laws 2013, c. 118, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1207. Repealed by Laws 2013, c. 118, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1208. Repealed by Laws 2013, c. 118, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1209. Repealed by Laws 2013, c. 118, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1210. Record of proceedings - Register of applications.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Department of Agriculture, Food, and Forestry shall keep a register of all applications for registration. The register shall show the name, age, and residence of each applicant; the date of the application; address for the receipt of mail and the place of business of each applicant; the education and other qualifications of the applicant; whether or not an examination was required; whether the application was rejected; whether a license was granted; the date of the action of the Department; and such other information as may be deemed necessary by the Department.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 10, emerg. eff. May 27, 1963. Amended by Laws 1998, c. 364, &sect; 14, emerg. eff. June 8, 1998; Laws 2013, c. 118, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1211. Roster of registered foresters.&nbsp;</span></p> <p><span class="cls0">A roster showing the names and places of business of all registered foresters qualified according to the provisions of Section 1201 et seq. of this title shall be prepared by the Oklahoma Department of Agriculture, Food, and Forestry during the month of March of each year. Copies of the roster shall be mailed to each person registered, placed on file with the Secretary of State and made available to the public upon request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 11, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 10, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1212. Ineligibility for registration.&nbsp;</span></p> <p><span class="cls0">(A) No person shall qualify as a registered forester unless the person graduated from a university or college with a curriculum in forestry acceptable to the Oklahoma Department of Agriculture, Food, and Forestry, including one three-credit course in each of the following subjects: silviculture, forest protection, forest management, forest economics, and forest utilization, and who has a record of an additional two (2) years or more of experience in forestry work of a character satisfactory to the Department, and indication that the applicant is competent to practice professional forestry.&nbsp;</span></p> <p><span class="cls0">(B) No person shall be eligible for registration as a registered forester who is not of good character and reputation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 12, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 11, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1213. Applications for registration - Forms - Fees.&nbsp;</span></p> <p><span class="cls0">Applications for registration shall be made on forms prescribed and furnished by the Oklahoma Department of Agriculture, Food, and Forestry, shall contain statements made under oath as to citizenship, residence, and the applicant's education and detailed summary of the applicant's technical work, and shall contain the names of not less than five (5) persons, of whom three (3) or more shall be forestry school graduates, having personal or professional knowledge of the applicant's forestry experience. The forms shall also contain a code of ethics prepared and approved by the Department essentially conforming to the code of ethics of the Society of American Foresters. The registration fee for a certificate as a "licensed forester" shall be fixed by the Department but not to exceed Twenty-five Dollars ($25.00), one-half (1/2) of which fee shall accompany the application, the balance to be paid before issuance of the certificate. Should the applicant fail or refuse to remit the remaining balance within thirty (30) days after being notified by mail that the applicant has successfully qualified, the applicant shall forfeit the right to have a certificate issued and the applicant may be required to again submit an original application and pay an original fee therefor. Should the Department deny the issuance of a certificate of registration to any applicant, the fee deposited shall be retained by the Department as an application fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 13, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 12, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1214. Examinations.&nbsp;</span></p> <p><span class="cls0">When examinations are required, they shall be held at such time and place as the Oklahoma Department of Agriculture, Food, and Forestry shall determine. The methods of procedure shall be prescribed by the Department. A candidate failing an examination may apply for reexamination at the expiration of six (6) months and shall be entitled to one reexamination without payment of an additional fee. Subsequent examinations may be granted upon payment of a fee to be determined by the Department, but not in excess of Twenty-five Dollars ($25.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 14, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 13, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1215. Licenses - Endorsement of plans, maps, etc.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Department of Agriculture, Food, and Forestry shall issue a license upon payment of the registration fee as provided for in Section 1201 et seq. of this title to any applicant who, in the opinion of the Department, has satisfactorily met all the requirements of the act. Licenses shall show the full name of the registrant, shall have a serial number, and shall be signed by the Department. The issuance of a license by the Department shall be evidence that the person named therein is entitled to all the rights and privileges of a licensed forester while the license remains unrevoked or unexpired. Plans, maps, specifications, and reports issued by a registrant shall be endorsed with the registrant's name and license number. It shall be a misdemeanor for anyone to endorse any plan, specifications, estimate, or map unless the registrant actually prepared the plan, specification, estimate, or map or was in actual charge of the preparation or responsible therefor.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 15, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 14, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1216. Expiration of licenses - Renewals.&nbsp;</span></p> <p><span class="cls0">Licenses shall expire one (1) year after the date of their issuance or renewal and shall become invalid on that date unless renewed. It shall be the duty of the Oklahoma Department of Agriculture, Food, and Forestry to notify, at the registrant's last-registered address, every person registered under this act of the date of the expiration of the license and the amount of the fee that shall be required for its renewal for one (1) year; notice shall be mailed at least one (1) month in advance of the date of the expiration of the license. The fee for renewal of licenses shall not exceed Ten Dollars ($10.00). The Department shall make an exception to the foregoing renewal provisions in the case of a person while on active duty in any of the armed forces of the United States.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 16, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 15, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591217. Individual personal qualifications.&nbsp;</span></p> <p><span class="cls0">Registration shall be determined upon a basis of individual personal qualifications. No firm, company, partnership, corporation, or public agency shall be licensed as a registered forester.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1963, c. 92, &sect; 17, emerg. eff. May 27, 1963. &nbsp;</span></p> <p><span class="cls0">&sect;59-1218. Reciprocity.&nbsp;</span></p> <p><span class="cls0">A person not a resident of and having no established place of business in Oklahoma, or who has recently become a resident thereof, may become a licensed forester in Oklahoma provided: (1) the person is legally licensed as a registered forester in the state or country of origin and submits evidence to the Oklahoma Department of Agriculture, Food, and Forestry of the license and that the requirements for registration therein are at least substantially equivalent to the requirements of Section 1201 et seq. of this title; and (2) the state or country in which licensed observes these same rules of reciprocity in regard to persons originally licensed under the provisions of this act; and (3) the Department shall issue a qualified applicant a one-year permit upon receipt of a fee equal to one-year annual renewal charged licensed foresters in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 18, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 16, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1219. Revocation of licenses - Reissuance.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Department of Agriculture, Food, and Forestry shall have the power to revoke the license of any registrant who is found guilty by the Department of fraud, deceit, gross negligence, incompetency, or misconduct in connection with any forestry practice against any registrant. Such charges shall be written, shall be sworn to by the person making them, and shall be filed with the secretary of the Department. All charges shall be heard by the Department pursuant to its rules and regulations. The Department, for reasons it may deem sufficient, may reissue a license to any person whose license has been revoked. A new license to replace any license revoked, lost, destroyed or mutilated may be issued, subject to the rules of the Department, and upon payment of a fee of Three Dollars ($3.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 19, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 17, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1220. Violations - Penalties.&nbsp;</span></p> <p><span class="cls0">Any person who shall practice or offer to practice the profession of forestry as a registered forester in this state, without being registered in accordance with the provisions of Section 1201 et seq. of this title, or any person who shall use or otherwise assume, use, or advertise any title or description tending to convey the impression that the person is a registered forester, without being registered in accordance with the provisions of this act, or any person who shall present or attempt to use as his or her own the license of another, or any person who shall give any false or forged evidence of any kind to the Oklahoma Department of Agriculture, Food, and Forestry, or any member thereof, in obtaining a license, or any person who shall attempt to use an expired or revoked license, or any person, firm, partnership, or corporation who shall violate any of the provisions of this act, shall be guilty of a misdemeanor and upon conviction thereof shall be fined not less than One Hundred Dollars ($100.00) or more than Five Hundred Dollars ($500.00), and such monies shall be collected by the Department. The Department, or such person or persons as may be designated by the Department to act in its stead, is empowered to prefer charges for any violations of this act in any court of competent jurisdiction. It shall be the duty of all duly-constituted officers of the law of this state to enforce the provisions of this act and to prosecute any persons, firms, partnerships, or corporations violating the same.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1963, c. 92, &sect; 20, emerg. eff. May 27, 1963. Amended by Laws 2013, c. 118, &sect; 18, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591250. Short title.&nbsp;</span></p> <p><span class="cls0">This act may be cited as the "Social Worker's Licensing Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1250.1. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Social Worker&rsquo;s Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Approved provider of continuing education&rdquo; means an individual, group, professional association, school, institution, organization, or agency approved by the Board to conduct educational programs;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Approved social work program&rdquo; means a school of social work or a social work educational program that has been approved by the Board;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Assessment&rdquo; means the gathering of data about emotional, behavioral, mental, environmental, biopsychosocial, and interactional processes gathered in an effort to identify the client&rsquo;s past and current level of functioning. Assessment may also include the use of standardized psychometric testing instruments upon successful completion of appropriate, specialized courses or training;&nbsp;</span></p> <p><span class="cls0">4. "Board" means the State Board of Licensed Social Workers, which shall also be known as the State Board of Social Work;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Board approved clinical supervisor&rdquo; means a licensed clinical social worker who has met the qualifications determined by the Board for supervision in a clinical setting;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Board approved supervisor&rdquo; means a licensed clinical social worker (LCSW) who has met the qualifications determined by the Board for licensure as a supervisor;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Case management&rdquo; means a method to plan, provide, evaluate, and monitor services from a variety of resources on behalf of and in collaboration with a client;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Client&rdquo; means the individual, couple, family, group, organization, or community that seeks or receives social work services;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Clinical social work practice&rdquo; means the practice of social work by a social worker including assessment and diagnosis of behavioral disorders, treatment planning, planning intervention, case management, information and referrals, including referrals to an appropriate allopathic or osteopathic physician when the diagnosis or treatment is in question or psychiatric or medical treatment is indicated. Treatment methods include the provision of individual, marital, couple, family and group counseling and psychotherapy based on the education and training of the social worker. Treatment shall not include biological or medical treatments. The practice of clinical social work may include private or independent practice;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Clinical supervision&rdquo; means an interactional professional relationship between a supervisor and a social worker that provides evaluation and direction over the supervisee&rsquo;s practice of clinical social work and promotes continued development of the social worker&rsquo;s knowledge, skills, and abilities to engage in the practice of clinical social work in an ethical and competent manner;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Consultation&rdquo; means a problem solving process in which expertise is offered to an individual, couple, family, group, organization or community;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Continuing education&rdquo; means education and training which are oriented to maintain, improve or enhance the practice of social work;&nbsp;</span></p> <p><span class="cls0">13. &ldquo;Continuing education contact hour&rdquo; means a sixty-minute clock hour of instruction, not including breaks or meals;&nbsp;</span></p> <p><span class="cls0">14. &ldquo;Conviction&rdquo; means conviction of a crime by a court of competent jurisdiction including a finding or verdict of guilt, whether or not the adjudication of guilt is withheld or not entered on admission of guilt, a plea of nolo contendere, or a guilty plea;&nbsp;</span></p> <p><span class="cls0">15. &ldquo;Counseling&rdquo; means a method used by social workers to assist individuals, couples, families and groups in learning how to solve problems and make decisions about personal, health, social, educational, vocational, financial, and other interpersonal concerns;&nbsp;</span></p> <p><span class="cls0">16. &ldquo;Diagnosis&rdquo; means the use of assessment tools such as the Diagnostic and Statistical Manual or the International Classification of Diseases;&nbsp;</span></p> <p><span class="cls0">17. &ldquo;Employment supervision&rdquo; means the professional relationship between a worksite supervisor and social worker in an employment setting which provides evaluation and direction as it pertains to job-related duties. This type of supervision shall not be accepted towards licensure supervision requirements;&nbsp;</span></p> <p><span class="cls0">18. &ldquo;Examination&rdquo; means a standardized test or examination of social work knowledge, skills and abilities which have been approved by the Board;&nbsp;</span></p> <p><span class="cls0">19. &ldquo;Implementation and evaluation&rdquo; means continuing to evaluate and monitor the effectiveness of the treatment plan;&nbsp;</span></p> <p><span class="cls0">20. &ldquo;Independent social work practice&rdquo; means the practice of nonclinical social work by a licensed social worker (LSW), licensed clinical social worker (LCSW) or licensed social worker with administration specialty (LSW-ADM) outside of an organized setting, such as a social, medical, or governmental agency, after completion of all applicable supervision requirements, in which the social worker assumes responsibility and accountability for services provided;&nbsp;</span></p> <p><span class="cls0">21. &ldquo;Intervention&rdquo; means application of techniques utilized to implement the treatment plan appropriate to an assessment;&nbsp;</span></p> <p><span class="cls0">22. &ldquo;Licensed clinical social worker&rdquo; (LCSW) means a person duly licensed to practice clinical social work under the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">23. &ldquo;Licensed masters social worker&rdquo; (LMSW) means a person duly licensed to practice social work under the Social Worker's Licensing Act and who holds a master's degree in social work;&nbsp;</span></p> <p><span class="cls0">24. &ldquo;Licensed social work associate&rdquo; (LSWA) means a person duly licensed to practice social work under the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">25. &ldquo;Licensed social worker with administration specialty&rdquo; (LSW-ADM) means a person duly licensed to practice administrative social work under the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">26. &ldquo;Licensed social worker&rdquo; (LSW) means a person duly licensed to practice social work under the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">27. &ldquo;Licensee&rdquo; means a person duly licensed under the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">28. &ldquo;Licensure supervisor&rdquo; means a licensed social worker who has met the qualifications determined by the Board for a licensure supervisor;&nbsp;</span></p> <p><span class="cls0">29. &ldquo;Nonclinical social work&rdquo; means the practice of social work by a social worker to include but not be limited to case management, consultation, education, advocacy and community organization, but excluding counseling in independent practice, psychotherapy, treatment and diagnosis;&nbsp;</span></p> <p><span class="cls0">30. &ldquo;Nonclinical supervision&rdquo; means the supervision of social work practice by a social worker to include but not be limited to case management, consultation, education, advocacy and community organization;&nbsp;</span></p> <p><span class="cls0">31. &ldquo;Practice of social work&rdquo; means the professional activity of helping individuals, groups or communities enhance or restore their capacity for physical, social and economic functioning and the professional application of social work values, principles and techniques in areas such as clinical social work, social service administration, social planning, social work consultation and social work research to one or more of the following ends: Helping people obtain tangible services; counseling with individuals, families and groups; helping communities or groups provide or improve social and health services; and participating in relevant social action. The practice of social work requires knowledge of human development and behavior; of social economic and cultural institutions and forces; and of the interaction of all of these factors. Social work practice includes the teaching of relevant subject matter and of conducting research into problems of human behavior and conflict. Except as otherwise provided in the Social Worker's Licensing Act, reference to the &ldquo;practice of social work&rdquo; shall be the practice of a person licensed under this act;&nbsp;</span></p> <p><span class="cls0">32. &ldquo;Private practice of clinical social work&rdquo; means the practice of social work performed by a licensed clinical social worker (LCSW) who is wholly or in part self-employed and who assumes responsibility for the nature and quality of the services provided to the client in exchange for direct payment or third-party reimbursement, rather than a salaried employee of an organization or institution;&nbsp;</span></p> <p><span class="cls0">33. &ldquo;Psychotherapy&rdquo; means the use of treatment methods utilizing a specialized, formal interaction between a clinical social worker and an individual, couple, family, or group in which a therapeutic relationship is established, maintained and sustained to understand unconscious processes, intrapersonal, interpersonal, and psychosocial dynamics, and the diagnosis and treatment of mental, emotional, and behavioral disorders, conditions and addictions;&nbsp;</span></p> <p><span class="cls0">34. &ldquo;Supervision&rdquo; means the professional relationship between a board-approved supervisor and a social worker that provides evaluation and direction over the services provided by the social worker and promotes continued development of the social worker&rsquo;s knowledge, skills and abilities to provide social work services in an ethical and competent manner; and&nbsp;</span></p> <p><span class="cls0">35. &ldquo;Treatment planning&rdquo; or "treatment plan" means the organized approach of an assessment to guide the course of behavioral health treatment based upon identified needs, problems and issues.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 124, &sect; 2, eff. Oct. 1, 1980. Amended by Laws 2003, c. 85, &sect; 1, eff. Nov. 1, 2003; Laws 2011, c. 146, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1251. License required - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. In order to safeguard the welfare of the people of the State of Oklahoma, no person shall engage in the practice of social work for compensation or hold himself or herself forth as performing the services of a social worker unless he or she is licensed under the Social Worker&rsquo;s Licensing Act, nor may any person participate in the delivery of social work service unless under the supervision of a person licensed under these provisions, and no person may use any title, abbreviation, sign, card or device incorporating the words "social worker" or a derivative thereof unless such person has been duly licensed under the provisions of this law.&nbsp;</span></p> <p><span class="cls0">B. Nothing contained herein shall be construed to prevent qualified persons from doing work within the standards and ethics of their respective professions. Provided, that such persons shall not hold themselves out to the public by any title or description of services as being engaged in the practice of social work.&nbsp;</span></p> <p><span class="cls0">C. Employees of agencies of the state shall be exempt from the requirements of this act as to the performance of their duties as state employees or health care facilities or employees of health care facilities licensed by the state.&nbsp;</span></p> <p><span class="cls0">D. 1. As a requirement for licensure, a license obtained pursuant to the Social Worker's Licensing Act shall be posted in a conspicuous place where the services of the social worker obtaining such license are rendered.&nbsp;</span></p> <p><span class="cls0">2. Information regarding the procedure for reporting any unethical or illegal practices pursuant to the Social Worker's Licensing Act shall be made available to the public by the social worker or employer of such social worker, as applicable, in the location where services of the social worker are rendered.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 1. Amended by Laws 1980, c. 124, &sect; 3, eff. Oct. 1, 1980; Laws 1988, c. 231, &sect; 2, emerg. eff. June 22, 1988. Amended by Laws 2003, c. 85, &sect; 2, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1253. State Board of Licensed Social Workers - Membership - Qualifications.&nbsp;</span></p> <p><span class="cls0">A. There is hereby recreated, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, the State Board of Licensed Social Workers, consisting of seven (7) members.&nbsp;</span></p> <p><span class="cls0">B. Three of the members of the Board shall be licensed social workers or licensed clinical social workers licensed pursuant to the provisions of the Social Worker's Licensing Act. Two other members shall be licensed as either social work associates or master&rsquo;s social workers. One member shall be the president of the Oklahoma Chapter of the National Association of Social Workers. The remaining member of the Board shall be selected from and shall represent the general public.&nbsp;</span></p> <p><span class="cls0">C. Responsibility for enforcement of the provisions of this act is hereby vested in the State Board of Social Work. The Board shall have all of the duties, powers and authority specifically granted by, or necessary for, the enforcement of this act as well as other duties, powers and authority it may be granted by applicable law.&nbsp;</span></p> <p><span class="cls0">D. 1. Each member of the Board appointed as a social worker shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;be a resident of this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;be licensed in good standing to engage in the practice of social work in this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;at the time of appointment, have been actively engaged in the practice of social work for at least one (1) year out of the last five (5) years, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;have at least three (3) years of experience in the practice of social work.&nbsp;</span></p> <p><span class="cls0">2. Each member of the Board appointed to represent the general public shall be a resident of this state who has attained the age of majority and shall not be, nor shall ever have been, a social work licensee, or the spouse of a social work licensee, or a person who has ever had any material financial interest in the provision of&nbsp;</span></p> <p><span class="cls0">social work services or has engaged in any activity directly related to the practice of social work.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 3. Amended by Laws 1980, c. 124, &sect; 4, eff. Oct. 1, 1980; Laws 1982, c. 122, &sect; 1, operative July 1, 1982; Laws 1987, c. 108, &sect; 1, eff. July 1, 1987; Laws 1988, c. 225, &sect; 14; Laws 1994, c. 106, &sect; 1, eff. July 1, 1994; Laws 2000, c. 28, &sect; 1; Laws 2003, c. 85, &sect; 3, eff. Nov. 1, 2003; Laws 2006, c. 43, &sect; 1; Laws 2012, c. 68, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1254. Appointment - Term - Vacancies - Removal - Compensation - Staff.&nbsp;</span></p> <p><span class="cls0">A. The members of the State Board of Licensed Social Workers shall be appointed by the Governor, with the advice and consent of the Senate. When a vacancy on the Board occurs or at the expiration of the term of a member, the Governor shall appoint, with the advice and consent of the Senate, the member's successor for a term of five (5) years. Members may serve more than two (2) terms, but shall be limited to serving no more than two (2) consecutive terms. Vacancies on the Board shall be filled in a like manner for the balance of any unexpired term. Each member shall serve until a successor is appointed and qualified.&nbsp;</span></p> <p><span class="cls0">B. Members of the Board may be removed from office, pursuant to the procedures set forth in the Administrative Procedures Act, upon one or more of the following grounds:&nbsp;</span></p> <p><span class="cls0">1. The refusal or inability for any reason of a Board member to perform the duties of a Board member in an efficient, responsible and professional manner;&nbsp;</span></p> <p><span class="cls0">2. The misuse of office by a Board member for pecuniary or material gain or for personal advantage for the Board member or another;&nbsp;</span></p> <p><span class="cls0">3. Violation by any Board member of the laws governing the practice of social work; or&nbsp;</span></p> <p><span class="cls0">4. Conviction of a felony shown by a certified copy of the record of the court of conviction.&nbsp;</span></p> <p><span class="cls0">C. Members of the Board shall serve without compensation, but shall be reimbursed their actual and necessary travel expenses as provided in the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">D. The Board may employ persons in such positions or capacities as it deems necessary to conduct Board business and to fulfill the Board&rsquo;s responsibilities as defined in the Social Worker&rsquo;s Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 4. Amended by Laws 1980, c. 124, &sect; 5, eff. Oct. 1, 1980; Laws 1982, c. 122, &sect; 2, operative July 1, 1982; Laws 1987, c. 108, &sect; 2, eff. July 1, 1987; Laws 2003, c. 85, &sect; 4, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1255. Officers &ndash; Meetings.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Licensed Social Workers shall biennially elect from its membership a chair and a vice-chair and such other officers as it deems appropriate and necessary to conduct its business. The chair shall preside at all meetings of the Board. Each additional officer elected by the Board shall perform those duties customarily associated with the position and such other duties assigned by the Board. Officers elected by the Board shall serve terms of two (2) years and shall serve no more than two (2) consecutive full terms in each office to which the Board member is elected.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board shall meet at least once every three (3) months to transact its business and may meet at such additional times as the Board may determine.&nbsp;</span></p> <p><span class="cls0">2. The Board shall meet in accordance with the Oklahoma Open Meeting Act.&nbsp;</span></p> <p><span class="cls0">3. A majority of the members of the Board shall constitute a quorum for the conduct of Board business. All actions of the Board shall be by a majority of the quorum present.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 5. Amended by Laws 1980, c. 124, &sect; 6, eff. Oct. 1, 1980; Laws 1982, c. 122, &sect; 3, operative July 1, 1982; Laws 2003, c. 85, &sect; 5, eff. Nov. 1, 2003; Laws 2011, c. 146, &sect; 2, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1256. Repealed by Laws 2003, c. 85, &sect; 22, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-1256.1. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Licensed Social Workers shall be responsible for the control and regulation of the practice of social work in this state and shall conduct its business in accordance with the Administrative Procedures Act. The Board&rsquo;s authority includes, but is not limited to, the following:&nbsp;</span></p> <p><span class="cls0">1. The licensing by examination or by reciprocity of applicants who are qualified to engage in the practice of social work under the provisions of this act;&nbsp;</span></p> <p><span class="cls0">2. The renewal of licenses to engage in the practice of social work;&nbsp;</span></p> <p><span class="cls0">3. The establishment and enforcement of compliance with professional standards of practice and rules of conduct of social workers engaged in the practice of social work;&nbsp;</span></p> <p><span class="cls0">4. The determination and issuance of standards for recognition and approval of degree programs of schools and colleges of social work whose graduates may be eligible for licensure in this state, and the specification and enforcement of requirements for practical training;&nbsp;</span></p> <p><span class="cls0">5. The investigation of any activities related to the practice or unauthorized practice of social work. In conducting such investigations, the Board shall have the power to subpoena and to bring before it any person and to take testimony either orally or by deposition, or both, in the same manner as prescribed in civil cases in the courts of this state. Any member of the Board, hearing officer, or administrative law judge shall have power to administer oaths to witnesses at any hearing which the Board is authorized to conduct. Following such investigation, the Board may suspend, revoke or restrict licenses to engage in the practice of social work;&nbsp;</span></p> <p><span class="cls0">6. With probable cause that an applicant or licensee has engaged in conduct prohibited by this act or a rule promulgated by the Board, the issuance of a request that the applicant or licensee submit to a mental or physical examination or chemical dependency evaluation. If the applicant or licensee refuses to submit to the examination or evaluation, the Board shall issue an order requiring the licensee or applicant to show cause why he or she will not submit to the examination and shall schedule a hearing on the order within thirty (30) days after notice is served on the applicant or licensee by personal service or certified mail. At the hearing, the applicant or licensee and the applicant or licensee&rsquo;s attorney are entitled to present any testimony to show why the applicant or licensee should not be required to submit to the examination. After a complete hearing, the Board shall issue an order either requiring the applicant or licensee to submit to the examination or withdrawing the request for the examination. The license in question may be suspended until the results of the examination are received and reviewed by the Board;&nbsp;</span></p> <p><span class="cls0">7. The collection of professional demographic data;&nbsp;</span></p> <p><span class="cls0">8. The issuance of licenses of all persons engaged in the practice of social work;&nbsp;</span></p> <p><span class="cls0">9. The inspection of any licensed person, at all reasonable hours, for the purpose of determining if any provisions of the laws governing the practice of social work are being violated. The Board, its officers, inspectors, and representatives shall cooperate with all agencies charged with the enforcement of the laws of the United States, of this state, and of all other states relating to the practice of social work;&nbsp;</span></p> <p><span class="cls0">10. The promulgation of such rules as may be deemed necessary by the Board for the proper administration and enforcement of this act in accordance with the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">11. The administration of examinations for licensure pursuant to the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any examination for licensure required under this act shall be given by the Board at least two times during each year. The Board shall determine the content and subject matter of each examination and the place, time, and date of administration of the examination, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the examination shall be prepared to measure the competence of the applicant to engage in the relevant practice of social work. The Board may employ, cooperate, and contract with any organization or consultant in the preparation, administration and grading of an examination, but shall retain the sole discretion and responsibility for determining which applicants have successfully passed such an examination;&nbsp;</span></p> <p><span class="cls0">12. The establishment of such requirements for supervised practice or any other experiential program necessary to qualify an applicant for any licensure examination under this act, including determination of the qualifications of supervisors used in supervision programs;&nbsp;</span></p> <p><span class="cls0">13. The acquisition of a membership in such professional organizations and associations organized exclusively to promote the improvement of the standards of the practice of social work for the protection of the health and welfare of the public or whose activities assist and facilitate the work of the Board;&nbsp;</span></p> <p><span class="cls0">14. The establishment of a &ldquo;Bill of Rights&rdquo; for clients concerning the services a client may expect in regard to social work services; and&nbsp;</span></p> <p><span class="cls0">15. In addition to the fees specifically provided for in this act, the establishment of fees including, but not limited to, the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;issuance of duplicate certificates or identification cards,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;copies of any documents,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;certification of documents, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;issuance of licenses by reciprocity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 6, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1256.2. Reports to Board - Conduct by applicant or license.&nbsp;</span></p> <p><span class="cls0">A. A social worker shall report to the State Board of Licensed Social Workers information on the following conduct by an applicant or a licensee:&nbsp;</span></p> <p><span class="cls0">1. Sexual contact or sexual conduct with a client or a former client, only when the client consents to the report;&nbsp;</span></p> <p><span class="cls0">2. Failure to report information as required by law;&nbsp;</span></p> <p><span class="cls0">3. Impairment in the ability to practice by reason of illness, use of alcohol, drugs, or other chemicals, or as a result of any mental or physical condition;&nbsp;</span></p> <p><span class="cls0">4. Improper or fraudulent billing practices;&nbsp;</span></p> <p><span class="cls0">5. Fraud in the licensure application process or any other false statements made to the Board;&nbsp;</span></p> <p><span class="cls0">6. Conviction of any felony or crime reasonably related to the practice of social work; or&nbsp;</span></p> <p><span class="cls0">7. A violation of a Board order.&nbsp;</span></p> <p><span class="cls0">B. Social Workers shall report to the Board information on any other conduct by an applicant or a licensee that constitutes grounds for disciplinary action under this act or the rules of the Board when the social worker reasonably believes that the client&rsquo;s functioning has been affected negatively by the conduct.&nbsp;</span></p> <p><span class="cls0">C. An applicant or licensee shall report to the Board any personal action that would otherwise require a report to be made to the Board pursuant to this act.&nbsp;</span></p> <p><span class="cls0">D. Reports required by this section must be submitted not later than thirty (30) days after the occurrence of the reportable event or knowledge by the person reporting the occurrence. The Board may adopt such rules as are necessary to assure prompt and accurate reporting.&nbsp;</span></p> <p><span class="cls0">E. Any person, social worker, business, or organization is immune from civil liability or criminal prosecution for submitting in good faith a report under this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 7, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1261.1. Issuance of licenses - Qualifications - Types of license - Private practice.&nbsp;</span></p> <p><span class="cls0">A. To obtain a license under the Social Worker's Licensing Act, an applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Submit a written application in a form prescribed by the State Board of Licensed Social Workers;&nbsp;</span></p> <p><span class="cls0">2. Have attained the age of majority;&nbsp;</span></p> <p><span class="cls0">3. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">4. Have graduated and received a degree in social work from an approved social work program;&nbsp;</span></p> <p><span class="cls0">5. Have completed any necessary post graduate experience and supervision in the practice of social work;&nbsp;</span></p> <p><span class="cls0">6. Have passed the necessary examination and paid all fees required by the Board; and&nbsp;</span></p> <p><span class="cls0">7. Submit to a national criminal history record check, as defined by Section 150.9 of Title 74 of the Oklahoma Statutes. The costs associated with the national criminal history record check shall be paid by the applicant and submitted to the Board at the time of application. With the required fee, the applicant shall provide to the Board two classifiable sets of fingerprints to be provided to the Oklahoma State Bureau of Investigation.&nbsp;</span></p> <p><span class="cls0">B. If the results of the national criminal history record check required by subsection A of this section reveal that the applicant has been convicted of, or pled guilty or nolo contendere to, any felony, or to any misdemeanor involving moral turpitude, the individual&rsquo;s application for licensure may be disapproved and no further action shall be taken on the application.&nbsp;</span></p> <p><span class="cls0">C. Upon certification by the Board, the Board shall authorize the issuance of social work licenses to persons who qualify as follows:&nbsp;</span></p> <p><span class="cls0">1. As a licensed social work associate (LSWA) who has a baccalaureate degree in social work from an accredited institution or an approved social work program or both and has two (2) years of full-time postgraduate experience in the practice of social work under professional supervision of a person licensed under these provisions, and passed the examination provided for under these provisions or who has a doctoral or master's degree in social work from an institution with a program accredited by an approved social work program and has passed the examination provided for under these provisions;&nbsp;</span></p> <p><span class="cls0">2. As a licensed master&rsquo;s social worker (LMSW) who has a master&rsquo;s degree in social work from an accredited institution or an approved social work program or both and has passed the examination provided for under the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">3. As a licensed social worker (LSW) who has a master's degree in social work from an accredited institution or an approved social work program or both and has two (2) years of full-time postgraduate experience in the practice of social work under professional supervision of a person licensed under those provisions, and who has passed the examination provided for under the provisions of the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">4. As a licensed clinical social worker (LCSW) who has a master&rsquo;s degree in social work from an accredited institution or an approved social work program or both and has two (2) years of full-time postgraduate experience in the practice of clinical social work under professional supervision of a person licensed by the Social Worker's Licensing Act, and who has passed the examination provided for under the Social Worker's Licensing Act; and&nbsp;</span></p> <p><span class="cls0">5. As a licensed social worker with administration specialty (LSW-ADM) who has a master&rsquo;s degree in social work from an accredited institution or an approved social work program or both and has two (2) years of full-time postgraduate experience in the practice of administrative social work under professional supervision of a person licensed by the Social Worker's Licensing Act, and who has passed the examination provided for under the Social Worker's Licensing Act.&nbsp;</span></p> <p><span class="cls0">D. No person may engage in the private practice of clinical social work unless that person:&nbsp;</span></p> <p><span class="cls0">1. Is licensed under the Social Worker's Licensing Act as a licensed clinical social worker (LCSW); and&nbsp;</span></p> <p><span class="cls0">2. Continues to meet continuing education requirements set by the Board.&nbsp;</span></p> <p><span class="cls0">E. No person may engage in an independent social work practice unless that person:&nbsp;</span></p> <p><span class="cls0">1. Is licensed under the Social Worker's Licensing Act as a licensed clinical social worker (LCSW), licensed social worker with administration specialty (LSW-ADM) or licensed social worker (LSW). This specifically and intentionally excludes licensed social work associates (LSWA) and licensed masters social workers (LMSW); and&nbsp;</span></p> <p><span class="cls0">2. Continues to meet continuing education requirements set by the Board.&nbsp;</span></p> <p><span class="cls0">F. Any qualified person who files by February 1, 2012, a sworn statement with the Board stating that the person has met the definition of a qualified person under this section shall, upon approval of the statement by the Board, be entitled to engage in the independent practice of social work without having to meet the two-year postgraduate supervision requirement specified in paragraphs 3, 4 and 5 of subsection C of this section.&nbsp;</span></p> <p><span class="cls0">G. As used in this section, &ldquo;qualified person&rdquo; means a person who:&nbsp;</span></p> <p><span class="cls0">1. Currently holds an active social worker license from the Board; and&nbsp;</span></p> <p><span class="cls0">2. Has held a social worker license from the Board continuously during the ten-year period immediately prior to the effective date of the amendment of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1980, c. 124, &sect; 8, eff. Oct. 1, 1980. Amended by Laws 1982, c. 122, &sect; 4, operative July 1, 1982; Laws 1987, c. 108, &sect; 3, eff. July 1, 1987; Laws 2003, c. 85, &sect; 8, eff. Nov. 1, 2003; Laws 2011, c. 146, &sect; 3, eff. Nov. 1, 2011.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1261.1a. License renewal - Continuing education - Reapplication.&nbsp;</span></p> <p><span class="cls0">A. Licensees shall be required to renew their license at such time and in such manner established by the State Board of Licensed Social Workers by rule, including the form of application and payment of the applicable renewal fee. Under no circumstances shall the renewal period exceed two (2) years.&nbsp;</span></p> <p><span class="cls0">B. As a requirement for license renewal, each licensee shall provide evidence satisfactory to the Board that such licensee has annually completed at least sixteen (16) hours of a program of continuing education as prescribed by the Board.&nbsp;</span></p> <p><span class="cls0">C. The Board shall also provide procedures by rule to ensure that license renewal candidates maintain the qualifications to practice social work, as set forth in this act.&nbsp;</span></p> <p><span class="cls0">D. If a social worker fails to make application to the Board for renewal of a license within a period of ninety (90) days after the expiration of the license, such person must reapply as an initial applicant for licensure and pass the current licensure examination; however, a person who has been licensed under the laws of this state and the license has expired, but who has continually practiced social work in another state under a license issued by the authority of such state, may renew the license upon completion of the continuing education requirements set forth by the Board and payment of the designated fee.&nbsp;</span></p> <p><span class="cls0">E. Any licensee who allows their license to expire after January 1, 2012, shall, in addition to any other requirements for reinstatement, be required to submit to a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes, and pay the fee for the record check. However, the individual shall be allowed to practice with the expired license pending receipt by the Board of a complete and satisfactory national criminal history record check. If the Board does not receive two classifiable sets of fingerprints taken by a local, state or federal law enforcement agency or a civilian entity approved by the Oklahoma State Bureau of Investigation and the required fee within thirty (30) days from the date the license was reinstated, the license shall be suspended until receipt by the Board of the sets of fingerprints and the fee for the record check.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 9, eff. Nov. 1, 2003. Amended by Laws 2011, c. 146, &sect; 4, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1261.3. Repealed by Laws 2003, c. 85, &sect; 22, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-1261.4. Reciprocity - Qualifications.&nbsp;</span></p> <p><span class="cls0">A. Any person who becomes a resident of this state and who is or has been, immediately preceding the person&rsquo;s residency in this state, licensed to practice social work by another state which grants a like privilege of reciprocity and who meets the educational and work experience qualifications for licensure in this state may, upon payment of the necessary fee and submission of documentation as required by the Board, be licensed under the provisions of the Social Worker's Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. In cases where reciprocity does not exist the Oklahoma State Board of Licensed Social Workers may endorse the actions of another state licensing board upon receipt of information by that board documenting that the applicant has met the educational and supervisory requirements of the Oklahoma State Board in another state, and has passed the same examination or a more stringent examination than that used by the Oklahoma State Board of Licensed Social Workers.&nbsp;</span></p> <p><span class="cls0">C. 1. For a social worker currently licensed in another jurisdiction to obtain a license as a social worker by reciprocity in this state, an applicant shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;submit a written application in the form prescribed by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;have attained the age of majority,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;be of good moral character,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;have a social work degree at the designation for which the applicant is seeking licensure,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;possess, at the time of initial licensure as a social worker, any qualifications necessary, as determined by the Board, to have been eligible for licensure at that time in this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;present to the Board a passing score on the designated licensure examination,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;present to the Board proof that the transferring social work license is current and in good standing,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;present to the Board proof that any social work or any other professional license or other credential granted to the applicant by any other state has not been suspended, revoked, or otherwise restricted for any reason except nonrenewal or for the failure to obtain the required continuing education credits in any jurisdiction where the applicant is or has been licensed, and&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;pay the fees specified by the Board.&nbsp;</span></p> <p><span class="cls0">2. Applicants for license transfer under this section shall only be eligible for licensure at the equivalent designation recognized in the currently licensed jurisdiction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 122, &sect; 6, operative July 1, 1982. Amended by Laws 1987, c. 108, &sect; 5, eff. July 1, 1987; Laws 2003, c. 85, &sect; 10, eff. Nov. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1261.5. Provisional licenses.&nbsp;</span></p> <p><span class="cls0">Upon certification by the State Board of Licensed Social Workers, the Board shall authorize the issuance of provisional licenses to persons who have met all qualifications for licensure under provisions of the Social Worker's Licensing Act except passage of the required examination. Such persons shall, upon payment of the necessary fee and submission of documentation as required by the Board, be issued a provisional license subject to the following provisions:&nbsp;</span></p> <p><span class="cls0">1. If a person subsequently fails the examination, upon receipt and recording of the person's examination score by the Board, such person may retake the examination every ninety (90) days until the person passes, or until one (1) year from the date of issuance of the provisional license;&nbsp;</span></p> <p><span class="cls0">2. Upon receipt and recording of a person&rsquo;s passing score by the Board, the provisional license will be replaced by a permanent license; and&nbsp;</span></p> <p><span class="cls0">3. Upon a person&rsquo;s failure to pass the examination within one (1) year from the date the provisional license was issued, that license will be automatically revoked.&nbsp;</span></p> <p><span class="cls0">4. Revocation of the provisional license shall not preclude a person from continuing to take and pass the required examination and be eligible for a permanent license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 122, &sect; 7, operative July 1, 1982. Amended by Laws 2003, c. 85, &sect; 11, eff. Nov. 1, 2003; Laws 2006, c. 100, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1261.6. Information confidential - Disclosure.&nbsp;</span></p> <p><span class="cls0">No person licensed under the provisions of the Social Worker's Licensing Act or secretary, stenographer or clerk of such a licensed person or anyone who participates in delivery of social work services or anyone working under supervision of a person licensed under these provisions may disclose any information acquired from persons consulting the licensed social worker in his or her professional capacity or be compelled to disclose such information.&nbsp;</span></p> <p><span class="cls0">The confidential relations and communications between a person licensed under this act and the client are placed on the same basis as provided by law for those between an attorney and client. Nothing in the Social Worker's Licensing Act shall be construed to require such privileged communication to be disclosed except:&nbsp;</span></p> <p><span class="cls0">1. With the written consent of the client, or in the case of death or disability, of his or her personal representative, other person authorized to sue, or the beneficiary of any insurance policy on his or her life, health or physical condition;&nbsp;</span></p> <p><span class="cls0">2. That no information shall be treated as privileged and there shall be no privilege created by this act as to any information acquired by a person licensed under this act or a secretary, stenographer or clerk of such a licensed person or anyone who participates in delivery of social work services or anyone working under the supervision of such a licensed person when such information pertains to criminal acts or violations of any law;&nbsp;</span></p> <p><span class="cls0">3. When the person is a child under the age of eighteen (18) years and the information acquired by the licensed person indicated that the child was the victim or subject of a crime, the licensed person may be required to testify fully in relation thereto upon any examination, trial or other proceeding in which the commission of such a crime is a subject of inquiry; or&nbsp;</span></p> <p><span class="cls0">4. When the person waives the privilege by bringing charges against the licensed person.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall be construed to prohibit any licensed person from testifying in court hearings concerning matters of adoption, child abuse, child neglect, or matters pertaining to the welfare of children or from seeking collaboration or consultation with professional colleagues or administrative superiors on behalf of the client.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 122, &sect; 8, operative July 1, 1982. Amended by Laws 2003, c. 85, &sect; 12, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1262. Licensure and identification as licensed social worker or licensed social worker associate.&nbsp;</span></p> <p><span class="cls0">The applicant shall receive a license when the State Board of Licensed Social Workers has determined that the applicant meets the requirements for licensure, and the Board shall provide the applicant with a license or other suitable device to identify the person to the public as a person licensed under this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 12. Amended by Laws 1980, c. 124, &sect; 10, eff. Oct. 1, 1980; Laws 2003, c. 85, &sect; 13, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1263. Fees - Licensed Social Workers' Revolving Fund.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Licensed Social Workers may assess such fees as it deems necessary to accomplish the purposes of the Social Worker's Licensing Act. Fees shall be assessed according to the fee schedule in the rules promulgated by the Board.&nbsp;</span></p> <p><span class="cls0">B. There is hereby created in the State Treasury a revolving fund for the State Board of Licensed Social Workers, to be designated the "Licensed Social Workers' Revolving Fund". The fund shall consist of monies received by the Board under statutory authority and such monies accruing to the credit of the fund may be expended by the Board for the purpose of carrying out the provisions of the Social Worker's Licensing Act. The fund shall be administered in accordance with standard revolving fund procedures. The Board shall pay into the General Revenue Fund of the state ten percent (10%) of the gross fees so collected and received as provided for in Section 211 of Title 62 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 13. Amended by Laws 1980, c. 124, &sect; 11, eff. Oct. 1, 1980; Laws 1987, c. 108, &sect; 4, eff. July 1, 1987; Laws 1990, c. 86, &sect; 1, emerg. eff. April 18, 1990; Laws 2003, c. 85, &sect; 14, eff. Nov. 1, 2003; Laws 2011, c. 146, &sect; 5, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591264. Title and abbreviation as licensed social worker.&nbsp;</span></p> <p><span class="cls0">Any person who has received a license as a licensed social worker shall have the right to use the title, Licensed Social Worker, and the abbreviation, LSW. No other person shall assume such title, use such abbreviation, or any word or letters, signs, figures or devices to indicate that the person using the same is a licensed social worker.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 140, &sect; 14; Laws 1980, c. 124, &sect; 12, eff. Oct. 1, 1980. &nbsp;</span></p> <p><span class="cls0">&sect;59-1264.1. Licensed Clinical Social Worker - Use of Title.&nbsp;</span></p> <p><span class="cls0">Any person who has received a license as a licensed clinical social worker shall have the right to use the title, Licensed Clinical Social Worker, and the abbreviation, LCSW. No other person shall assume such title, use such abbreviation, or any word or letters, signs, figures or devices to indicate that the person using the same is a licensed social worker.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 15, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1264.2. Licensed Master&rsquo;s Social Worker - Use of Title.&nbsp;</span></p> <p><span class="cls0">Any person who has received a license as a licensed master&rsquo;s social worker shall have the right to use the title, Licensed Master&rsquo;s Social Worker, and the abbreviation, LMSW. No other person shall assume such title, use such abbreviation, or any word or letters, signs, figures or devices to indicate that the person using the same is a licensed social worker.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 16, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1264.3. Use of LSW-ADM title.&nbsp;</span></p> <p><span class="cls0">Any person who has received a license as a licensed social worker with administration specialty shall have the right to use the title licensed social worker with administration specialty, and the abbreviation LSW-ADM. No other person shall assume such title, use such abbreviation, or any word or letters, signs, figures or devices to indicate that the person using the same is a licensed social worker.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 146, &sect; 6, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591265. Title and abbreviation as Licensed Social Worker Associate.&nbsp;</span></p> <p><span class="cls0">Any person who has received a license as a licensed social work associate shall have the right to use the title Licensed Social Work Associate, and the abbreviation, LSWA. No other person shall assume such title, use such abbreviation, or any word or letters, signs, figures or devices to indicate that the person using the same is a licensed social work associate.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Laws 1965, c. 140, &sect; 15; Laws 1980, c. 124, &sect; 13, eff. Oct. 1, 1980. &nbsp;</span></p> <p><span class="cls0">&sect;59-1266. Repealed by Laws 2003, c. 85, &sect; 22, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-1266.1. Refusal to issue or renew, suspend, revoke, censure, reprimand, restrict or limit license &ndash; Fines - Judicial review.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Licensed Social Workers may refuse to issue or renew the license of, or may suspend, revoke, censure, reprimand, restrict or limit the license of, or fine, any person pursuant to the Administrative Procedures Act or the procedures set forth in the Social Worker's Licensing Act upon one or more of the following grounds as determined by the Board:&nbsp;</span></p> <p><span class="cls0">1. Unprofessional conduct as determined by the Board;&nbsp;</span></p> <p><span class="cls0">2. Practicing outside the scope of practice authorized by this act;&nbsp;</span></p> <p><span class="cls0">3. Conduct which violates any of the provisions of the Social Worker's Licensing Act or rules adopted pursuant to the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">4. Incapacity or impairment that prevents a licensee from engaging in the practice of social work with reasonable skill, competence, and safety to the public;&nbsp;</span></p> <p><span class="cls0">5. Conviction of or a plea of guilty or nolo contendere to a felony in a court of competent jurisdiction of any state or federal court of the United States if the acts involved would have constituted a felony under the laws of this state;&nbsp;</span></p> <p><span class="cls0">6. Any act involving moral turpitude or gross immorality;&nbsp;</span></p> <p><span class="cls0">7. Violations of the laws of this state, or rules pertaining thereto, or of laws, rules and regulations of any other state, or of the federal government pertaining to any aspect of the practice of social work;&nbsp;</span></p> <p><span class="cls0">8. Misrepresentation of a material fact by an applicant or licensee in securing or attempting to secure the issuance or renewal of a license, or in statements regarding the applicant or licensee&rsquo;s skills or the efficiency or value of any treatment provided or to be provided, or using any false, fraudulent, or deceptive statement connected with the practice or social work including, but not limited to, false or misleading advertising;&nbsp;</span></p> <p><span class="cls0">9. Fraud by a licensee in connection with the practice of social work including engaging in improper or fraudulent billing practices or violating Medicare and Medicaid laws or state medical assistance laws;&nbsp;</span></p> <p><span class="cls0">10. Engaging or aiding and abetting an individual to engage in the practice of social work without a license, or falsely using the title of social worker;&nbsp;</span></p> <p><span class="cls0">11. Failing to comply with any stipulation or agreement involving probation or settlement of any disciplinary matter with the Board or with any order entered by the Board;&nbsp;</span></p> <p><span class="cls0">12. Being found by the Board to be in violation of any of the provisions of the Social Worker's Licensing Act or rules adopted pursuant to the Social Worker's Licensing Act;&nbsp;</span></p> <p><span class="cls0">13. Conduct which violates the security of any licensure examination materials;&nbsp;</span></p> <p><span class="cls0">14. Being the subject of the revocation, suspension, surrender or other disciplinary sanction of a social worker or related license or of other adverse action related to a social worker or related license in another jurisdiction or country including the failure to report such adverse action to the Board; or&nbsp;</span></p> <p><span class="cls0">15. Being adjudicated by a court of competent jurisdiction, within or without this state, as incapacitated, mentally incompetent, chemically dependent, mentally ill and dangerous to the public, or a psychopathic personality.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board may defer action with regard to an impaired licensee who voluntarily signs an agreement, in a form satisfactory to the Board, agreeing not to practice social work and to enter an approved treatment and monitoring program in accordance with this section; provided, however, that this section shall not apply to a licensee who has been convicted of, pleads guilty to, or enters a plea of nolo contendere to a felonious act prohibited by Oklahoma law or a conviction relating to a controlled substance in a court of law of the United States or any other jurisdiction or a conviction related to sexual misconduct.&nbsp;</span></p> <p><span class="cls0">2. A licensee who is physically or mentally impaired due to mental illness or addiction to drugs or alcohol may qualify as an impaired social worker and have disciplinary action deferred and ultimately waived subject to the following conditions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the Board is satisfied that such action will not endanger the public,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the licensee enters into an agreement with the Board for a treatment and monitoring plan approved by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the licensee progresses satisfactorily in such treatment and monitoring program, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the licensee complies with all terms of the agreement and all other applicable terms of this section.&nbsp;</span></p> <p><span class="cls0">3. Failure to enter such agreement or to comply with the terms and make satisfactory progress in the treatment and monitoring program shall disqualify the licensee from the provisions of this section and the Board may activate an immediate investigation and disciplinary proceeding. Upon completion of the rehabilitation program in accordance with the agreement signed by the Board, the licensee may apply for permission to resume the practice of social work upon such conditions as the Board determines necessary.&nbsp;</span></p> <p><span class="cls0">4. The Board may require a licensee to enter into an agreement, pursuant to this subsection, which includes, but is not limited to, the following provisions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the licensee agrees that the license shall be suspended or revoked indefinitely under this section,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the licensee agrees to enroll in a treatment and monitoring program approved by the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the licensee agrees that failure to satisfactorily progress in such treatment and monitoring program shall be reported to the Board by the treating professional who shall be immune from any liability for such reporting made in good faith, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the licensee consents to the reports of the treating physician or professional of the approved treatment and monitoring program to the Board on the progress of licensee at such intervals as the Board deems necessary.&nbsp;</span></p> <p><span class="cls0">5. The ability of an impaired social worker to practice shall only be restored and charges dismissed when the Board is satisfied by the reports it has received from the approved treatment program that the licensee can resume practice without danger to the public.&nbsp;</span></p> <p><span class="cls0">6. The impaired licensee shall consent, in accordance with applicable law, to the release of any treatment information to the Board from anyone within the approved treatment program.&nbsp;</span></p> <p><span class="cls0">7. The impaired licensee who has enrolled in an approved treatment and monitoring program and entered into an agreement with the Board in accordance with this subsection shall have his or her license suspended or revoked but enforcement of this suspension or revocation shall be stayed by the length of time the licensee remains in the program and makes satisfactory progress, complies with the terms of the agreement, and adheres to any limitations on the practice imposed by the Board to protect the public. The licensee may petition the Board for reinstatement pursuant to subsection D of this section. Failure to enter into such agreement or to comply with the terms and make satisfactory progress in the treatment and monitoring program shall disqualify the licensee from the provisions of this section and the Board shall activate an immediate investigation and disciplinary proceedings.&nbsp;</span></p> <p><span class="cls0">C. Any social worker who has substantial evidence that a licensee has an active addiction for which the licensee is not receiving treatment under a program approved by the Board pursuant to an agreement entered into under this section, is diverting a controlled substance, or is mentally or physically incompetent to carry out the duties of the license, shall make or cause to be made a report to the Board. Any person who makes a report pursuant to this section in good faith and without malice shall be immune from any civil or criminal liability arising from such reports. Failure to provide such a report within a reasonable time from receipt of knowledge may be considered grounds for disciplinary action against the licensee.&nbsp;</span></p> <p><span class="cls0">D. Any person whose license to practice social work in this state has been suspended or restricted pursuant to the Social Worker's Licensing Act, whether voluntarily or by action of the Board, shall have the right to petition the Board for reinstatement of such license. Such a petition shall be made in writing and in the form prescribed by the Board. Upon investigation and hearing, the Board may grant or deny such petition, or it may modify its original finding to reflect any circumstances which have changed sufficiently to warrant such modifications. The Board may also require such person to pass an examination or examinations for reentry into the practice of social work.&nbsp;</span></p> <p><span class="cls0">E. The Board may issue a cease and desist order to stop an individual from engaging in an unauthorized practice or violating or threatening to violate a statute, rule, or order which the Board has issued or is empowered to enforce. The cease and desist order must state the reason for its issuance and give notice of the individual&rsquo;s right to request a hearing under the Administrative Procedures Act. Nothing herein shall be construed as barring criminal prosecutions for violations of the Social Worker's Licensing Act.&nbsp;</span></p> <p><span class="cls0">F. All final decisions by the Board shall be subject to judicial review pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">G. Any individual whose license to practice social work is revoked, suspended, or not renewed shall return such license to the offices of the Board within ten (10) days after notice of such action.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 17, eff. Nov. 1, 2003. Amended by Laws 2011, c. 146, &sect; 7, eff. Nov. 1, 2011.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1267. Notice and hearing.&nbsp;</span></p> <p><span class="cls0">No license or specialty certification shall be suspended or revoked until notice is served upon the person licensed under the Social Worker&rsquo;s Licensing Act and a hearing is held before the State Board of Licensed Social Workers. The notice shall be served by registered mail and shall state the time and place of the hearing and shall set forth the ground or grounds constituting the charges against the person licensed under this act. The licensed person is entitled to be heard in his or her defense either in person or by counsel and may produce testimony and may testify in his or her own behalf. A record of the hearing shall be taken and preserved. The record shall contain the notice; all papers, documents and data filed in the proceedings and all statements of the Board pertinent thereto; the testimony and exhibits; and the findings of fact and orders of the Board in writing. The State of Oklahoma shall be a party in the prosecution of all such actions and hearings before the Board pertaining to the suspension or revocation of a license or specialty certification, and the Attorney General, or one of the Attorney General&rsquo;s assistants, is authorized and directed to appear in behalf thereof. The hearing may be adjourned from time to time. If the licensed person fails or refuses to appear, the Board may proceed to hear and determine the charges in his or her absence. If the licensed person pleads guilty, or if upon hearing of the charges a majority of the Board finds them true, the Board may enter an order suspending or revoking the license or specialty certification.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 17. Amended by Laws 1980, c. 124, &sect; 15, eff. Oct. 1, 1980; Laws 2003, c. 85, &sect; 18, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591268. Rules for proceedings Subpoenas.&nbsp;</span></p> <p><span class="cls0">The Board shall adopt rules for its proceedings that will enable it, without undue delay, to competently determine the facts in each matter brought before it, and to render a decision in writing consistent with the intent of this law. The Board shall have the right to issue subpoenas where required. If the Board's subpoena is not honored, the Board shall petition a court of competent jurisdiction to have its subpoena honored. If, upon a hearing in the court, the demand of the Board is lawful, the court shall enter an order compelling compliance therewith. Disobedience of such an order shall be punished as contempt of court.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 140, &sect; 18. &nbsp;</span></p> <p><span class="cls0">&sect;59-1269. Repealed by Laws 2003, c. 85, &sect; 22, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-1270. Unlawful acts - Penalties.&nbsp;</span></p> <p><span class="cls0">A. It shall be a misdemeanor for any person to:&nbsp;</span></p> <p><span class="cls0">1. Use in connection with his or her name any designation tending to imply that he or she is licensed under the Social Worker&rsquo;s Licensing Act unless he or she is duly and respectively licensed under the provisions of this act;&nbsp;</span></p> <p><span class="cls0">2. Use in connection with his or her name any designation tending to imply that he or she is licensed under the provisions of this act during the time his or her license shall be suspended or revoked; or&nbsp;</span></p> <p><span class="cls0">3. Otherwise violate any of the provisions of this act.&nbsp;</span></p> <p><span class="cls0">B. 1. Except as otherwise provided, it shall be unlawful for any individual to engage in the practice of social work unless duly licensed under this act.&nbsp;</span></p> <p><span class="cls0">2. Except as otherwise provided, it shall be unlawful for any individual to engage in the practice of Clinical Social Work unless duly licensed as a Clinical Social Worker under this act.&nbsp;</span></p> <p><span class="cls0">3. No individual shall offer social work services or use the designation social worker, licensed social work associate, licensed master&rsquo;s social worker, licensed social worker, licensed clinical social worker or the initials LSWA, LMSW, LSW, or LCSW or any other designation indicating licensure status or hold themselves out as licensed to practice social work unless duly licensed.&nbsp;</span></p> <p><span class="cls0">4. The provision of social work services to an individual in this state, through telephonic, electronic or other means, regardless of the location of the social worker, shall constitute the practice of social work and shall be subject to regulation.&nbsp;</span></p> <p><span class="cls0">5. Any individual who, after hearing, is found by the State Board of Licensed Social Workers to have unlawfully engaged in the practice of social work or to have violated other provisions of this act shall be subject to a fine to be imposed by the Board not to exceed Five Hundred Dollars ($500.00) for each offense. Each violation of this act or Board rules pertaining to unlawful practice of social work shall also constitute a misdemeanor.&nbsp;</span></p> <p><span class="cls0">6. Nothing in this act shall be construed to prevent members of other professions from performing functions for which they are duly licensed; provided, however, such professionals shall not hold themselves out or refer to themselves by any title or description stating or implying that they are engaged in the practice of social work or that they are licensed to engage in the practice of social work.&nbsp;</span></p> <p><span class="cls0">7. Students currently participating in an approved social work program are exempt from licensure under this act when enrolled in or participating in an internship, externship, or other social work experience requirements for such programs.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 20. Amended by Laws 1980, c. 124, &sect; 17, eff. Oct. 1, 1980; Laws 2003, c. 85, &sect; 19, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1271. Repealed by Laws 2003, c. 85, &sect; 22, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;59-1271.1. Temporary suspension of license.&nbsp;</span></p> <p><span class="cls0">Notwithstanding any provisions of the Administrative Procedures Act, the State Board of Licensed Social Workers may, without a hearing, temporarily suspend a license for not more than sixty (60) days if the Board finds that a person licensed under the Social Worker&rsquo;s Licensing Act has violated a law or rule that the Board is empowered to enforce, and if continued practice by the licensed person would create an imminent risk of harm to the public. The suspension shall take effect upon written notice to the licensed person specifying the statute or rule violated. At the time it issues the suspension notice, the Board shall schedule a disciplinary hearing to be held pursuant to the Administrative Procedures Act within thirty (30) days and shall provide the licensed person with notice of the date of hearing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 85, &sect; 20, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1272. Use of title.&nbsp;</span></p> <p><span class="cls0">A. No provision of the Social Worker&rsquo;s Licensing Act shall be construed as prohibiting any person, whether or not that person may be licensed under the provisions of this act, and who is in fact a member of the Academy of Certified Social Workers, from continuing to use the title, Member, Academy of Certified Social Workers, and the abbreviation, ACSW.&nbsp;</span></p> <p><span class="cls0">B. No provision of this act shall be construed as prohibiting any person, whether or not that person may be licensed under the provisions of this act, and who is in fact credentialed as a Qualified Clinical Social Worker, from continuing to use the title, Qualified Clinical Social Worker, and the abbreviation, QCSW.&nbsp;</span></p> <p><span class="cls0">C. No provision of this act shall be construed as prohibiting any person, whether or not that person may be licensed under the provisions of this act, and who is in fact credentialed as a Diplomat in Clinical Social Work, from continuing to use the title, Diplomat in Clinical Social Work, and the abbreviation, DCSW.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 140, &sect; 22. Amended by Laws 1980, c. 124, &sect; 18, eff. Oct. 1, 1980; Laws 2003, c. 85, &sect; 21, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1272.1. Repealed by Laws 2003, c. 85, &sect; 22, eff. Nov. 1, 2003.&nbsp;</span></p> <p><span class="cls0">&sect;591273. Enforcement of act Surety for costs.&nbsp;</span></p> <p><span class="cls0">The Board shall enforce the provisions of this law and they shall be exempt from providing surety for the costs in connection with the commencement of any legal proceedings under this law.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 140, &sect; 23. &nbsp;</span></p> <p><span class="cls0">&sect;591301. Definitions.&nbsp;</span></p> <p><span class="cls0">A. This act shall only apply to the regulation of bail bonds for crimes, the punishment of which may be in excess of Twenty Dollars ($20.00) fine or twenty (20) days in jail, or both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. As used in this act:&nbsp;</span></p> <p><span class="cls0">1. "Commissioner" means the Insurance Commissioner of the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">2. "Clerk" means the district or municipal court clerk;&nbsp;</span></p> <p><span class="cls0">3. "Insurer" means any domestic, foreign or alien surety company which has qualified generally to transact surety business and specifically to transact bail bond business in this state;&nbsp;</span></p> <p><span class="cls0">4. "Bail bondsman" means a surety bondsman, professional bondsman, property bondsman, or a cash bondsman as hereinafter defined;&nbsp;</span></p> <p><span class="cls0">5. "Surety bondsman" means any person who has been approved by the Commissioner and appointed by an insurer or a professional bondsman, by power of attorney, to execute or countersign bail bonds for the insurer or a professional bondsman, in connection with judicial proceedings and charges and receives money for his services;&nbsp;</span></p> <p><span class="cls0">6. "Managing general agent" (M.G.A.) means any person acting in the capacity of supervisor or manager over a licensed bondsman, who has been granted the authority or responsibility by a surety company to conduct surety business on its behalf, and to oversee the activities and conduct of the surety's appointed licensed bondsman agents, and who generally functions as an intermediate manager between the surety and its licensed bondsman agents. A managing general agent fulfilling these functions shall be a natural person, shall meet the qualifications of paragraph 5 of this subsection and shall be licensed as a bondsman;&nbsp;</span></p> <p><span class="cls0">7. "Professional bondsman" means any person who has been approved by the Commissioner and who pledges cash as security for a bail bond in connection with a judicial proceeding and charges and receives money for his services;&nbsp;</span></p> <p><span class="cls0">8. "Property bondsman" means any person who has been approved by the Commissioner and who pledges real property as security for a bail bond in a judicial proceeding and charges and receives money for his services;&nbsp;</span></p> <p><span class="cls0">9. "Cash bondsman" means any person who has been approved by the Commissioner and who deposits cash money as security for a bail bond in a judicial proceeding and charges and receives money for his services;&nbsp;</span></p> <p><span class="cls0">10. "Escrow deposit" means cash or valuable security deposited by an insurer of a surety bondsman or professional bondsman to secure the face amount of forfeiture pending appeal;&nbsp;</span></p> <p><span class="cls0">11. "Solicitation" means to ask for earnestly, seek to obtain by persuasion or entreaty, implore, beseech, tempt or entice a person directly or through another person by personal, mechanical, printed or published means to purchase a bail bond. Solicitation shall not include mass communication advertising, which shall include, but not be limited to, television, newspapers, magazines and billboards; and&nbsp;</span></p> <p><span class="cls0">12. "Bond" means an appearance bond for a specified monetary amount which is executed by the defendant and a licensed bondsman pursuant to the provisions of Section 1301 et seq. of this title and which is issued to a court clerk as security for the subsequent court appearance of the defendant upon release from actual custody pending the appearance.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 184, &sect; 1, eff. Jan. 1, 1966; Laws 1984, c. 225, &sect; 1, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 3, eff. Nov. 1, 1987; Laws 1989, c. 348, &sect; 23, eff. Nov. 1, 1989; Laws 1990, c. 195, &sect; 3, emerg. eff. May 10, 1990; Laws 1992, c. 98, &sect; 2, eff. Sept. 1, 1992; Laws 1993, c. 170, &sect; 1, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591302. Power of Commissioner Written instruments as evidence Investigative files confidential.&nbsp;</span></p> <p><span class="cls0">A. The Insurance Commissioner shall have full power and authority to administer the provisions of this act, which regulates bail bondsmen and to that end to adopt, and promulgate rules and regulations to enforce the purposes and provisions of this act. The Commissioner may employ and discharge such employees, examiners, counsel, and such other assistants as shall be deemed necessary, and he shall prescribe their duties and their compensation shall be the same as other state employees receive for similar services.&nbsp;</span></p> <p><span class="cls0">B. Any written instrument purporting to be a copy of any action, proceeding, or finding of fact by the Commissioner, or any record of the seal of his office shall be accepted by all the courts of this state as prima facie evidence of the contents thereof.&nbsp;</span></p> <p><span class="cls0">C. Open and ongoing investigative files shall not be open for review unless so ordered by a proper administrative order of the hearing examiner or Commissioner or by proper judicial order or legislative committee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 225, &sect; 2, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 4, eff. Nov. 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1303. License required - Acts exempt - Individual license - Renewal - Corporations - Attorneys.&nbsp;</span></p> <p><span class="cls0">A. No person shall act in the capacity of a bail bondsman or perform any of the functions, duties or powers prescribed for bail bondsmen under the provisions of Section 1301 et seq. of this title, unless that person shall be qualified and licensed as provided in Section 1301 et seq. of this title or as authorized pursuant to the Bail Enforcement and Licensing Act. Provided, however, none of the provisions or terms of this section shall prohibit any individual or individuals from:&nbsp;</span></p> <p><span class="cls0">1. Pledging real or other property as security for a bail bond for himself, herself or another in judicial proceedings who does not receive, or is not promised, a fee or charge for his or her services provided such person shall not be permitted to make in excess of ten bonds per year; or&nbsp;</span></p> <p><span class="cls0">2. Executing any bail bond for an insurer, pursuant to a bail bond service agreement entered into between such insurer and any automobile club or association, financing institution, insurance company or other organization or association, on behalf of a person required to furnish bail in connection with any violation of law arising out of the use of a motor vehicle.&nbsp;</span></p> <p><span class="cls0">B. No license shall be issued except in compliance with Section 1301 et seq. of this title and none shall be issued except to an individual. License renewals shall be granted subject to all other provisions of Section 1301 et seq. of this title.&nbsp;</span></p> <p><span class="cls0">A corporation as such shall not be licensed. Nothing herein contained shall be construed as repealing Section 11 of Title 5 of the Oklahoma Statutes; and it is further provided that licensed attorneys are prohibited from signing any bonds as surety in any civil or criminal action pending or about to be filed in any court of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 3. Amended by Laws 1982, c. 149, &sect; 2, operative Oct. 1, 1982; Laws 1984, c. 225, &sect; 3, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 5, eff. Nov. 1, 1987; Laws 1991, c. 139, &sect; 1, emerg. eff. April 29, 1991; Laws 2013, c. 407, &sect; 22, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1304. Expiration date.&nbsp;</span></p> <p><span class="cls0">Each bail bondsman license issued shall expire biennially at 12:00 o'clock midnight on the last day of the birth month of the bondsman, unless revoked or suspended prior thereto by the Insurance Commissioner.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 4, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 4, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 6, eff. Nov. 1, 1987; Laws 2011, c. 242, &sect; 11 and Laws 2011, c. 293, &sect; 11, eff. June 20, 2011; Laws 2013, c. 150, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 11 and Laws 2011, c. 293, &sect; 11 made identical changes to this section.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1305. Applications - Contents - Interrogatories and investigation - Fee - Second and subsequent applications.&nbsp;</span></p> <p><span class="cls0">A. The application for license to serve as a bail bondsman shall affirmatively show that the applicant:&nbsp;</span></p> <p><span class="cls0">1. Is a person who has reached the age of twenty-one (21) years;&nbsp;</span></p> <p><span class="cls0">2. Is competent, trustworthy, financially responsible, and is of good personal and business reputation and character;&nbsp;</span></p> <p><span class="cls0">3. Has not been previously convicted of, or pled guilty or nolo contendere to, any felony, or to a misdemeanor involving moral turpitude or dishonesty;&nbsp;</span></p> <p><span class="cls0">4. Is a citizen of the United States;&nbsp;</span></p> <p><span class="cls0">5. Has been a bona fide resident of the state for at least one (1) year;&nbsp;</span></p> <p><span class="cls0">6. Will actively engage in the bail bond business;&nbsp;</span></p> <p><span class="cls0">7. Has knowledge or experience, or has received instruction in the bail bond business; and&nbsp;</span></p> <p><span class="cls0">8. Has a high school diploma or its equivalent; provided, however, the provisions of this paragraph shall apply only to initial applications for license submitted on or after November 1, 1997, and shall not apply to renewal applications for license.&nbsp;</span></p> <p><span class="cls0">B. The applicant shall apply electronically on forms approved by the Insurance Commissioner, and the Commissioner may propound any reasonable interrogatories to an applicant for a license pursuant to Sections 1301 through 1340 of this title, or on any renewal thereof, relating to qualifications, residence, prospective place of business and any other matters which, in the opinion of the Commissioner, are deemed necessary or expedient in order to protect the public and ascertain the qualifications of the applicant. The Commissioner may also conduct any reasonable inquiry or investigation relative to the determination of the fitness of the applicant to be licensed or to continue to be licensed including, but not limited to, requiring a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes. The Commissioner may require any documents reasonably necessary to verify the information in the application.&nbsp;</span></p> <p><span class="cls0">C. An applicant shall furnish to the Commissioner a license fee of Two Hundred Fifty Dollars ($250.00) with the application, a complete set of the fingerprints of the applicant and two recent credential-size full face photographs of the applicant. The fingerprints of the applicant shall be certified by an authorized law enforcement officer. The applicant shall provide with the application an investigative fee of One Hundred Dollars ($100.00) with which the Commissioner will conduct an investigation of the applicant. All fees shall be nonrefundable.&nbsp;</span></p> <p><span class="cls0">D. Failure of the applicant to secure approval of the Commissioner shall not preclude the applicant from reapplying, but a second application shall not be considered by the Commissioner within three (3) months after denial of the last application.&nbsp;</span></p> <p><span class="cls0">E. The fee for a duplicate pocket license shall be Twenty-five Dollars ($25.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 5, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 5, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 7, eff. Nov. 1, 1987; Laws 1992, c. 98, &sect; 3, eff. Sept. 1, 1992; Laws 1995, c. 357, &sect; 1, eff. Nov. 1, 1995; Laws 1997, c. 251, &sect; 1, eff. Nov. 1, 1997; Laws 1997, c. 418, &sect; 120, eff. Nov. 1, 1997; Laws 2003, c. 204, &sect; 5, eff. Nov. 1, 2003; Laws 2010, c. 222, &sect; 55, eff. Nov. 1, 2010; Laws 2011, c. 242, &sect; 12; Laws 2011, c. 293, &sect; 12, eff. June 20, 2011; Laws 2012, c. 82, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 12 and Laws 2011, c. 293, &sect; 12 made identical changes to this section.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1306. Cash bondsman - Professional bondsman.&nbsp;</span></p> <p><span class="cls0">A. 1. An applicant for a cash bondsman license shall meet all requirements set forth in Section 1305 of this title with exception of the one-year residence requirement. An applicant for a cash bondsman license shall affirmatively show that the applicant has been a bona fide resident of the state for six (6) months.&nbsp;</span></p> <p><span class="cls0">2. In addition to the requirements prescribed in Section 1305 of this title, an applicant for a professional bondsman license shall submit to the Insurance Commissioner financial statements prepared by an accounting firm or individual holding a permit to practice public accounting in this state in accordance with generally accepted principles of accounting procedures setting forth the total assets of the bondsman less liabilities and debts as follows: For all applications made prior to November 1, 2006, and the subsequent renewals of a license issued upon the application when continuously maintained in effect as required by law, the statement shall show a net worth of at least Fifty Thousand Dollars ($50,000.00). For all applications made on and after November 1, 2006, and the subsequent renewals of a license issued upon the application when continuously maintained in effect as required by law, or for the renewal or reinstatement of any license that is expired pursuant to subsection D of Section 1309 of this title, suspended or revoked, the statement shall show a net worth of at least One Hundred Fifty Thousand Dollars ($150,000.00), the statements to be current as of a date not earlier than ninety (90) days prior to submission of the application and the statement shall be attested to by an unqualified opinion of the accountant.&nbsp;</span></p> <p><span class="cls0">3. Professional bondsman applicants shall make a deposit with the Insurance Commissioner in the same manner as required of domestic insurance companies of an amount to be determined by the Commissioner. For all applications made prior to November 1, 2006, and the subsequent renewals of a license issued upon the application when continuously maintained in effect as required by law, the deposit shall not be less than Twenty Thousand Dollars ($20,000.00). For all applications made on and after November 1, 2006, and the subsequent renewals of a license issued upon the application when continuously maintained in effect as required by law, or for the renewal or reinstatement of any license that is expired pursuant to subsection D of Section 1309 of this title, suspended or revoked, the deposit shall not be less than Fifty Thousand Dollars ($50,000.00). The deposits shall be subject to all laws, rules and regulations as deposits by domestic insurance companies but in no instance shall a professional bondsman write bonds which equal more than ten times the amount of the deposit which the bondsman has submitted to the Commissioner. Such deposit shall require the review and approval of the Insurance Commissioner prior to exceeding the maximum amount of Federal Deposit Insurance Corporation basic deposit coverage for any one bank or financial institution. In addition, a professional bondsman may make the deposit by purchasing an annuity through a licensed domestic insurance company in the State of Oklahoma. The annuity shall be in the name of the bondsman as owner with legal assignment to the Insurance Commissioner. The assignment form shall be approved by the Commissioner. If a bondsman exceeds the above limitation, the bondsman shall be notified by the Commissioner that the excess shall be reduced or the deposit increased within ten (10) days of notification, or the license of the bondsman shall be suspended immediately after the ten-day period, pending a hearing on the matter.&nbsp;</span></p> <p><span class="cls0">4. The deposit provided for in this section shall constitute a reserve available to meet sums due on forfeiture of any bonds or recognizance executed by the bondsman.&nbsp;</span></p> <p><span class="cls0">5. Any deposit made by a professional bondsman pursuant to this section shall be released and returned by the Commissioner to the professional bondsman only upon extinguishment of all liability on outstanding bonds. Provided, however, the Commissioner shall have the authority to review specific financial circumstances and history of a professional bondsman, on a case-by-case basis, and may release a portion of the deposit if warranted. The Commissioner may promulgate rules to effectuate the provisions of this paragraph.&nbsp;</span></p> <p><span class="cls0">6. No release of deposits to a professional bondsman shall be made by the Commissioner except upon written application and the written order of the Commissioner. The Commissioner shall have no liability for any such release to a professional bondsman provided the release was made in good faith.&nbsp;</span></p> <p><span class="cls0">B. The deposit provided in this section shall be held in safekeeping by the Insurance Commissioner and shall only be used if a bondsman fails to pay an order and judgment of forfeiture after being properly notified or shall be used if the license of a professional bondsman has been revoked. The deposit shall be held in the name of the Insurance Commissioner and the bondsman. The bondsman shall execute an assignment or pledge of the deposit to the Insurance Commissioner for the payment of unpaid bond forfeitures.&nbsp;</span></p> <p><span class="cls0">C. Currently licensed professional bondsmen may maintain their aggregate liability limits upon presentation of documented proof that they have previously been granted a limitation greater than the requirements of subsection A of this section.&nbsp;</span></p> <p><span class="cls0">D. Notwithstanding any other provision of Sections 1301 through 1340 of this title, the license of a professional bondsman is transferable upon the death or legal or physical incapacitation of the bondsman to the spouse of the bondsman, or to such other transferee as the professional bondsman may designate in writing, and the transferee may elect to act as a professional bondsman for a period of one hundred eighty (180) days if the following conditions are met:&nbsp;</span></p> <p><span class="cls0">1. The transferee shall hold a valid license as a surety bondsman in this state; and&nbsp;</span></p> <p><span class="cls0">2. The asset and deposit requirements set forth in this section continue to be met.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 6, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 6, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 8, eff. Nov. 1, 1987; Laws 1988, c. 177, &sect; 1, emerg. eff. May 26, 1988; Laws 1995, c. 120, &sect; 1, emerg. eff. April 21, 1995; Laws 1997, c. 251, &sect; 2, eff. Nov. 1, 1997; Laws 2000, c. 103, &sect; 1, eff. Nov. 1, 2000; Laws 2002, c. 307, &sect; 35, eff. Nov. 1, 2002; Laws 2006, c. 135, &sect; 1, eff. Nov. 1, 2006; Laws 2009, c. 176, &sect; 57, eff. Nov. 1, 2009; Laws 2010, c. 2, &sect; 30, emerg. eff. March 3, 2010; Laws 2010, c. 222, &sect; 56, eff. Nov. 1, 2010; Laws 2013, c. 150, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2009, c. 196, &sect; 1 repealed by Laws 2010, c. 2, &sect; 31, emerg. eff. March 3, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1308. Examinations - Fees.&nbsp;</span></p> <p><span class="cls0">A. The applicant for bail bondsman shall be required to appear in person and take an examination prepared by the Insurance Commissioner, testing the applicant's ability and qualifications to be a bail bondsman. Applications are valid for six (6) months after submission. If an applicant has not acted upon the application within that period, a new application and fees shall be submitted for the applicant to be considered for licensure.&nbsp;</span></p> <p><span class="cls0">B. Each applicant shall become eligible for examination if the applicant has completed sixteen (16) hours of education as required by Section 1308.1 of this title prior to the examination. Examinations shall be held at times and places as designated by the Commissioner.&nbsp;</span></p> <p><span class="cls0">C. The fee for the examination shall be One Hundred Dollars ($100.00). Results will be provided after the applicant is examined.&nbsp;</span></p> <p><span class="cls0">D. The failure of an applicant to pass an examination shall not preclude the applicant from taking subsequent examinations; provided, however, that at least thirty (30) days shall intervene between examinations; and provided further, after a third or subsequent examination failure, an applicant may not be examined for at least one (1) year after the last examination failure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 8, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 8, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 9, eff. Nov. 1, 1987; Laws 1989, c. 257, &sect; 2, eff. Nov. 1, 1989; Laws 1991, c. 139, &sect; 2, emerg. eff. April 29, 1991; Laws 1992, c. 98, &sect; 4, eff. Sept. 1, 1992; Laws 1995, c. 357, &sect; 2, eff. Nov. 1, 1995; Laws 2011, c. 242, &sect; 13 and Laws 2011, c. 293, &sect; 13, eff. June 20, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 13 and Laws 2011, c. 293, &sect; 13 made identical changes to this section.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1308.1. Examination - Educational requirements - Fee - Penalties.&nbsp;</span></p> <p><span class="cls0">A. In order to be eligible to take the examination required to be licensed as a bail bondsman, each person shall complete not less than sixteen (16) clock hours of education in subjects pertinent to the duties and responsibilities of a bail bondsman, including all laws and regulations related thereto. Further, each licensee shall complete biennially not less than sixteen (16) clock hours of continuing education in said subjects prior to renewal of the license. Such continuing education shall not include a written or oral examination.&nbsp;</span></p> <p><span class="cls0">Provided, any person licensed as a bail bondsman prior to November 1, 1989, shall not be required to complete sixteen (16) clock hours of education prior to licensure but shall be subject to the sixteen-hour continuing education requirement in order to renew said license, except that a licensed bail bondsman who is sixty-five (65) years of age or older and who has been licensed as a bail bondsman for fifteen (15) years or more shall be exempt from both the education and continuing education requirements of this section.&nbsp;</span></p> <p><span class="cls0">B. The Oklahoma Bondsman Association shall provide education for bail bondsman licensure as required by this section; provided that the Insurance Commissioner shall approve the courses offered and provided further such education meets the general standards for education otherwise established by the Insurance Commissioner.&nbsp;</span></p> <p><span class="cls0">C. The Oklahoma Bondsman Association shall submit biennially a fee of Two Hundred Dollars ($200.00), payable to the Insurance Commissioner which shall be deposited with the State Treasurer for the purposes of fulfilling and accomplishing the conditions and purposes of this section.&nbsp;</span></p> <p><span class="cls0">D. Any person who falsely represents to the Insurance Commissioner that compliance with this section has been met shall be subject, after notice and hearing, to the penalties and fines set out in Section 1310 of this title.&nbsp;</span></p> <p><span class="cls0">E. The Commissioner shall adopt and promulgate such rules as are necessary for effective administration of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 257, &sect; 1, eff. Nov. 1, 1989. Amended by Laws 1994, c. 331, &sect; 2, eff. Sept. 1, 1994; Laws 1998, c. 394, &sect; 1, eff. July 1, 1998; Laws 2011, c. 242, &sect; 14 and Laws 2011, c. 293, &sect; 14, eff. June 20, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 14 and Laws 2011, c. 293, &sect; 14 made identical changes to this section.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1309. Renewal licenses.&nbsp;</span></p> <p><span class="cls0">A. A renewal license shall be issued by the Insurance Commissioner to a licensee who has continuously maintained same in effect, without further examination, upon payment of a renewal fee of Two Hundred Dollars ($200.00) for a bail bondsman and proof of completion of sixteen (16) hours of continuing education as required by Section 1308.1 of this title. The renewal fee for licenses expiring September 15, 2012, shall be prorated to the birth month of the bondsman. Thereafter the renewal fee shall be submitted biennially by the last day of the birth month of the bondsman. Such licensee shall in all other respects be required to comply with and be subject to the provisions of Section 1301 et seq. of this title.&nbsp;</span></p> <p><span class="cls0">B. An individual holding a professional bondsman license shall also provide an annual financial statement prepared by an accounting firm or individual holding a permit to practice public accounting in this state in accordance with generally accepted principles of accounting procedures showing assets, liabilities, and net worth, the annual statement to be as of a date not earlier than ninety (90) days prior to September 30. The statements shall be attested to by an unqualified opinion of the accounting firm or individual holding a permit to practice public accounting in this state that prepared the statement or statements. The statement shall be submitted annually by the last day of September.&nbsp;</span></p> <p><span class="cls0">C. An individual holding a property bondsman license shall also provide an annual county assessor's written statement stating the property's assessed value for each property used to post bonds and a written statement from any lien holder stating the current payoff amount on each lien for each property used to post bonds. The written statements shall be submitted annually by the last day of September.&nbsp;</span></p> <p><span class="cls0">D. If the license is not renewed or the renewal fee is not paid by the last day of the birth month of the bondsman, the license shall expire automatically pursuant to Section 1304 of this title. After expiration, the license may be reinstated for up to one (1) year following the expiration date. If after the one-year date the license has not been reinstated, the licensee shall be required to apply for a license as a new applicant.&nbsp;</span></p> <p><span class="cls0">E. Reinstatement fees shall be double the original fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 9, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 9, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 10, eff. Nov. 1, 1987; Laws 1989, c. 257, &sect; 3, eff. Nov. 1, 1989; Laws 1992, c. 98, &sect; 5, eff. Sept. 1, 1992; Laws 1994, c. 331, &sect; 3, eff. Sept. 1, 1994; Laws 1995, c. 1, &sect; 20, emerg. eff. March 2, 1995; Laws 2011, c. 242, &sect; 16 and Laws 2011, c. 293, &sect; 16, eff. June 20, 2011; Laws 2012, c. 82, &sect; 2, eff. Nov. 1, 2012; Laws 2013, c. 150, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 16 and Laws 2011, c. 293, &sect; 16 made identical changes to this section.&nbsp;</span></p> <p><span class="cls0">NOTE: Laws 1994, c. 186, &sect; 1 repealed by Laws 1995, c. 1, &sect; 40, emerg. eff. March 2, 1995.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1310. Denial, censure, suspension, revocation or refusal to renew license - Grounds.&nbsp;</span></p> <p><span class="cls0">A. The Insurance Commissioner may deny, censure, suspend, revoke, or refuse to renew any license issued under Sections 1301 through 1340 of this title for any of the following causes:&nbsp;</span></p> <p><span class="cls0">1. For any cause for which issuance of the license could have been refused;&nbsp;</span></p> <p><span class="cls0">2. Violation of any laws of this state or any lawful rule, regulation, or order of the Commissioner relating to bail;&nbsp;</span></p> <p><span class="cls0">3. Material misstatement, misrepresentation, or fraud in obtaining the license;&nbsp;</span></p> <p><span class="cls0">4. Misappropriation, conversion, or unlawful withholding of monies or property belonging to insurers, insureds, or others received in the conduct of business under the license;&nbsp;</span></p> <p><span class="cls0">5. Conviction of, or having entered a plea of guilty or nolo contendere to, any felony or to a misdemeanor involving moral turpitude or dishonesty;&nbsp;</span></p> <p><span class="cls0">6. Fraudulent or dishonest practices or demonstrating financial irresponsibility in conducting business under the license;&nbsp;</span></p> <p><span class="cls0">7. Failure to comply with, or violation of any proper order, rule, or regulation of the Commissioner;&nbsp;</span></p> <p><span class="cls0">8. Recommending any particular attorney-at-law to handle a case in which the bail bondsman has caused a bond to be issued under the terms of Sections 1301 through 1340 of this title;&nbsp;</span></p> <p><span class="cls0">9. When, in the judgment of the Commissioner, the licensee has, in the conduct of affairs under the license, demonstrated incompetency, or untrustworthiness, or conduct or practices rendering the licensee unfit to carry on the bail bond business or making continuance in the business detrimental to the public interest;&nbsp;</span></p> <p><span class="cls0">10. When the licensee is no longer in good faith carrying on the bail bond business;&nbsp;</span></p> <p><span class="cls0">11. When the licensee is guilty of rebating, or offering to rebate, or dividing with someone other than a licensed bail bondsman, or offering to divide commissions in the case of limited surety agents, or premiums in the case of professional bondsmen, and for this conduct is found by the Commissioner to be a source of detriment, injury, or loss to the public;&nbsp;</span></p> <p><span class="cls0">12. For any materially untrue statement in the license application;&nbsp;</span></p> <p><span class="cls0">13. Misrepresentation of the terms of any actual or proposed bond;&nbsp;</span></p> <p><span class="cls0">14. For forging the name of another to a bond or application for bond;&nbsp;</span></p> <p><span class="cls0">15. Cheating on an examination for licensure;&nbsp;</span></p> <p><span class="cls0">16. Soliciting business in or about any place where prisoners are confined, arraigned, or in custody;&nbsp;</span></p> <p><span class="cls0">17. For paying a fee or rebate, or giving or promising anything of value to a jailer, trustee, police officer, law enforcement officer, or other officer of the law, or any other person who has power to arrest or hold in custody, or to any public official or public employee in order to secure a settlement, compromise, remission, or reduction of the amount of any bail bond or estreatment thereof, or to secure delay or other advantage. This shall not apply to a jailer, police officer, or officer of the law who is not on duty and who assists in the apprehension of a defendant;&nbsp;</span></p> <p><span class="cls0">18. For paying a fee or rebating or giving anything of value to an attorney in bail bond matters, except in defense of an action on a bond;&nbsp;</span></p> <p><span class="cls0">19. For paying a fee or rebating or giving or promising anything of value to the principal or anyone in the behalf of the principal;&nbsp;</span></p> <p><span class="cls0">20. Participating in the capacity of an attorney at a trial or hearing for one on whose bond the licensee is surety;&nbsp;</span></p> <p><span class="cls0">21. Accepting anything of value from a principal, other than the premium; provided, the bondsman shall be permitted to accept collateral security or other indemnity from the principal which shall be returned immediately upon final termination of liability on the bond and upon satisfaction of all terms, conditions, and obligations contained within the indemnity agreement. Collateral security or other indemnity required by the bondsman shall be reasonable in relation to the amount of the bond;&nbsp;</span></p> <p><span class="cls0">22. Willful failure to return collateral security to the principal when the principal is entitled thereto;&nbsp;</span></p> <p><span class="cls0">23. For failing to notify the Commissioner of a change of legal name, mailing address, e-mail address, or telephone number within five (5) days after a change is made, or failing to respond to a properly mailed notification within a reasonable amount of time;&nbsp;</span></p> <p><span class="cls0">24. For failing to file a report as required by Section 1314 of this title;&nbsp;</span></p> <p><span class="cls0">25. For filing a materially untrue monthly report;&nbsp;</span></p> <p><span class="cls0">26. For filing false affidavits regarding cancellation of the appointment of an insurer;&nbsp;</span></p> <p><span class="cls0">27. Forcing the Commissioner to withdraw deposited monies to pay forfeitures or any other outstanding judgments;&nbsp;</span></p> <p><span class="cls0">28. For failing to pay any fees to a district court clerk as are required by this title or failing to pay any fees to a municipal court clerk as are required by this title or by Section 28-127 of Title 11 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">29. For uttering an insufficient check or electronic funds transfer to the Insurance Commissioner for any fees, fines or other payments received by the Commissioner from the bail bondsman;&nbsp;</span></p> <p><span class="cls0">30. For failing to pay travel expenses for the return of the defendant to custody once having guaranteed the expenses pursuant to the provisions of subparagraph d of paragraph 3 of subsection C of Section 1332 of this title;&nbsp;</span></p> <p><span class="cls0">31. The Commissioner may also refuse to renew a licensed bondsman for failing to file all outstanding monthly bail reports, pay any outstanding fines, pay any outstanding monthly report reviewal fees owed to the Commissioner, or respond to a current order issued by the Commissioner; and&nbsp;</span></p> <p><span class="cls0">32. For failing to accept or claim a certified mailing from the Insurance Department, addressed to the bondsman&rsquo;s mailing address on file with the Insurance Department.&nbsp;</span></p> <p><span class="cls0">B. In addition to any applicable denial, censure, suspension, or revocation of a license, any person violating any provision of Sections 1301 through 1340 of this title may be subject to a civil penalty of not less than Two Hundred Fifty Dollars ($250.00) nor more than Two Thousand Five Hundred Dollars ($2,500.00) for each occurrence. This fine may be enforced in the same manner in which civil judgments may be enforced. Any order for civil penalties entered by the Commissioner or authorized decision maker for the Insurance Department which has become final may be filed with the court clerk of Oklahoma County and shall then be enforced by the judges of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">C. No bail bondsman or bail bond agency shall advertise as or hold itself out to be a surety company.&nbsp;</span></p> <p><span class="cls0">D. If any bail bondsman is convicted by any court of a violation of any of the provisions of this act, the license of the individual shall therefore be deemed to be immediately revoked, without any further procedure relative thereto by the Commissioner.&nbsp;</span></p> <p><span class="cls0">E. For one (1) year after notification by the Commissioner of an alleged violation, or for two (2) years after the last day the person was licensed, whichever is the lesser period of time, the Commissioner shall retain jurisdiction as to any person who cancels his bail bondsman&rsquo;s license or allows the license to lapse, or otherwise ceases to be licensed, if the person while licensed as a bondsman allegedly violated any provision of this title. Notice and opportunity for hearing shall be conducted in the same manner as if the person still maintained a bondsman&rsquo;s license. If the Commissioner or a hearing examiner determines that a violation of the provisions of Sections 1301 through 1340 of this title occurred, any order issued pursuant to the determination shall become a permanent record in the file of the person and may be used if the person should request licensure or reinstatement.&nbsp;</span></p> <p><span class="cls0">F. Any law enforcement agency, district attorney&rsquo;s office, court clerk&rsquo;s office, or insurer that is aware that a licensed bail bondsman has been convicted of or has pleaded guilty or nolo contendere to any crime, shall notify the Insurance Commissioner of that fact.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 10, eff. Jan. 1, 1966. Amended by Laws 1973, c. 183, &sect; 1, emerg. eff. May 16, 1973; Laws 1984, c. 225, &sect; 10, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 11, eff. Nov. 1, 1987; Laws 1989, c. 257, &sect; 4, eff. Nov. 1, 1989; Laws 1990, c. 195, &sect; 4, emerg. eff. May 10, 1990; Laws 1995, c. 357, &sect; 3, eff. Nov. 1, 1995; Laws 1997, c. 251, &sect; 3, eff. Nov. 1, 1997; Laws 1997, c. 418, &sect; 121, eff. Nov. 1, 1997; Laws 2010, c. 222, &sect; 57, eff. Nov. 1, 2010; Laws 2013, c. 150, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591311. Violation of laws or rules and regulations relating to bond Notice Temporary suspension of license.&nbsp;</span></p> <p><span class="cls0">If, after investigation, it shall appear to the satisfaction of the Insurance Commissioner that a bail bondsman or insurer has been guilty of violating any of the laws or rules or regulations of this state relating to bail bonds, the Commissioner shall provide notice in writing to the bail bondsman or to the insurer. Notice to the bail bondsman or insurer shall be by mail with return receipt requested at the lastknown address of the bail bondsman or insurer, in a manner and pursuant to the procedures set forth in Article II of the Administrative Procedures Act, Section 308a et seq. of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">If the Commissioner determines that the conduct is such that it may be a detriment to the public, he may suspend the license of such bail bondsman or insurer pending hearing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 11, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 11, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 12, eff. Nov. 1, 1987; Laws 1994, c. 186, &sect; 2, eff. Sept. 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591311.1. Hearings Record.&nbsp;</span></p> <p><span class="cls0">A. Hearings shall be held in the Insurance Commissioner's offices or at such other place as the Commissioner may deem convenient.&nbsp;</span></p> <p><span class="cls0">B. The Commissioner shall appoint an independent hearing examiner to preside at the hearing to sit in the capacity of a quasijudicial officer.&nbsp;</span></p> <p><span class="cls0">C. All hearings will be public and held in accordance with, and governed by, Article II of the Administrative Procedures Act, Section 308a et seq. of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">D. If at a hearing the person presiding determines that a license which was suspended prior to the hearing pursuant to Section 1311 of this title shall be revoked or suspended, the period of revocation or suspension shall be deemed to have begun on the date the license was suspended pending the hearing.&nbsp;</span></p> <p><span class="cls0">E. The Commissioner, upon written request reasonably made by the licensed bail bondsman affected by the hearing, and at such bail bondsman's expense, shall cause a full stenographic record of the proceedings to be made by a competent court reporter.&nbsp;</span></p> <p><span class="cls0">F. The ordinary fees and costs of such hearing examiner may be assessed by the hearing examiner against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1984, c. 225, &sect; 12, emerg. eff. May 23, 1984. Amended by Laws 1987, c. 211, &sect; 13, eff. Nov. 1, 1987; Laws 1989, c. 257, &sect; 5, eff. Nov. 1, 1989; Laws 1994, c. 186, &sect; 3, eff. Sept. 1, 1994; Laws 2001, c. 363, &sect; 29, eff. July 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591311.2. Denial, suspension, revocation or refusal to renew license Effect.&nbsp;</span></p> <p><span class="cls0">A. No individual operating under any license which has been revoked by the Insurance Commissioner shall have the right to apply for another license under this act within one (1) year from the effective date of such revocation, or, if judicial review of such revocation is sought, within one (1) year from the date of final court order or decree affirming the revocation. However, the Commissioner may authorize the application for another license under this act by such an individual prior to the end of the oneyear period if the Commissioner finds that the individual meets the licensing requirements then in effect and if the Commissioner finds the circumstances for which the license was revoked no longer exists. The Commissioner shall not, however, grant a new license to any individual if he finds that the circumstances for which the previous license was revoked still exist or are likely to recur.&nbsp;</span></p> <p><span class="cls0">B. If a license as bail bondsman as to the same individual has been revoked at two separate times, the Commissioner may not thereafter grant or issue any license under this act as to such individual unless such individual can meet the licensing qualifications then in effect and if the Commissioner finds the circumstances for which the license was revoked no longer exists.&nbsp;</span></p> <p><span class="cls0">C. During the period of suspension, or after revocation of the license and prior to being issued a new license, the former licensee shall not engage in or attempt to profess to engage in any transaction or business for which a license is required under this act.&nbsp;</span></p> <p><span class="cls0">D. Upon suspension, revocation or refusal to renew or continue the license of a bail bondsman, the Commissioner may at the same time likewise suspend or revoke all other insurance agent licenses held by the licensee under the insurance laws of this state, if the Commissioner determines that such suspension or revocation is in the best interest of the public.&nbsp;</span></p> <p><span class="cls0">E. In case of the suspension or revocation of license of any bail bondsman, the license of any and all bail bondsmen who are members of a bail bond agency, whether incorporated or unincorporated, and who knowingly are parties to the act which formed the ground for the suspension or revocation may likewise be suspended or revoked for the same period as that of the offending bail bondsman; but this shall not prevent any bail bondsman, except the one whose license was first suspended or revoked or the bondsman member of the agency who was a knowing participant, from being licensed as a member of some other bail bond agency.&nbsp;</span></p> <p><span class="cls0">F. Though issued to a licensee, all certificates of licenses issued under this act are at all times the property of this state, and upon notice of any suspension, revocation, refusal to renew, expiration or other termination of the license, the licensee or other person having either the original or copy of the license shall promptly deliver the certificate of license or copy thereof to the Commissioner for cancellation.&nbsp;</span></p> <p><span class="cls0">G. As to any certificate of license lost, stolen or destroyed while in the possession of any such licensee or person, the Commissioner may accept in lieu of return of the certificate, the affidavit of the licensee or other person responsible for or involved in the safekeeping of such certificate, concerning the facts of such loss, theft or destruction. Willful falsification of any such affidavit shall, upon conviction, be subject to punishment as for perjury.&nbsp;</span></p> <p><span class="cls0">H. This section shall not be deemed to require the delivery to the Commissioner of any certificate of license which, as shown by specific date of expiration on the face of the license, has already expired, unless such delivery has been requested by the Commissioner.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 225, &sect; 13, emerg. eff. May 23, 1984. Amended by Laws 1987, c. 211, &sect; 14, eff. Nov. 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1311.3. Unlawful acts.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person whose license to act as a bail bondsman has been suspended, revoked, surrendered, or refused, to do or perform any of the acts of a bail bondsman. Any person convicted of violating the provisions of this subsection shall be guilty of a felony and shall be punished by a fine in an amount not exceeding Five Thousand Dollars ($5,000.00).&nbsp;</span></p> <p><span class="cls0">B. It shall be unlawful for any bail bondsman to assist, aid, or conspire with a person whose license as a bail bondsman has been suspended, revoked, surrendered, or refused, to engage in any acts as a bail bondsman. Any person convicted of violating the provisions of this subsection shall be guilty of a felony and shall be punished by a fine in an amount not to exceed Five Thousand Dollars ($5,000.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 2011, c. 242, &sect; 15 and Laws 2011, c. 293, &sect; 15, eff. June 20, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 15 and Laws 2011, c. 293, &sect; 15 created identical new sections under the same number.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591312. Appeals.&nbsp;</span></p> <p><span class="cls0">Any applicant for license as a bail bondsman whose application has been denied or whose license shall have been censured, suspended or revoked, or renewal thereof denied or a fine levied, shall have the right of appeal from such final order of the Commissioner thereon by filing a petition in the district court of Oklahoma County. Such judicial review shall be as prescribed by Sections 318 through 323 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 184, &sect; 12, eff. Jan. 1, 1966; Laws 1984, c. 225, &sect; 14, emerg. eff. May 23, 1984; Laws 1992, c. 98, &sect; 6, eff. Sept. 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1314. Written receipt for collateral - Description of collateral - Fiduciary duties - Monthly reports - Records - Reviewal fee.&nbsp;</span></p> <p><span class="cls0">A. When a bail bondsman or managing general agent accepts collateral, the bail bondsman or managing general agent shall give a written receipt for same, and this receipt shall give in detail a full description of the collateral received. A description of the collateral shall be listed on the undertaking by affidavit. All property taken as collateral, whether personal, intangible or real, shall be receipted for and deemed, for all purposes, to be in the name of, and for the use and benefit of, the surety company or licensed professional bondsman, as the case may be. Every receipt, encumbrance, mortgage or other evidence of the custody, possession or claim shall facially indicate that it has been taken or made on behalf of the surety company or professional bondsman through its authorized agent, the individual licensed bondsman or managing general agent who has transacted the undertaking with the bond principal. Any mortgage or other encumbrance against real property taken under the provisions of this section which does not indicate beneficial ownership of the claim to be in favor of the surety company or professional bondsman shall be deemed to constitute a cloud on the title to real estate and shall subject the person filing, or causing same to be filed, in the real estate records of the county, to a penalty of treble damages or One Thousand Dollars ($1,000.00), whichever is greater, in an action brought by the person, organization or corporation injured thereby. For collateral taken, or liens or encumbrances taken or made pursuant to the provisions of this section, the individual bondsman or managing general agent taking possession of the property or making the lien, claim or encumbrance shall do so on behalf of the surety company or professional bondsman, as the case may be, and the individual licensed bondsman shall be deemed to act in the capacity of fiduciary in relation to both:&nbsp;</span></p> <p><span class="cls0">1. The principal or other person from whom the property is taken or claimed against; and&nbsp;</span></p> <p><span class="cls0">2. The surety company or professional bondsman whose agent is the licensed bondsman.&nbsp;</span></p> <p><span class="cls0">As fiduciary and bailee for hire, the individual bondsman shall be liable in criminal or civil actions at law for failure to properly receipt or account for, maintain or safeguard, release or deliver possession upon lawful demand, in addition to any other penalties set forth in this subsection. No person who takes possession of property as collateral pursuant to this section shall use or otherwise dissipate the asset, or do otherwise with the property than to safeguard and maintain its condition pending its return to its lawful owner, or deliver to the surety company or professional bondsman, upon lawful demand pursuant to the terms of the bailment.&nbsp;</span></p> <p><span class="cls0">B. Every licensed bondsman shall file monthly electronically with the Insurance Commissioner and on forms approved by the Commissioner as follows:&nbsp;</span></p> <p><span class="cls0">1. A monthly report showing every bond written, amount of bond, whether released or revoked during each month, showing the court and county, and the style and number of the case, premiums charged and collateral received; and&nbsp;</span></p> <p><span class="cls0">2. Professional bondsmen shall submit electronic monthly reports showing total current liabilities, all bonds written during the month by the professional bondsman and by any licensed bondsman who may countersign for the professional bondsman, all bonds terminated during the month, and the total liability and a list of all bondsmen currently employed by the professional bondsmen.&nbsp;</span></p> <p><span class="cls0">Monthly reports shall be submitted electronically to the Insurance Commissioner by the fifteenth day of each month. The records shall be maintained by the Commissioner as public records.&nbsp;</span></p> <p><span class="cls0">C. Every licensee shall keep at the place of business of the licensee the usual and customary records pertaining to transactions authorized by the license. All of the records shall be available and open to the inspection of the Commissioner at any time during business hours during the three (3) years immediately following the date of the transaction. The Commissioner may require a financial examination or market conduct survey during any investigation of a licensee.&nbsp;</span></p> <p><span class="cls0">D. Each bail bondsman shall submit each month with the monthly report of the bondsman, a reviewal fee equal to two-tenths of one percent (2/10 of 1%) of the new liability written for that month. The fee shall be payable to the Insurance Commissioner who shall deposit same with the State Treasurer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 14, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 15, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 15, eff. Nov. 1, 1987; Laws 1988, c. 177, &sect; 2, emerg. eff. May 26, 1988; Laws 1989, c. 257, &sect; 6, eff. Nov. 1, 1989; Laws 1990, c. 195, &sect; 5, emerg. eff. May 10, 1990; Laws 1993, c. 170, &sect; 2, eff. Sept. 1, 1993; Laws 1998, c. 394, &sect; 2, eff. July 1, 1998; Laws 2009, c. 432, &sect; 25, eff. July 1, 2009; Laws 2010, c. 222, &sect; 58, eff. Nov. 1, 2010; Laws 2011, c. 242, &sect; 17 and Laws 2011, c. 293, &sect; 17, eff. June 20, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2011, c. 242, &sect; 17 and Laws 2011, c. 293, &sect; 17 made identical changes to this section.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1315. Persons or classes prohibited as bondsmen - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. The following persons or classes shall not be bail bondsmen and shall not directly or indirectly receive any benefits from the execution of any bail bond:&nbsp;</span></p> <p><span class="cls0">1. Persons convicted of, or who have pled guilty or nolo contendere to, any felony or to a misdemeanor involving dishonesty or moral turpitude;&nbsp;</span></p> <p><span class="cls0">2. Jailers;&nbsp;</span></p> <p><span class="cls0">3. Police officers;&nbsp;</span></p> <p><span class="cls0">4. Committing judges;&nbsp;</span></p> <p><span class="cls0">5. Municipal or district court judges;&nbsp;</span></p> <p><span class="cls0">6. Prisoners;&nbsp;</span></p> <p><span class="cls0">7. Sheriffs, deputy sheriffs and any person having the power to arrest or having anything to do with the control of federal, state, county or municipal prisoners;&nbsp;</span></p> <p><span class="cls0">8. Any person who possesses a permit pursuant to the provisions of Section 163.11 of Title 37 of the Oklahoma Statutes or is an officer, director or stockholder of any corporation holding such a permit;&nbsp;</span></p> <p><span class="cls0">9. Any person who is an agent or owner of any establishment at which low-point beer as defined by Section 163.2 of Title 37 of the Oklahoma Statutes is sold for on-premises consumption;&nbsp;</span></p> <p><span class="cls0">10. Any person who holds any license provided for in Section 518 of Title 37 of the Oklahoma Statutes or is an agent or officer of any such licensee, except for an individual holding an employee license pursuant to paragraph 20 of subsection A of Section 518 of Title 37 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">11. Any person who holds any license or permit from any city, town, county, or other governmental subdivision for the operation of any private club at which alcoholic beverages are consumed or provided;&nbsp;</span></p> <p><span class="cls0">12. Any person or agent of a retail liquor package store; and&nbsp;</span></p> <p><span class="cls0">13. Any person whose bail bondsman license has been revoked by the Insurance Commissioner.&nbsp;</span></p> <p><span class="cls0">B. This section shall not apply to a sheriff, deputy sheriff, police officer, or officer of the law who is not on duty and who assists in the apprehension of a defendant.&nbsp;</span></p> <p><span class="cls0">C. The provisions of this section shall not apply to persons possessing permits or licenses pertaining to low-point beer or alcoholic beverages, as defined in Sections 163.2 and 506 of Title 37 of the Oklahoma Statutes, which were issued prior to May 23, 1984. No one shall be permitted to maintain an office for conducting bail bonds business where low-point beer or alcoholic beverages are sold for on-premises consumption.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 15, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 16, emerg. eff. May 23, 1984; Laws 1985, c. 114, &sect; 1, emerg. eff. May 31, 1985; Laws 1987, c. 211, &sect; 16, eff. Nov. 1, 1987; Laws 1995, c. 274, &sect; 49, eff. Nov. 1, 1995; Laws 1997, c. 418, &sect; 122, eff. Nov. 1, 1997; Laws 1998, c. 5, &sect; 18, emerg. eff. March 4, 1998; Laws 2010, c. 222, &sect; 59, eff. Nov. 1, 2010; Laws 2012, c. 82, &sect; 3, eff. Nov. 1, 2012; Laws 2013, c. 150, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1997, c. 251, &sect; 4 repealed by Laws 1998, c. 5, &sect; 29, emerg. eff. March 4, 1998.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1316. Signing of bonds - Submission of agreements for approval - Suspension of bail agents - Receipt - Power of attorney.&nbsp;</span></p> <p><span class="cls0">A. 1. A bail bondsman shall neither sign nor countersign in blank any bond, nor shall the bondsman give a power of attorney to, or otherwise authorize, anyone to countersign the name of the bail bondsman to bonds unless the person so authorized is a licensed surety bondsman or managing general agent appointed by a licensed professional bondsman giving the power of attorney. The professional bondsman shall submit to the Insurance Commissioner the agreement between the professional bondsman and the appointed bondsman. The agreement shall be submitted to the Commissioner prior to the appointed bondsman writing bonds on behalf of the professional. The professional bondsman shall notify the Commissioner whenever any appointment is canceled. If the bondsman surrenders the professional qualification, or the professional qualification is suspended or revoked, or if an insurer authorized to write bail bond business surrenders their bail surety line of authority, or this line of authority is suspended or revoked, then the Commissioner shall suspend the appointment of all of the bail agents of the professional bondsman or insurer. The Commissioner shall immediately notify any bail agent whose license is affected and the court clerk of the agent's resident county upon the suspension or revocation of the qualification of the professional bondsman. If the professional qualification or the bail surety line of authority is reinstated within twenty-four (24) hours, the Commissioner shall not be required to suspend the bail agent appointments. If the Commissioner reinstates the professional qualification within twenty-four (24) hours, the Commissioner shall also reinstate the appointment of the bail agents of the professional bondsman or bail insurer. If more than twenty-four (24) hours elapse following the suspension or revocation, then the professional bondsman or insurer shall submit new agent appointments to the Commissioner.&nbsp;</span></p> <p><span class="cls0">2. Bail bondsmen shall not allow other licensed bondsmen to present bonds that have previously been signed and completed. The bail bondsman that presents the bond shall sign the form in the presence of the official that receives the bond.&nbsp;</span></p> <p><span class="cls0">B. Premium charged shall be indicated on the appearance bond prior to the filing of the bond.&nbsp;</span></p> <p><span class="cls0">C. At the time of payment, a bail bondsman shall provide the indemnitors with a proper receipt which shall include fees, premium or other payments and copies of any agreements executed relating to the appearance bond.&nbsp;</span></p> <p><span class="cls0">D. All surety bondsmen or managing general agents shall attach a completed power of attorney to the appearance bond that is filed with the court clerk on each bond written.&nbsp;</span></p> <p><span class="cls0">E. Any bond written in this state shall contain the name and last-known mailing address of the bondsman and, if applicable, of the insurer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 16, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 17, emerg. eff. May 23, 1984; Laws 1989, c. 257, &sect; 7, eff. Nov. 1, 1989; Laws 1990, c. 195, &sect; 6, emerg. eff. May 10, 1990; Laws 1993, c. 170, &sect; 3, eff. Sept. 1, 1993; Laws 2004, c. 550, &sect; 1, eff. July 1, 2004; Laws 2005, c. 386, &sect; 4, eff. Nov. 1, 2005; Laws 2008, c. 184, &sect; 29, eff. July 1, 2008; Laws 2009, c. 176, &sect; 58, eff. Nov. 1, 2009; Laws 2010, c. 222, &sect; 60, eff. Nov. 1, 2010; Laws 2013, c. 150, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1317. Sureties to give notice of appointment of bondsmen or managing general agent - Filing fee - Termination of appointment - Affidavit - Authority of bondsmen.&nbsp;</span></p> <p><span class="cls0">A. Every surety or professional bondsman who appoints a surety bondsman or managing general agent in the state, shall give notice thereof to the Insurance Commissioner. The filing fee for appointment of each surety bondsman or managing general agent shall be Ten Dollars ($10.00), payable to the Commissioner and shall be submitted with the appointment. The appointment shall remain in effect until the surety or professional bondsman submits a notice of cancellation to the Commissioner, the license of the bail bondsman expires, or the Commissioner cancels the appointment. The Commissioner may cancel a bail surety appointment if the license of the bondsman is suspended, revoked or nonrenewed. If the surety changes the liability limitations of the surety bondsman or the managing general agent, or any other provisions of the appointment, the surety shall submit an amended appointment form and a filing fee of Ten Dollars ($10.00) payable to the Commissioner.&nbsp;</span></p> <p><span class="cls0">B. A surety terminating the appointment of a surety bondsman or managing general agent immediately shall file written notice thereof with the Commissioner, together with a statement that it has given or mailed notice to the surety bondsman or managing general agent. The notice filed with the Commissioner shall state the reasons, if any, for the termination.&nbsp;</span></p> <p><span class="cls0">C. Prior to issuance of a new surety appointment for a surety bondsman or managing general agent, the bondsman or agent shall file an affidavit with the Commissioner stating that no forfeitures are owed to any court, no fines are owed to the insurance department, and no premiums or indemnification for forfeitures or fines are owed to any insurer, insureds, or others received in the conduct of business under the license. If any statement made on the affidavit is found by the Commissioner to be false, the Commissioner may deny the new surety appointment or apply the sanctions set forth in Section 1310 of this title. This provision shall not require that all outstanding liabilities have been exonerated, but may provide that the liabilities are still being monitored by the bondsman or agent.&nbsp;</span></p> <p><span class="cls0">D. Every bail bondsman who negotiates and posts a bond shall, in any controversy between the defendant, indemnitor, or guarantor and the bail bondsman or surety, be regarded as representing the surety. This provision shall not affect the apparent authority of a bail bondsman as an agent for the insurer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 17, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 18, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 17, eff. Nov. 1, 1987; Laws 1989, c. 257, &sect; 8, eff. Nov. 1, 1989; Laws 1990, c. 195, &sect; 7, emerg. eff. May 10, 1990; Laws 1995, c. 357, &sect; 4, eff. Nov. 1, 1995; Laws 2004, c. 167, &sect; 1, eff. Nov. 1, 2004; Laws 2008, c. 184, &sect; 30, eff. July 1, 2008; Laws 2010, c. 222, &sect; 61, eff. Nov. 1, 2010; Laws 2013, c. 150, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591318. Discontinuance of writing bail bonds.&nbsp;</span></p> <p><span class="cls0">A. Any bail bondsman who discontinues writing bail bonds during the period for which he is licensed shall notify the clerks of the district courts and the sheriffs with whom he is registered and return his license to the Commissioner for cancellation within thirty (30) days from such discontinuance. Prior to the discontinuance of licensure, the bail bondsman shall make and submit to the Commissioner a list of all outstanding bonds and obtain a release for each bond that he has written from the court clerk or sheriff of each county in which a bond is written or an affidavit from another bondsman stating that such bonds have been transferred to his care.&nbsp;</span></p> <p><span class="cls0">B. Any person convicted of violating this section shall be guilty of a misdemeanor and upon conviction thereof, be punished by a fine of not less than One Hundred Dollars ($100.00) nor more than One Thousand Dollars ($1,000.00), or by imprisonment for not less than six (6) months nor more than one (1) year, or by both such fine and imprisonment.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 225, &sect; 19, emerg. eff. May 23, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59-1320. Registration of license and fee - Proof of residency - List of bondsmen - County not having licensed bondsman - Filing of appointment - Number of bonds which may be written.&nbsp;</span></p> <p><span class="cls0">A. No bail bondsman shall become a surety on an undertaking unless he has first registered his license in the office of the sheriff and with the clerk of the district court in the county in which the bondsman resides or offices, but not both. In the county in which a bondsman registers his license, he shall provide the court clerk with proof that he is a resident of said county or that he offices in said county. The court clerk of the county shall provide a list of bondsmen permitted to write bail in that county to the judges and law enforcement offices of that county. The list shall consist of professional, property, cash and surety bail bondsmen. Only surety bail bondsmen with a current surety appointment shall be on the list. In any county not having a licensed bondsman authorized to do business within said county, the court having jurisdiction shall allow and fix bail.&nbsp;</span></p> <p><span class="cls0">A surety bondsman shall also file a certified copy of his appointment by power of attorney from the insurer which he represents as agent with each of said officers. A fee of Twenty Dollars ($20.00) shall be paid to the district court clerk for each county in which the bail bondsman registers his license. The fee shall be payable biennially by the date of license renewal. The clerk of the district court and the sheriff shall not permit the registration of a bail bondsman unless such bondsman is currently licensed by the Insurance Commissioner under the provisions of Section 1301 et seq. of this title.&nbsp;</span></p> <p><span class="cls0">B. Notwithstanding the foregoing provisions of this section, a bondsman may write bonds on no more than ten defendants per year in each of the remaining seventy-six counties of this state in which the bondsman cannot register his license. Provided, however, a bondsman shall not be limited to writing bonds on only ten defendants per year in a county which does not have a licensed bondsman registered in said county. The bondsman shall advise the court clerk of each such county in writing of his intention to write bonds in the county and shall file a certified copy of his license with and pay a fee of Ten Dollars ($10.00) to each such court clerk.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 20, eff. Jan. 1, 1966. Amended by Laws 1984, c. 225, &sect; 21, emerg. eff. May 23, 1984; Laws 1987, c. 211, &sect; 18, eff. Nov. 1, 1987; Laws 1989, c. 257, &sect; 9, eff. Nov. 1, 1989; Laws 1992, c. 98, &sect; 7, eff. Sept. 1, 1992; Laws 2013, c. 150, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591321. Qualifications of sureties.&nbsp;</span></p> <p><span class="cls0">Each and every surety for the release of a person on bail shall be qualified as:&nbsp;</span></p> <p><span class="cls0">(1) An insurer and represented by a surety bondsman or bondsmen; or&nbsp;</span></p> <p><span class="cls0">(2) A professional bondsman properly qualified and approved by the Insurance Commissioner; or&nbsp;</span></p> <p><span class="cls0">(3) A cash bondsman; or&nbsp;</span></p> <p><span class="cls0">(4) A property bondsman; or&nbsp;</span></p> <p><span class="cls0">(5) A natural person who has reached the age of twentyone (21) years, a citizen of the United States and a bona fide resident of Oklahoma for a period of six (6) months immediately last past and who holds record title to property in Oklahoma, cash or other things of value, acceptable to the proper authority approving the bail bond.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1987, c. 211, &sect; 19, eff. Nov. 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1322. Affidavit as to undertaking.&nbsp;</span></p> <p><span class="cls0">A. Every bondsman shall file with the undertaking an affidavit stating whether or not the bondsman or anyone for the use of the bondsman has been promised or has received any security or consideration for the undertaking, and if so, the nature and description of security and amount thereof, and the name of the person by whom the promise was made or from whom the security or consideration was received. Any willful misstatement in the affidavit relating to the security or consideration promised or given shall render the person making it subject to the same prosecution and penalty as one who commits the felony of perjury.&nbsp;</span></p> <p><span class="cls0">B. An action to enforce any indemnity agreement shall not lie in favor of the surety against the indemnitor, except with respect to agreements set forth in the affidavit. In an action by the indemnitor against the surety to recover any collateral or security given by the indemnitor, the surety shall have the right to retain only the security or collateral as it mentioned in the affidavit required by this section.&nbsp;</span></p> <p><span class="cls0">C. If security or consideration other than that reported on the original affidavit is received after the affidavit is filed with the court clerk, an amended affidavit shall be filed with the court clerk indicating the receipt of security or consideration.&nbsp;</span></p> <p><span class="cls0">D. If a bondsman accepts a mortgage on real property as collateral on a bond, the bondsman shall file a copy of the mortgage with the bond within thirty (30) days of receipt of the mortgage. The Commissioner shall have the authority to extend or waive this requirement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 22, eff. Jan. 1, 1966. Amended by Laws 1993, c. 170, &sect; 4, eff. Sept. 1, 1993; Laws 1997, c. 133, &sect; 510, eff. July 1, 1999; Laws 1999, 1st Ex.Sess., c. 5, &sect; 371, eff. July 1, 1999; Laws 2010, c. 222, &sect; 62, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 510 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591323. Cash bond.&nbsp;</span></p> <p><span class="cls0">When the defendant has been admitted to bail, he, or another in his behalf, may make a cash bond by depositing with an official authorized to take bail, a sum of money, or nonregistered bonds of the United States, or of the state, or of any county, city or town within the state, equal in market value to the amount of such bail, together with his personal undertaking and an undertaking of such other person, if the money or bonds are deposited by another. Upon delivery to the official, in whose custody the defendant is, of a certificate of such deposit, he shall be discharged from custody in the cause.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 184, &sect; 23, eff. Jan. 1, 1966. &nbsp;</span></p> <p><span class="cls0">&sect;591324. Property bond.&nbsp;</span></p> <p><span class="cls0">Where the undertaking is a property bond, whether posted by a bail bondsman, the defendant personally, or by any other person, said bond shall give the legal description of the property, the assessed valuation, the amount of encumbrances, if any, and the status of the legal title, all by affidavit. Any property located within the state wherein the bail is allowed, that is subject to execution shall be accepted for security on a property bond for the market value of the property. Market value is defined to be four times the assessed valuation of the property as recorded on the tax rolls, less any encumbrances thereon; provided, that homesteads may be accepted as security for appearance if the homestead exemption is waived in writing. Such waiver shall be verified and executed by the spouse, if any. The property listed upon any property bond or bonds will be security on said bonds up to the aggregate amounts as follows:&nbsp;</span></p> <p><span class="cls0">(A) In the event of bonds written by a licensed property bondsman; four times the market value of said property.&nbsp;</span></p> <p><span class="cls0">(B) All other property bonds; in the face amount of the market value of said property.&nbsp;</span></p> <p><span class="cls0">The court clerk, upon the approval of a property bond, shall forthwith file a certified copy of said bond in the office of the county clerk in which the property is located, transmitting to the county clerk the filing fee which will be paid by the person executing said bond. The county clerk shall index said bond upon his tract index as a lien against said described property, and such bond shall be a lien upon the real estate described therein until a certificate discharging said bond shall be filed in the office of the county clerk. Said lien shall be superior to any conveyance, encumbrance or lien thereafter pertaining to said property. When said bond shall have been discharged, the clerk of said court shall issue to the surety a certificate of discharge describing the bond and the real property, which shall, upon filing with the county clerk and the payment of the filing fee, be recorded in the tract index. An abstract company preparing an abstract upon such real estate, shall be required to list in said abstract only the undischarged liens and shall not list any discharge liens.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 184, &sect; 24; Laws 1970, c. 191, &sect; 1, emerg. eff. April 13, 1970. &nbsp;</span></p> <p><span class="cls0">&sect;591325. Substitution of bail.&nbsp;</span></p> <p><span class="cls0">Bail may be substituted, without additional premium being charged, by the defendant or bondsman, at any time before a breach of the undertaking, by substituting any other proper and sufficient bond of like value as provided herein. The official taking the new bail shall make an order as follows:&nbsp;</span></p> <p><span class="cls0">1. Where money had been deposited, that the money be refunded to the person depositing the same; and&nbsp;</span></p> <p><span class="cls0">2. Where property had been pledged, that a certificate of discharge be issued and the lien previously filed be released .&nbsp;</span></p> <p><span class="cls0">The original undertakings of whatever nature shall be canceled and the new undertaking shall be substituted therefor.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 184, &sect; 25, eff. Jan. 1, 1966; Laws 1993, c. 170, &sect; 5, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591326. Defects, omissions, irregularities, etc.&nbsp;</span></p> <p><span class="cls0">A. No undertaking shall be invalid, nor shall any person be discharged from his undertaking, nor a forfeiture thereof be stayed nor shall judgment thereon be stayed, set aside or reversed, the collection of any such judgment be barred or defeated by reason of any defect of form, omission or recital or of condition, failure to note or record the default of any principal or surety, or because of any other irregularity, or because the undertaking was entered into on Sunday or other holiday, if it appears from the tenor of the undertaking before what judge or at what court the principal was bound to appear, and that the official before whom it was entered into was legally authorized to take it and the amount of bail is stated.&nbsp;</span></p> <p><span class="cls0">B. If no day is fixed for the appearance of the defendant, or an impossible day or a day in vacation, the undertaking, if for his appearance before a judge for a hearing, shall bind the defendant to appear in ten (10) days from the receipt of notice thereof to the defendant, his counsel, and any surety or bondsman on the undertaking; and if for his appearance in a court for trial, shall bind the defendant so to appear on the first day of the next term of court which shall commence more than three (3) days after the giving of the undertaking.&nbsp;</span></p> <p><span class="cls0">C. The liability of a person on an undertaking shall not be affected by reason of the lack of any qualifications, sufficiency or competency provided in the criminal procedure law, or by reason of any other agreement that is expressed in the undertaking, or because the defendant has not joined in the undertaking.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 225, &sect; 22, emerg. eff. May 23, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59-1327. Surrender of defendant prior to breach - Defendant in custody in another jurisdiction - Recommitment of defendant - Exoneration of bond in original court.&nbsp;</span></p> <p><span class="cls0">A. At any time before there has been a breach of the undertaking in any type of bail provided herein, the surety or bondsman or a licensed bail enforcer pursuant to a client contract authorized by the Bail Enforcement and Licensing Act may surrender the defendant, or the defendant may surrender himself or herself, to the official to whose custody the defendant was committed at the time bail was taken, or to the official into whose custody the defendant would have been given had he or she been committed. The defendant may be surrendered without the return of premium for the bond if he or she has been guilty of nonpayment of premium, changes address without notifying his or her bondsman, conceals himself or herself, leaves the jurisdiction of the court without the permission of his or her bondsman, or violates his or her contract with the bondsman in any way that does harm to the bondsman, or the surety, or violates his or her obligation to the court. When a bondsman or surety, or a licensed bail enforcer, surrenders a defendant pursuant to this subsection, the bondsman or surety shall file written notification of the surrender. After surrender, and upon filing of written notification of the surrender, the bond shall be exonerated and the clerk shall enter a minute in the case exonerating the bond.&nbsp;</span></p> <p><span class="cls0">B. If the defendant has been placed in custody of another jurisdiction, the district attorney shall direct a hold order to the official, judge or law enforcement agency where the defendant is in custody. All reasonable expenses accrued in returning the defendant to the original court shall be borne by the bondsman who posted the bond with that court. Upon application, the bond in the original court shall be exonerated when the hold order is placed and upon proof of payment of expenses by the bondsman.&nbsp;</span></p> <p><span class="cls0">C. If the defendant has been arrested on new charges and is in the custody of the same jurisdiction in which the bondsman or surety has posted an appearance bond or bonds for the defendant, and the bond or bonds have not been exonerated, and certified copies of bonds are not reasonably available, the bondsman or surety may recommit the defendant to be held in custody on the charges for which the bondsman or surety has previously posted appearance bonds thereon, in accordance with the following procedure:&nbsp;</span></p> <p><span class="cls0">1. On a Recommitment of Defendant by Bondsman form approved by the Administrative Office of the Courts, the bondsman or surety shall personally affix his or her signature to an affidavit attesting to the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the defendant is presently in the custody of the jurisdiction in which the bondsman or surety has posted a bond or bonds,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the case number, if any, assigned to each bond,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;that the bond or bonds have not been exonerated, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the specific charges and bond amount or amounts;&nbsp;</span></p> <p><span class="cls0">2. The bondsman or surety shall present the Recommitment of Defendant by Bondsman form to the official in whose custody the defendant is being held, and the official shall detain the defendant in his or her custody, thereon, as upon a commitment, and by a certificate in writing acknowledging the surrender; and&nbsp;</span></p> <p><span class="cls0">3. When a bondsman or surety recommits a defendant pursuant to this subsection, the bondsman or surety shall file a written notification thereof to the court, and after such notification, the bond or bonds shall be exonerated, and the clerk shall enter a minute in the case exonerating the bond or bonds.&nbsp;</span></p> <p><span class="cls0">D. When a defendant does appear before the court as required by law and enters a plea of guilty or nolo contendere, is sentenced or a deferred sentence is granted as provided for in Section 991c of Title 22 of the Oklahoma Statutes, in such event the undertaking and bondsman and insurer shall be exonerated from further liability.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 27, eff. Jan. 1, 1966. Amended by Laws 1991, c. 139, &sect; 3, emerg. eff. April 29, 1991; Laws 1993, c. 170, &sect; 6, eff. Sept. 1, 1993; Laws 1999, c. 386, &sect; 4, eff. Nov. 1, 1999; Laws 2002, c. 390, &sect; 19, emerg. eff. June 4, 2002; Laws 2003, c. 66, &sect; 1, eff. Nov. 1, 2003; Laws 2005, c. 71, &sect; 1, eff. Nov. 1, 2005; Laws 2013, c. 407, &sect; 23, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1328. Procedure for surrender of defendant - Recommitment procedure.&nbsp;</span></p> <p><span class="cls0">The bondsman or surety, or a licensed bail enforcer pursuant to a client contract authorized by the Bail Enforcement and Licensing Act, desiring to make a surrender of the defendant shall procure or have in his or her possession a certified copy of the undertakings and deliver such documents together with the defendant to the official in whose custody the defendant was at the time bail was taken, or to the official into whose custody he or she would have been given had he or she been committed, who shall detain the defendant in custody thereon, as upon a commitment, and by a certificate in writing acknowledge the surrender.&nbsp;</span></p> <p><span class="cls0">Upon the presentation of a certified copy of the undertaking and the certificate of the official, the court before which the defendant has been held to answer, or the court in which the preliminary examination, indictment, information or appeal is pending, shall upon notice of three (3) days given by the person making the surrender to the prosecuting officer of the court having jurisdiction of the offense, together with a copy of the undertakings and certificate, order that the obligors be exonerated from liability on their undertakings; and, if money has been deposited as bail, that such money or bonds be refunded. If property pledged, a certificate of exoneration be issued and the lien previously filed be released and the undertakings of whatever nature be canceled.&nbsp;</span></p> <p><span class="cls0">If certified copies of bonds are not reasonably available, the bondsman or surety may recommit the defendant to be held in custody on the charges for which the bondsman or surety has previously posted appearance bonds thereon in accordance with the following procedure:&nbsp;</span></p> <p><span class="cls0">1. On a Recommitment of Defendant by Bondsman form approved by the Administrative Office of the Courts, the bondsman or surety shall personally affix his or her signature to an affidavit attesting to the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the bondsman or surety has posted a bond or bonds for the defendant and is hereby presented to the official in whose custody the defendant was at the time bail was taken,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the case number, if any, assigned to each bond, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the specific charges and bond amount or amounts;&nbsp;</span></p> <p><span class="cls0">2. The bondsman or surety shall present the Recommitment of Defendant by Bondsman form to the official in whose custody the defendant is being surrendered, and the official shall detain the defendant in his or her custody thereon, as upon a commitment, and by a certificate in writing acknowledging the surrender; and&nbsp;</span></p> <p><span class="cls0">3. When a bondsman or surety recommits a defendant pursuant to this subsection, the bondsman or surety shall file a written notification thereof to the courts, and after such notification, the bond or bonds shall be exonerated and the clerk shall enter a minute in the case exonerating the bond or bonds.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 28, eff. Jan. 1, 1966. Amended by Laws 2005, c. 71, &sect; 2, eff. Nov. 1, 2005; Laws 2013, c. 407, &sect; 24, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1329. Arrest - Commitment.&nbsp;</span></p> <p><span class="cls0">For the purpose of surrendering the defendant:&nbsp;</span></p> <p><span class="cls0">1. The surety may arrest the defendant before the forfeiture of the undertaking;&nbsp;</span></p> <p><span class="cls0">2. The surety, by written authority endorsed on a certified copy of the undertaking, may empower any peace officer to make an arrest of the defendant, first paying the lawful fees therefor; or&nbsp;</span></p> <p><span class="cls0">3. The bondsman or surety, by contract with a licensed bail enforcer pursuant to the Bail Enforcement and Licensing Act which contract has attached a certified copy of the undertaking, may authorize the bail enforcer to recover and surrender the person.&nbsp;</span></p> <p><span class="cls0">In addition, the bondsman may surrender the defendant by following the commitment procedures as set forth in subsection C of Section 1327 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 29, eff. Jan. 1, 1966. Amended by Laws 2005, c. 71, &sect; 3, eff. Nov. 1, 2005; Laws 2013, c. 407, &sect; 25, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591331. Property bond Forfeiture Filing fee Collection of forfeiture.&nbsp;</span></p> <p><span class="cls0">A. If the undertaking is a property bond, the clerk shall record the order and judgment of forfeiture in the proper records of said county. Any filing fees shall be paid by the party filing such property bond.&nbsp;</span></p> <p><span class="cls0">B. Collection of such property bond forfeiture shall be accomplished by the proper court authorities.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 225, &sect; 23, emerg. eff. May 23, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59-1332. Forfeiture procedure.&nbsp;</span></p> <p><span class="cls0">A. If there is a breach of an undertaking, the court before which the cause is pending shall issue an arrest warrant for the defendant and declare the undertaking and any money, property, or securities that have been deposited as bail, forfeited on the day the defendant failed to appear. In the event of the forfeiture of a bail bond the clerk of the trial court shall, within thirty (30) days after the order and judgment of forfeiture is filed in the court, by mail with return receipt requested, mail a true and correct copy of the order and judgment of forfeiture to the bondsman, and if applicable, the insurer, whose risk it is, and keep at least one copy of the order and judgment of forfeiture on file; provided, the clerk shall not be required to mail the order and judgment of forfeiture to the bondsman or insurer if, within fifteen (15) days from the date of forfeiture, the defendant is returned to custody, the bond is reinstated by the court with the bondsman's approval, or the order of forfeiture is vacated or set aside by the court. Failure of the clerk of the trial court to comply with the thirty-day notice provision in this subsection shall exonerate the bond by operation of law.&nbsp;</span></p> <p><span class="cls0">B. The order and judgment of forfeiture shall be on forms prescribed by the Administrative Director of the Courts.&nbsp;</span></p> <p><span class="cls0">C. 1. The bail bondsman shall have ninety (90) days from receipt of the order and judgment of forfeiture from the court clerk or mailing of the notice if no receipt is made, to return the defendant to custody.&nbsp;</span></p> <p><span class="cls0">2. The bondsman may contract with a licensed bail enforcer pursuant to the Bail Enforcement and Licensing Act to recover and return the defendant to custody within the ninety-day period, or as agreed.&nbsp;</span></p> <p><span class="cls0">3. When the court record indicates that the defendant is returned to custody in the jurisdiction where forfeiture occurred, within the ninety-day period, the court clerk shall enter minutes vacating the forfeiture and exonerating the bond. If the defendant has been timely returned to custody, but this fact is not reflected by the court record, the court shall vacate the forfeiture and exonerate the bond.&nbsp;</span></p> <p><span class="cls0">4. For the purposes of this section, "return to custody" means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the return of the defendant to the appropriate Oklahoma law enforcement agency by the bondsman,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;an appearance of the defendant in open court in the court where charged,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;arrest or incarceration within this state of the defendant by law enforcement personnel, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;arrest or incarceration of the defendant in any other jurisdiction, provided the bondsman has requested that a hold be placed on the defendant in the jurisdiction wherein the forfeiture lies and has guaranteed reasonable travel expenses for the return of the defendant.&nbsp;</span></p> <p><span class="cls0">5. In addition to the provisions set forth in paragraphs 3 and 4 of this subsection, the bond shall be exonerated by operation of law in any case in which:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the bondsman has requested in writing of the sheriff's department in the county where the forfeiture occurred that the defendant be entered into the computerized records of the National Crime Information Center, and the request has not been honored within fourteen (14) business days of the receipt of the written request by the department, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the defendant has been arrested outside of this state and the court record shows the prosecuting attorney has declined to proceed with extradition.&nbsp;</span></p> <p><span class="cls0">6. The court may, in its discretion, vacate the order of forfeiture and exonerate the bond where good cause has been shown for:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the defendant's failure to appear, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the bondsman's failure to return the defendant to custody within ninety (90) days.&nbsp;</span></p> <p><span class="cls0">D. 1. If, within ninety (90) days from receipt of the order and judgment of forfeiture from the court clerk, or mailing of the notice if no receipt is made, the defendant is not returned to custody, or the forfeiture has not been stayed, the bondsman and, if applicable, the insurer whose risk it is shall deposit cash or other valuable securities in the face amount of the bond with the court clerk ninety-one (91) days from receipt of the order and judgment of forfeiture from the court clerk, or mailing of the notice if no receipt is made; provided, this provision shall not apply if the defendant has been returned to custody within the ninety-day period and the court has failed to vacate the forfeiture pursuant to paragraphs 3 through 6 of subsection C of this section.&nbsp;</span></p> <p><span class="cls0">2. After the order and judgment has been paid within ninety-one (91) days from receipt of the order and judgment of forfeiture from the court clerk, or mailing of the notice if no receipt is made, as required in paragraph 1 of this subsection, the bondsman and, if applicable, the insurer whose risk it is shall have one year from the date payment is due to return the defendant to custody as defined by paragraph 4 of subsection C of this section. In the event the defendant is returned to custody and all expenses for the defendant's return have been paid by the bondsman or insurer, the bondsman's or insurer's property shall be returned; provided, the request for remitter be made by motion filed within one (1) year from the date payment is due.&nbsp;</span></p> <p><span class="cls0">3. If the additional cash or securities are not deposited with the court clerk on or before the ninety-first day after the date of service of the order and judgment of forfeiture from the court clerk, or mailing of the notice if no receipt is made, then the court clerk shall notify the Insurance Commissioner by sending a certified copy of the order and judgment of forfeiture and proof that the bondsman and, if applicable, the insurer have been notified by mail with return receipt requested.&nbsp;</span></p> <p><span class="cls0">4. The Insurance Commissioner shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;in the case of a surety bondsman, immediately cancel the license privilege and authorization of the insurer to do business within the State of Oklahoma and cancel the appointment of all surety bondsman agents of the insurer who are licensed by Section 1301 et seq. of this title, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;in the case of a professional bondsman, withdraw the face amount of the forfeiture from the deposit provided in Section 1306 of this title. The Commissioner shall then immediately direct the professional bondsman, by mail with return receipt requested, to make additional deposits to bring the original deposit to the required level. Should the professional bondsman, after being notified, fail to make an additional deposit within ten (10) days from the receipt of notice, or mailing of notice if no receipt is made, the license shall be revoked and all sums presently on deposit shall be held by the Commissioner to secure the face amounts of bonds outstanding. Upon release of the bonds, any amount of deposit in excess of the bonds shall be returned to the bondsman; provided, the bail bondsman shall have had notice as required by the court, at the place of the bondsman's business, of the trial or hearing of the defendant named in the bond. The notice shall have been at least ten (10) days before the required appearance of the defendant, unless the appearance is scheduled at the time of execution of the bond. Notwithstanding the foregoing, the bondsman shall be deemed to have had notice of the trial or hearing if the defendant named in the bond shall have been recognized back in open court to appear at a date certain for the trial or hearing.&nbsp;</span></p> <p><span class="cls0">5. If the actions of any bail bondsman force the Insurance Commissioner to withdraw monies, deposited pursuant to Section 1306 of this title, to pay past due executions more than two (2) times in a consecutive twelve-month period, then the license of the professional bondsman shall, in addition to other penalties, be suspended automatically for one (1) year or until a deposit equal to all outstanding forfeitures due is made. The deposit shall be maintained until the Commissioner deems it feasible to reduce the deposit. In no case shall an increased deposit exceed two (2) years unless there is a recurrence of withdrawals as stated herein.&nbsp;</span></p> <p><span class="cls0">E. 1. If the defendant's failure to appear was the result of the defendant's death or of being in the custody of a court other than the court in which the appearance was scheduled, forfeiture shall not lie. Upon proof to the court that the bondsman paid the order and judgment of forfeiture without knowledge that the defendant was deceased or in custody of another court on the day the defendant was due to appear, and all expenses for the defendant's return have been paid by the bondsman, the bondsman's property shall be returned.&nbsp;</span></p> <p><span class="cls0">2. Where the defendant is in the custody of another court, the district attorney or municipal attorney shall direct a hold order to the official, judge, court or law enforcement agent wherein the defendant is in custody; provided, that all expenses accrued as a result of returning the custody of the defendant shall be borne by the bondsman.&nbsp;</span></p> <p><span class="cls0">F. The district attorney or municipal attorney shall not receive any bonuses or other monies or property for or by reason of services or actions in connection with or collection of bond forfeitures under the provisions of Section 1301 et seq. of this title, except that the court may award a reasonable attorney fee in favor of the prevailing party for legal services in any civil action or proceeding to collect upon a judgment of forfeiture.&nbsp;</span></p> <p><span class="cls0">G. The above procedures shall be subject to the bondsman's rights of appeal. The bondsman or insurer may appeal an order and judgment of forfeiture pursuant to the procedures for appeal set forth in Section 951 et seq. of Title 12 of the Oklahoma Statutes. To stay the execution of the order and judgment of forfeiture, the bondsman or insurer shall comply with the provisions set forth in Section 990.4 of Title 12 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">H. For municipal courts of record, the above procedures are criminal in nature and ancillary to the criminal procedures before the trial court and shall be subject to the bondsman's right of appeal. The bondsman or insurer may appeal an order and judgment of forfeiture by the municipal courts of record to the Court of Criminal Appeals.&nbsp;</span></p> <p><span class="cls0">I. Upon a motion to the court, any person executing a bail bond as principal or as surety shall be exonerated after three (3) years have elapsed from the posting of the bond, unless a judgment has been entered against the surety or the principal for the forfeiture of the bond, or unless the court grants an extension of the three-year time period for good cause shown, upon motion by the prosecuting attorney.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 32, eff. Jan. 1, 1966. Amended by Laws 1971, c. 108, &sect;1, eff. Oct. 1, 1971; Laws 1976, c. 14, &sect; 2; Laws 1982, c. 149, &sect; 4, operative Oct. 1, 1982; Laws 1984, c. 225, &sect; 24, emerg. eff. May 23, 1984; Laws 1987, c. 52, &sect; 1, eff. Nov. 1, 1987; Laws 1987, c. 181, &sect; 6, eff. July 1, 1987; Laws 1987, c. 211, &sect; 20, eff. Nov. 1, 1987; Laws 1988, c. 177, &sect; 3, emerg. eff. May 26, 1988; Laws 1990, c. 195, &sect; 8, emerg. eff. May 10, 1990; Laws 1990, c. 332, &sect; 3, emerg. eff. May 30, 1990; Laws 1991, c. 139, &sect; 4, emerg. eff. April 29, 1991; Laws 1992, c. 98, &sect; 8, eff. Sept. 1, 1992; Laws 1993, c. 170, &sect; 7, eff. Sept. 1, 1993; Laws 1994, c. 331, &sect; 4, eff. Sept. 1, 1994; Laws 1995, c. 357, &sect; 5, eff. Nov. 1, 1995; Laws 1997, c. 251, &sect; 5, eff. Nov. 1, 1997; Laws 1997, c. 418, &sect; 123, eff. Nov. 1, 1997; Laws 1998, c. 182, &sect; 1, emerg. eff. April 29, 1998; Laws 2001, c. 404, &sect; 8, eff. Nov. 1, 2001; Laws 2002, c. 390, &sect; 20, emerg. eff. June 4, 2002; Laws 2007, c. 97, &sect; 1, eff. Nov. 1, 2007; Laws 2008, c. 32, &sect; 1, eff. Nov. 1, 2008; Laws 2013, c. 150, &sect; 9, eff. Nov. 1, 2013; Laws 2013, c. 407, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1332.1. Persons permitted to return defendant to custody.&nbsp;</span></p> <p><span class="cls0">For the purpose of surrendering a defendant after a breach of the undertaking, the following persons may return the defendant to custody:&nbsp;</span></p> <p><span class="cls0">1. A bondsman or surety;&nbsp;</span></p> <p><span class="cls0">2. A licensed bail enforcer having authority under a client contract with a bondsman or surety pursuant to the Bail Enforcement and Licensing Act; or&nbsp;</span></p> <p><span class="cls0">3. A peace officer acting within the peace officer's jurisdiction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1998, c. 182, &sect; 2, emerg. eff. April 29, 1998. Amended by Laws 2013, c. 407, &sect; 27, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591333. Enforcement of liability.&nbsp;</span></p> <p><span class="cls0">All liability of the bondsman may be enforced on motion without necessity of an independent action if conformance with the foregoing is shown.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 184, &sect; 33, eff. Jan. 1, 1966. &nbsp;</span></p> <p><span class="cls0">&sect;59-1334. Bail on personal recognizance.&nbsp;</span></p> <p><span class="cls0">A. Any person in custody before a court or magistrate of the State of Oklahoma subject to discretion of the court may be admitted to bail on his personal recognizance subject to such conditions as the court or magistrate may reasonably prescribe to assure his appearance when required.&nbsp;</span></p> <p><span class="cls0">B. When a person is admitted to bail on his personal recognizance, the court or magistrate may determine an amount of money, property, or securities which shall be paid or forfeited as a penalty by the defendant for failure to comply with the terms of his admission to bail on personal recognizance. This penalty shall be in addition to the penalties provided for in Section 1335 of this title.&nbsp;</span></p> <p><span class="cls0">C. Any person admitted to bail as herein provided shall be fully appraised by the court or magistrate of the penalties provided for failure to comply with the terms of his recognizance and, upon a failure of compliance, a warrant for the arrest of such person shall be issued forthwith.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 34. Amended by Laws 1994, c. 331, &sect; 5, eff. Sept. 1, 1994.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1335. Penalty for incurring forfeiture or failing to comply with personal recognizance.&nbsp;</span></p> <p><span class="cls0">Whoever, having been admitted to bail for appearance before any district court in the State of Oklahoma, (1) incurs a forfeiture of the bail and willfully fails to surrender himself within thirty (30) days following the date of such forfeiture, or (2) willfully fails to comply with the terms of his personal recognizance, shall be guilty of a felony and shall be fined not more than Five Thousand Dollars ($5,000.00) or imprisoned not more than two (2) years, or both.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 35, eff. Jan. 1, 1966. Amended by Laws 1970, c. 72, &sect; 1, emerg. eff. March 20, 1970; Laws 1997, c. 133, &sect; 511, eff. July 1, 1999; Laws 1999, 1st Ex.Sess., c. 5, &sect; 372, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 511 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1335.1. Penalty for providing false information on undertaking or indemnification agreement.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any principal, person in custody or defendant, or indemnitor to provide false information, including identity and physical address, on any undertaking or indemnification agreement. Violation of this section shall be a misdemeanor punishable by imprisonment in the county jail for a term of not more than one (1) year, or by a fine of not more than One Thousand Dollars ($1,000.00), or by both such imprisonment and fine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 135, &sect; 2, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591336. Penalty.&nbsp;</span></p> <p><span class="cls0">Any person violating any of the provisions of this act relating to bondsman shall, upon conviction, be fined not more than Five Thousand Dollars ($5,000.00) for each offense, or imprisoned in the county jail for not more than one (1) year, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">Any person acting as a bondsman without a license shall be subject to the penalties provided in this section.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 184, &sect; 36, eff. Jan. 1, 1966; Laws 1984, c. 225, &sect; 25, emerg. eff. May 23, 1984; Laws 1992, c. 98, &sect; 9, eff. Sept. 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1337. Issuance of receipt for funds payable.&nbsp;</span></p> <p><span class="cls0">Any funds payable to the court clerk or other officer pursuant to this act, by any licensed bondsman, managing general agent, surety company or professional bondsman shall be issued a receipt in the name of the surety company or professional bondsman, as the case may be, and when such funds are refunded or otherwise disbursed, they shall be made payable to such surety company or professional bondsman, as the case may be.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 184, &sect; 37, eff. Jan. 1, 1966. Amended by Laws 1979, c. 47, &sect; 40, emerg. eff. April 9, 1979; Laws 1984, c. 215, &sect; 9, operative June 30, 1984; Laws 1990, c. 195, &sect; 9, emerg. eff. May 10, 1990; Laws 1997, c. 268, &sect; 1, eff. Sept. 1, 1997; Laws 2009, c. 432, &sect; 26, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591338. Use of telephone.&nbsp;</span></p> <p><span class="cls0">Each person arrested shall have an opportunity to use the telephone to call his attorney and bondsman before being placed in jail, or within six (6) hours thereafter.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 184, &sect; 38, eff. Jan. 1, 1966. &nbsp;</span></p> <p><span class="cls0">&sect;591339. Access to jails.&nbsp;</span></p> <p><span class="cls0">Every person who holds a valid bail bondsman's license issued by the Insurance Commissioner and registered as required in Section 20 of this act shall be entitled to equal access to the jails of this state for the purpose of making bond, subject to the provisions of this act and the rules and regulations adopted and promulgated in the manner provided by law.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 184, &sect; 39, eff. Jan. 1, 1966. &nbsp;</span></p> <p><span class="cls0">&sect;591340. Persons excluded.&nbsp;</span></p> <p><span class="cls0">This act shall not apply to a person who writes only one bond within each calendar year and who does not charge a fee for his services.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 184, &sect; 40, eff. Jan. 1, 1966. &nbsp;</span></p> <p><span class="cls0">&sect;59-1350. Short title - Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Bail Enforcement and Licensing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.1. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Bail Enforcement and Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. "Armed bail enforcer" means a bail enforcer having a valid license issued by the Council on Law Enforcement Education and Training authorizing the holder to carry an approved pistol or weapon in the recovery of a defendant pursuant to the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. "Bail enforcer" means a person who acts, engages in, solicits or offers services to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;execute a prior to breach recovery of a defendant on an undertaking or bail bond contract, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;execute a recovery of a defendant for failure to appear on an undertaking or bail bond contract issued in this state, another state or the United States.&nbsp;</span></p> <p><span class="cls0">The term "bail enforcer" does not include any law enforcement officer actively employed by a law enforcement agency recognized in this state, or any of its political subdivisions, another state or the United States, while such officer is engaged in the lawful performance of duties authorized by his or her employing law enforcement agency, a bondsman licensed in this state and acting under the authority of his or her undertaking or bail contract or a licensed bondsman appointed by an insurer in this state with regard to a defendant on a bond posted by that insurer;&nbsp;</span></p> <p><span class="cls0">3. "Bail recovery contract" or "client contract" means an agreement to perform the services of a bail enforcer for a client. Only a bail enforcer licensed by the Council may enter into a client contract to perform the services of a bail enforcer. A bail enforcer is liable for his or her acts and omissions while executing a recovery of a defendant pursuant to a client contract;&nbsp;</span></p> <p><span class="cls0">4. "Client" means a bondsman or surety on an undertaking or bail bond contract issued in this state, another state or the United States that enters into a contract for the services of a bail enforcer;&nbsp;</span></p> <p><span class="cls0">5. "Council" or "CLEET" means the Council on Law Enforcement Education and Training;&nbsp;</span></p> <p><span class="cls0">6. "Defendant" means the principal on an undertaking or bail bond contract;&nbsp;</span></p> <p><span class="cls0">7. "License" means authorization issued by the Council pursuant to the Bail Enforcement and Licensing Act permitting the holder to perform functions and services as a bail enforcer;&nbsp;</span></p> <p><span class="cls0">8. "Weapon" means taser, stun gun, baton, night stick or any other device used to subdue a defendant, or any noxious substances as defined in paragraph 10 of this subsection;&nbsp;</span></p> <p><span class="cls0">9. "Recovery" or "surrender" means the presentation of a defendant to the public officer competent to receive the defendant into custody; and&nbsp;</span></p> <p><span class="cls0">10. "Noxious substance" means OC spray, pepper spray, mace or any substance used as a physiological irritant.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.2. Bail enforcement license requirement.&nbsp;</span></p> <p><span class="cls0">A. On and after July 1, 2014, no person shall act or engage in, solicit or offer services, or represent himself or herself, as a bail enforcer as defined by the Bail Enforcement and Licensing Act without first having been issued a valid license by the Council on Law Enforcement Education and Training.&nbsp;</span></p> <p><span class="cls0">B. On or after July 1, 2014, any person who shall act or engage in, solicit or offer services, or represent himself or herself, as a bail enforcer without a valid license issued by the Council shall be guilty of a felony, upon conviction, punishable by a fine in an amount not exceeding Ten Thousand Dollars ($10,000.00), or by imprisonment in the custody of the Department of Corrections for a term of not more than three (3) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">C. Any person violating the provisions of subsection B of this section while having in his or her possession or under his or her control any firearm or weapon, including a firearm under the authority of the Oklahoma Self-Defense Act, shall be punished, upon conviction, by an additional fine in an amount not exceeding Five Thousand Dollars ($5,000.00), or by an additional term of imprisonment up to three (3) years, or by both such fine and imprisonment. In addition, the authority to carry the firearm may be permanently revoked by the issuing authority.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.3. Persons or classes prohibited as enforcers.&nbsp;</span></p> <p><span class="cls0">A. To prevent a conflict of interest or the appearance of any conflict of interest, and in addition to the qualifications for a bail enforcer pursuant to Section 10 of this act, a person whose employment prohibits such person from being licensed as a bail bondsman as provided in subsection A of Section 1315 of Title 59 of the Oklahoma Statutes shall be prohibited from being licensed as a bail enforcer pursuant to the Bail Enforcement and Licensing Act. In addition, a district attorney, or any employee of an office of a district attorney, or any employee of the Department of Corrections shall be prohibited from being licensed as a bail enforcer or bail recovery agency while employed in such capacity.&nbsp;</span></p> <p><span class="cls0">B. Nothing in the Bail Enforcement and Licensing Act shall be construed to prohibit a bail bondsman, private investigator or security guard licensed in this state from being dual-licensed pursuant to the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.4. Unlicensed bond enforcement.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person whose license as a bail enforcer has been suspended, revoked, surrendered or denied, to perform, or assist in the performance of, any function or service as a bail enforcer.&nbsp;</span></p> <p><span class="cls0">B. It shall be unlawful for a bail enforcer licensed in this state to assist, aid or conspire with an unlicensed person, or a person whose license as a bail enforcer or bail bondsman has been suspended, revoked, surrendered or denied, to engage in any function or service as a bail enforcer. Provided, however, an active duty commissioned peace officer who is off-duty may assist a bail enforcer without having been issued a bail enforcer license.&nbsp;</span></p> <p><span class="cls0">C. Any violation of this section shall be a violation of the Bail Enforcement and Licensing Act which is punishable as provided in Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.5. Prohibition of unnecessary force - Training.&nbsp;</span></p> <p><span class="cls0">A. Notwithstanding any provision in Section 643 of Title 21 of the Oklahoma Statutes, the use or attempt to use force by a bail enforcer in the recovery of a defendant as defined in the Bail Enforcement and Licensing Act is prohibited when unnecessarily committed or when the force is excessive or unreasonable in manner, degree or duration.&nbsp;</span></p> <p><span class="cls0">B. Every bail enforcer shall be trained on the use of force continuum and the rules for use of force promulgated for the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">C. No force shall be authorized which is more than sufficient to temporarily restrain a defendant who has refused to obey a lawful command to surrender to the bail enforcer. The duration and manner of any force used by a bail enforcer shall be only that reasonably necessary to surrender the defendant to the public officer competent to receive such person into custody.&nbsp;</span></p> <p><span class="cls0">D. Any force used by a bail enforcer in self-defense while recovering a defendant or to defend another from injury or threat of injury while recovering a defendant shall be not more than sufficient to prevent an offense.&nbsp;</span></p> <p><span class="cls0">E. Any force deemed by the district attorney to be unnecessarily committed or excessive or unreasonable in manner, degree or duration may be prosecuted as a crime committed without justification or excusable cause under an existing provision of law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.6. Prohibition of breaking and entering.&nbsp;</span></p> <p><span class="cls0">A. Notwithstanding any other provision of law, it shall be unlawful for a bail enforcer to break into and enter the dwelling house of any defendant or third-party for purposes of recovery or attempted recovery of a defendant either:&nbsp;</span></p> <p><span class="cls0">1. By forcibly bursting or breaking the wall, or an outer door, window, or shutter of a window of such house or the lock or bolts of such door, or the fastening of such window or shutter;&nbsp;</span></p> <p><span class="cls0">2. By breaking in any other manner, being armed with a weapon or being assisted or aided by one or more persons then actually present; or&nbsp;</span></p> <p><span class="cls0">3. By unlocking an outer door by means of false keys or by picking the lock thereof, or by lifting a latch or opening a window.&nbsp;</span></p> <p><span class="cls0">B. A person violating the provisions of this section shall be guilty of burglary in the first degree and, upon conviction, punished as provided in Section 1436 of Title 21 of the Oklahoma Statutes. Provided, however, the offense and penalty stated in this section shall not apply to a licensed bail enforcer during an active attempt at recovery of a felony defendant under the following conditions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the bail enforcer has first-hand or eyes-on knowledge that the defendant entered the dwelling house during an attempt to recover the defendant and the defendant after reasonable request is refusing to surrender,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the bail enforcer has first-hand or eyes-on knowledge that the defendant is actually within the dwelling house and after reasonable request is refusing to surrender, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the bail enforcer has obtained knowledge confirming beyond a reasonable doubt that the defendant is actually within the dwelling house and after reasonable request refuses to surrender.&nbsp;</span></p> <p><span class="cls0">For purposes of this subsection, "first-hand knowledge" means information received from direct eye-witness testimony, actual visual contact with and confirmed identification of the defendant by a person who knows the defendant or resides at the dwelling house, or other factual evidence provided directly to the licensed bail enforcer that confirms the identity and presence of the defendant within the dwelling house.&nbsp;</span></p> <p><span class="cls0">The exceptions to the offense and penalty in this section shall not limit or restrict another person within or without the dwelling house, or owning the dwelling house, from taking any action in response to or to defend a forced entry into such dwelling house, including use of a firearm as may be authorized by law. The use of an exception provided in this subsection by a licensed bail enforcer shall be a fact to be determined by the district attorney in considering whether to prosecute an offense under this section. Any person exercising his or her right to respond or protect the dwelling house or its occupants shall not be liable for injury to another who was forcing entry into such dwelling house. An owner or occupant of a dwelling house may seek damages to his or her property in a civil action if such damage resulted from a forced entry by a licensed bail enforcer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.7. Enforcement of act.&nbsp;</span></p> <p><span class="cls0">A. The Director of the Council on Law Enforcement Education and Training, and any staff member designated by the Director, shall have all the powers and authority of peace officers of this state for the purposes of enforcing the provisions of the Bail Enforcement and Licensing Act, and all other duties which are or may be conferred upon the Council by the Bail Enforcement and Licensing Act. The powers and duties conferred on the Director or any staff member appointed by the Director as a peace officer shall not limit the powers and duties of other peace officers of this state or any political subdivision thereof. Nothing in the Bail Enforcement and Licensing Act shall be construed to restrict the Director from appointing the same staff members as peace officers to enforce both the Oklahoma Security Guard and Private Investigator Act and the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The Council shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To promulgate rules and forms to implement, enforce and carry out the purposes of the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. To establish and enforce standards governing the training of persons required to be licensed pursuant to the Bail Enforcement and Licensing Act with respect to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;issuing, denying, or revoking certificates of approval to bail enforcement training schools, and programs administered by the state, a county, a municipality, a private corporation, or an individual,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;certifying instructors at approved bail enforcement training schools,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;establishing minimum requirements for bail enforcement training schools and periodically reviewing these standards, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;providing for periodic inspection of all bail enforcement training schools or programs;&nbsp;</span></p> <p><span class="cls0">3. To establish minimum curriculum requirements for training as the Council may require for bail enforcers and armed bail enforcers. Training requirements for unarmed bail enforcers shall be not less than forty (40) hours of instruction which shall be in addition to the Phase I, II, and III training requirements. Training requirements for armed bail enforcers shall be the same as for unarmed bail enforcers plus Phase IV firearm and weapons training;&nbsp;</span></p> <p><span class="cls0">4. To establish minimum requirements for a mandatory continuing education program for all licensed bail enforcers which shall include, but not be limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;establishing a designated minimum number of clock hours of required attendance, not less than twenty-four (24) clock hours during the licensing period, at accredited educational functions,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;establishing the penalties to be imposed upon a licensee for failure to comply with the continuing education requirements, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;providing that the expense of such continuing education shall be paid by the licensee participating therein;&nbsp;</span></p> <p><span class="cls0">5. To grant a waiver of any training requirement, except firearms training and weapons training which shall be required for an armed bail enforcer license, unless the applicant has completed at least one (1) year of full-time employment as an armed security guard, armed private investigator, or CLEET-certified law enforcement officer within the three-year period immediately preceding the date of application and the applicant provides sufficient documentation thereof as may be required by the Council;&nbsp;</span></p> <p><span class="cls0">6. To grant an applicant credit for fulfilling any prescribed course or courses of training, including firearms training, upon submission of acceptable documentation of comparable training. The Council may grant or refuse any such credit at its discretion;&nbsp;</span></p> <p><span class="cls0">7. To issue the licenses and identification cards provided for in the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">8. To investigate alleged violations of the Bail Enforcement and Licensing Act, or rules promulgated pursuant thereto, and to deny, suspend, or revoke licenses and identification cards if necessary, or to issue notices of reprimand to licensees with or without probation under the rules promulgated by the Council;&nbsp;</span></p> <p><span class="cls0">9. To investigate alleged violations of the Bail Enforcement and Licensing Act by persons not licensed in this state as bail enforcers and to impose administrative sanctions pursuant to rule, to seek injunctions pursuant to Section 1750.2A of Title 59 of the Oklahoma Statutes, or seek criminal prosecution, or any and all of the foregoing;&nbsp;</span></p> <p><span class="cls0">10. To provide all forms for applications, identification cards, badges, and licenses required by the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">11. To immediately suspend a license if a licensee's actions present a danger to the licensee or to the public; and&nbsp;</span></p> <p><span class="cls0">12. To require additional testing for continuation or reinstatement of a license if a licensee exhibits an inability to exercise reasonable judgment, skill, or safety.&nbsp;</span></p> <p><span class="cls0">C. The Council may use staff and resources established for the Oklahoma Security Guard and Private Investigator Act to implement, administer and enforce the Bail Enforcement and Licensing Act and shall use funds available from the CLEET Bail Enforcement Revolving Fund created pursuant to Section 21 of this act for necessary financial support for the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">D. Nothing in the Bail Enforcement and Licensing Act or the Oklahoma Security Guard and Private Investigator Act shall be construed to prohibit the Council from authorizing approved training schools or individuals to conduct combined education or training for security guards, private investigators and bail enforcers, including Phases I, II, III and IV training.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.8. Psychological evaluation.&nbsp;</span></p> <p><span class="cls0">A. Each applicant for a bail enforcer license shall be administered any current standard form of the Minnesota Multiphasic Personality Inventory (MMPI), or other psychological evaluation instrument approved by the Council on Law Enforcement Education and Training, which shall be administered in conjunction with training in Phase I required by the Bail Enforcement and Licensing Act. The bail enforcer training school administering such instrument shall forward the response data to a psychologist licensed by the State Board of Examiners of Psychologists for evaluation. The licensed psychologist shall be of the applicant's choice. It shall be the responsibility of the applicant to bear the cost of the psychological evaluation. No bail enforcer license shall be issued unless the applicant meets the standards established by the Council for psychological evaluation.&nbsp;</span></p> <p><span class="cls0">B. If the licensed psychologist is unable to certify the applicant's psychological capability to exercise appropriate judgment, restraint, and self-control, after evaluating the data, the psychologist shall employ whatever other psychological measuring instruments or techniques deemed necessary to form a professional opinion. The use of any psychological measuring instruments or techniques shall require a full and complete written explanation to the Council.&nbsp;</span></p> <p><span class="cls0">C. The psychologist shall forward a written psychological evaluation, on a form prescribed by the Council, to the Council within fifteen (15) days of the evaluation, even if the applicant is found to be psychologically at risk. The Council may utilize the results of the psychological evaluation for up to six (6) months from the date of the evaluation after which the applicant shall be reexamined. No person who has been found psychologically at risk in the exercise of appropriate judgment, restraint, or self-control shall reapply for certification until one (1) year from the date of being found psychologically at risk.&nbsp;</span></p> <p><span class="cls0">D. 1. Retired peace officers who have been certified by the Council shall be exempt from the provisions of this section for a period of one (1) year from retirement; provided there is no evidence of an inability to exercise appropriate judgment, restraint, and self-control during prior active duty as a law enforcement officer and upon subsequent retirement.&nbsp;</span></p> <p><span class="cls0">2. Retired peace officers who are not exempt from this section and who have previously undergone treatment for a mental illness, condition, or disorder which required medication or supervision, as defined by paragraph 7 of Section 1290.10 of Title 21 of the Oklahoma Statutes, shall not be eligible to apply for a bail enforcer license except upon presentation of a certified statement from a licensed physician stating that the person is no longer disabled by any mental or psychiatric illness, condition, or disorder.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.9. Qualifications - Publication of address - Liability insurance.&nbsp;</span></p> <p><span class="cls0">A. Except as prohibited by Section 4 this act, a bail enforcer license or an armed bail enforcer license may be issued to an applicant meeting the following qualifications. The applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Be a citizen of the United States or an alien legally residing in the United States and have a minimum of six (6) months legal residence documented in this state;&nbsp;</span></p> <p><span class="cls0">2. Be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">3. Have a high school diploma or GED and have successfully completed the training and psychological evaluation requirements for the license applied for, as prescribed by the Council on Law Enforcement Education and Training;&nbsp;</span></p> <p><span class="cls0">4. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">5. Have no final victim protection orders issued in any state as a defendant;&nbsp;</span></p> <p><span class="cls0">6. Have no record of a felony conviction or any expungement or a deferred judgment or suspended sentence for a felony offense, unless at least fifteen (15) years has passed since the completion of the sentence and no other convictions have occurred or are pending. Provided, no person convicted of a felony offense shall be eligible for an armed bail enforcer license;&nbsp;</span></p> <p><span class="cls0">7. Have no record of conviction for assault or battery, aggravated assault or battery, larceny, theft, false pretense, fraud, embezzlement, false personation of an officer, any offense involving moral turpitude, any offense involving a minor as a victim, any nonconsensual sex offense, any offense involving the possession, use, distribution, or sale of a controlled dangerous substance, any offense of driving while intoxicated or driving under the influence of intoxicating substance, any offense involving a firearm, or any other offense as prescribed by the Council.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;If any conviction which disqualifies an applicant occurred more than five (5) years prior to the application date and the Council is convinced the offense constituted an isolated incident and the applicant has been rehabilitated, the Council may, in its discretion, waive the conviction disqualification as provided for in this paragraph and issue an unarmed bail enforcer license, but shall not issue an armed bail enforcer license if the offense involved the use of a firearm, was violent in nature, or was a felony offense other than a driving offense.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Under oath, the applicant shall certify that he or she has no disqualifying convictions as specified in the Bail Enforcement and Licensing Act or by rule of the Council, or that more than five (5) years have lapsed since the completion of the sentence for a disqualifying conviction.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;The applicant shall further meet all other qualifications, including, but not limited to, the requirement to provide CLEET and the Oklahoma State Bureau of Investigation with individual fingerprints for a state and national criminal history records search and a current individual photograph with the completed CLEET application for a bail enforcer license.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;If upon completion of the required background investigation it is discovered that a disqualifying conviction exists, the Council shall immediately revoke or deny the bail enforcer license of the applicant;&nbsp;</span></p> <p><span class="cls0">8. Make a statement that the applicant is not currently undergoing treatment for a mental illness, condition, or disorder, make a statement whether the applicant has ever been adjudicated incompetent or committed to a mental institution, and make a statement regarding any history of illegal drug use or alcohol abuse. Upon presentation by the Council of the name, gender, date of birth, and address of the applicant to the Department of Mental Health and Substance Abuse Services, the Department of Mental Health and Substance Abuse Services shall notify the Council within ten (10) days whether the computerized records of the Department indicate the applicant has ever been involuntarily committed to an Oklahoma state mental institution. For purposes of this subsection, "currently undergoing treatment for a mental illness, condition, or disorder" means the person has been diagnosed by a licensed physician or psychologist as being afflicted with a substantial disorder of thought, mood, perception, psychological orientation, or memory that significantly impairs judgment, behavior, capacity to recognize reality, or ability to meet the ordinary demands of life and such condition continues to exist;&nbsp;</span></p> <p><span class="cls0">9. Make a statement regarding any misdemeanor domestic violence charges;&nbsp;</span></p> <p><span class="cls0">10. Provide proof of liability insurance or an individual bond in a minimum amount established by the Bail Enforcement and Licensing Act; and&nbsp;</span></p> <p><span class="cls0">11. Provide a statement of self-employment as a sole proprietor bail enforcer.&nbsp;</span></p> <p><span class="cls0">B. 1. A bail enforcer shall be required to maintain a physical address and phone number publically available and published in the city or county where the physical address is located. Only a licensed bail enforcer may accept a client contract to perform the services of a bail enforcer.&nbsp;</span></p> <p><span class="cls0">2. A licensed bail enforcer shall be required to maintain complete records of all clients, defendants and apprehensions, and agree such records shall be available to CLEET for inspection at any time during regular business hours.&nbsp;</span></p> <p><span class="cls0">C. 1. All bail enforcers shall obtain and maintain either a liability insurance policy or a surety bond that allows persons to recover for actionable injuries, loss, or damage as a result of the willful, or wrongful acts or omissions of the licensee and protects this state, its agents, officers and employees from judgments against the licensee, and is further conditioned upon the faithful and honest conduct of the licensee.&nbsp;</span></p> <p><span class="cls0">2. The liability insurance policy or surety bond required in this subsection shall be in the minimum amount of Ten Thousand Dollars ($10,000.00).&nbsp;</span></p> <p><span class="cls0">3. Liability insurance policies or bonds issued pursuant to this subsection shall not be modified or canceled unless ten (10) days' prior written notice is given to the Council. All persons insured or bonded pursuant to this subsection shall be insured by an insurance carrier or bonded by a surety company licensed and authorized to do business in the state. Failure to obtain and maintain sufficient liability insurance or bond as provided in the Bail Enforcement and Licensing Act shall be grounds for revocation of a license.&nbsp;</span></p> <p><span class="cls0">D. Upon written notice, any license may be placed on inactive status.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 10, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.10. Application.&nbsp;</span></p> <p><span class="cls0">A. 1. Application for a bail enforcer license shall be made on forms provided by the Council on Law Enforcement Education and Training and shall be submitted in writing by the applicant under oath. The application shall require the applicant to furnish information reasonably required by the Council to implement the provisions of the Bail Enforcement and Licensing Act, including classifiable fingerprints to enable the search of criminal indices for evidence of a prior criminal record, including, but not limited to, a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">2. Upon request of the Council, the Oklahoma State Bureau of Investigation and other state and local law enforcement agencies shall furnish a copy of any existent criminal history data relating to an applicant to enable the Council to determine the qualifications and fitness of such applicant for a license.&nbsp;</span></p> <p><span class="cls0">B. 1. On and after March 1, 2014, the original application and any license renewal shall be accompanied by a fee of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Three Hundred Dollars ($300.00) for an unarmed bail enforcer license, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Four Hundred Dollars ($400.00) for an armed bail enforcer license.&nbsp;</span></p> <p><span class="cls0">If an individual does not qualify for the type of license or renewal license requested, the Council shall retain twenty percent (20%) of the licensing fee as a processing fee and refund the remaining amount to the individual or agency submitting payment. In addition to the fees provided in this subsection, the original application for a bail enforcer license shall be accompanied by a nonrefundable fee for a national criminal history record check with fingerprint analysis, as provided in Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">2. A licensee whose license has been suspended may apply for reinstatement of license after the term of the suspension has passed, if otherwise qualified. Any application for reinstatement following a suspension of licensure shall be accompanied by a nonrefundable fee of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;One Hundred Dollars ($100.00) for the reinstatement of an unarmed bail enforcer license, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;One Hundred Fifty Dollars ($150.00) for an armed bail enforcer license.&nbsp;</span></p> <p><span class="cls0">A revoked license shall not be reinstated.&nbsp;</span></p> <p><span class="cls0">3. A licensee who fails to file a renewal application on or before the expiration of a license shall pay a late fee of Fifty Dollars ($50.00) for an unarmed bail enforcer license and a late fee of One Hundred Dollars ($100.00) for an armed bail enforcer license.&nbsp;</span></p> <p><span class="cls0">4. The fees charged and collected, including portions of fees retained as processing fees, pursuant to the provisions of this section shall be deposited to the credit of the CLEET Bail Enforcement Revolving Fund created pursuant to Section 21 of this act.&nbsp;</span></p> <p><span class="cls0">C. On and after July 1, 2014, a bail enforcer license or armed bail enforcer license shall be valid for a period of three (3) years and may be renewed for additional three-year terms.&nbsp;</span></p> <p><span class="cls0">D. The Council shall devise a system for issuance of licenses for the purpose of evenly distributing the expiration dates of the licenses.&nbsp;</span></p> <p><span class="cls0">E. Pursuant to rule, the Council may issue a duplicate license to a person licensed pursuant to the provisions of the Bail Enforcement and Licensing Act. On and after July 1, 2014, the Council may assess a fee of Twenty-five Dollars ($25.00) for the issuance of a duplicate license. The fee shall accompany the request for a duplicate license. All duplicate license fees shall be deposited to the credit of the CLEET Bail Enforcement Revolving Fund created pursuant to Section 21 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 11, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.11. Denial, suspension, or revocation and disciplinary action.&nbsp;</span></p> <p><span class="cls0">A. A bail enforcer license or armed bail enforcer license shall be subject to denial, suspension, or revocation and/or disciplinary action or administrative fine by the Council on Law Enforcement Education and Training subject to the Administrative Procedures Act for, but not limited to, the following reasons by clear and convincing evidence:&nbsp;</span></p> <p><span class="cls0">1. Any erroneous or false statement in an application for a license submitted pursuant to the Bail Enforcement and Licensing Act or rules promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">2. Failure to successfully complete any prescribed phase or course of training as required by the Council;&nbsp;</span></p> <p><span class="cls0">3. Violation of any provision of the Bail Enforcement and Licensing Act or any rule promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">4. A conviction for assault or battery, aggravated assault or battery, larceny, theft, false pretense, fraud, embezzlement, false personation of an officer, any offense involving moral turpitude, any offense involving a minor as a victim, any nonconsensual sex offense, any offense involving the possession, use, distribution, or sale of a controlled dangerous substance, any offense of driving while intoxicated or driving under the influence of intoxicating substance, any offense involving a firearm, or any other offense as proscribed by the Council;&nbsp;</span></p> <p><span class="cls0">5. Use of beverages containing alcohol while armed with a firearm;&nbsp;</span></p> <p><span class="cls0">6. Knowingly impersonating a law enforcement officer;&nbsp;</span></p> <p><span class="cls0">7. Improper use of force pursuant to the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">8. Failure to carry and possess proper license, identification or documents required by the Bail Enforcement and Licensing Act or any rules promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">9. Improper apparel or vehicle pursuant to the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">10. Improper carry, display or use of a firearm, weapon or noxious substance;&nbsp;</span></p> <p><span class="cls0">11. Unlawful entry into a dwelling house, structure, property or vehicle or improper detention of any person;&nbsp;</span></p> <p><span class="cls0">12. Employing, authorizing, or permitting an unlicensed person to perform or engage in services as a bail enforcer; or&nbsp;</span></p> <p><span class="cls0">13. Permitting a person to perform or engage in services as a bail enforcer knowing the person has committed any offense prohibited by the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. Upon the effective date of suspension or revocation of any license pursuant to the Bail Enforcement and Licensing Act, the licensee shall have the duty to surrender the license and any identification card issued pursuant thereto to the Council.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 12, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.12. Impersonation of a government official.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person to mark any vehicle, wear any apparel, or display any badge or identification card bearing the words "police", "deputy", "detective", "officer", "agent", "investigator", "fugitive agent", "recovery agent", "enforcement officer", "bounty hunter", "bail agent", or "recovery detective" or use any other words or phrases that imply that such person is associated with law enforcement or a government agency.&nbsp;</span></p> <p><span class="cls0">B. Any violation shall be a violation of the Bail Enforcement and Licensing Act which is punishable as provided in Section 3 of this act, or the violator may be prosecuted for false impersonation of an officer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 13, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.13. Restrictions on bail enforcers.&nbsp;</span></p> <p><span class="cls0">No person licensed as a bail enforcer or bail recovery agency shall:&nbsp;</span></p> <p><span class="cls0">1. Invade the privacy of a defendant without lawful authority or divulge any information gained by him or her in the course of employment except as the client may direct as permitted by law, or as may be required by law to be disclosed;&nbsp;</span></p> <p><span class="cls0">2. Willfully make a false report to any person;&nbsp;</span></p> <p><span class="cls0">3. Attempt any location, recovery or surrender of a defendant without having in his or her possession a written client contract;&nbsp;</span></p> <p><span class="cls0">4. Attempt any location, recovery or surrender of a defendant without having in his or her possession a certified copy of the undertaking or bail bond contract;&nbsp;</span></p> <p><span class="cls0">5. Wear any apparel, badges, shields, ballistic vest or helmet during the recovery of a defendant unless such item is clearly marked "Bail Enforcer";&nbsp;</span></p> <p><span class="cls0">6. Carry any firearm or weapon in the recovery of a defendant without a valid armed bail enforcer license, or carry any firearm or weapon when wearing bail enforcer apparel and not actively engaged in the recovery of a defendant;&nbsp;</span></p> <p><span class="cls0">7. Point, display or discharge a firearm or weapon or administer a noxious substance as defined by the Bail Enforcement and Licensing Act in the recovery of a defendant without lawful authority and training as provided by the rules promulgated by the Council on Law Enforcement Education and Training;&nbsp;</span></p> <p><span class="cls0">8. Wear any uniform or use any title, insignia, badge or identification card or make any statements that would lead a person to believe that he or she is connected in any way with the federal government, a state government, or any political subdivision of a state government, or law enforcement agency, or to permit another person assisting in a recovery of a defendant to do such prohibited acts;&nbsp;</span></p> <p><span class="cls0">9. Unlawfully enter into the dwelling house, structure, property or vehicle of a defendant or third party;&nbsp;</span></p> <p><span class="cls0">10. Improperly use force against a defendant or third party;&nbsp;</span></p> <p><span class="cls0">11. Disobey any local ordinance, state or federal law, including traffic laws, in attempting to locate, recover or surrender a defendant;&nbsp;</span></p> <p><span class="cls0">12. Use a fictitious name in the recovery of a defendant;&nbsp;</span></p> <p><span class="cls0">13. Use or modify any vehicle for purposes of bail enforcement that resembles or bears markings or exterior equipment similar to those markings or equipment of an authorized law enforcement agency in this state, or any of its political subdivisions, or that bear any fictitious name, emblems, stickers, seals or design that would imply to the public that the vehicle is a law enforcement vehicle from this state, another state, any political subdivision of a state, the United States, or another country or territory; or&nbsp;</span></p> <p><span class="cls0">14. Disobey any rules promulgated for the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">A violation of any provision of this subsection shall be punishable as provided in Section 3 of this act. In addition, the Council may suspend or revoke the license of the bail enforcer as provided by the rules promulgated pursuant to the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 14, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.14. Disclosure of application information.&nbsp;</span></p> <p><span class="cls0">The Council on Law Enforcement Education and Training or its employees shall not disclose application information pertaining to applicants or persons licensed pursuant to the Bail Enforcement and Licensing Act, except:&nbsp;</span></p> <p><span class="cls0">1. To verify the current license status of an applicant or licensee to the public;&nbsp;</span></p> <p><span class="cls0">2. As may be necessary to perform duties or comply with rules or law pursuant to the Bail Enforcement and Licensing Act;&nbsp;</span></p> <p><span class="cls0">3. To a bona fide law enforcement agency or judicial authority, upon request;&nbsp;</span></p> <p><span class="cls0">4. To an insurance company licensed in this state for purposes of issuing a bond for licensure or for claims purposes;&nbsp;</span></p> <p><span class="cls0">5. To provide the published name, address and phone number, upon request by the public; or&nbsp;</span></p> <p><span class="cls0">6. As required by court order.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 15, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.15. Identification requirement - Discharge of firearm.&nbsp;</span></p> <p><span class="cls0">A. Each bail enforcer licensed pursuant to the Bail Enforcer and Licensing Act shall carry a valid driver license or state-issued photo identification card and the bail enforcer badge authorized or issued by the Council on Law Enforcement Education and Training at all times while performing the functions and services of a bail enforcer in this state.&nbsp;</span></p> <p><span class="cls0">B. 1. Each discharge of a firearm by any person during the recovery or surrender of a defendant pursuant to the Bail Enforcement and Licensing Act shall be immediately reported to the law enforcement agency having jurisdiction where such firearm was discharged.&nbsp;</span></p> <p><span class="cls0">2. Each discharge of or use of a firearm or weapon or any noxious substance as defined in the Bail Enforcement and Licensing Act shall be reported to the Council who shall keep records of all such occurrences.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 16, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.16. Identifying markings on clothing and vehicles.&nbsp;</span></p> <p><span class="cls0">A. The words "Bail Enforcer" shall be displayed in bold letters on all clothing worn during the recovery of a defendant and such words together with the person's valid state-issued license number shall be on the badge authorized by or issued by CLEET, which badge shall be in the possession of and visibly displayed by the bail enforcer during the recovery of a defendant.&nbsp;</span></p> <p><span class="cls0">B. Vehicles used by a bail enforcer, if marked, must bear the words "Bail Enforcer". No such vehicle shall be equipped with a siren, a lamp with a red or blue lens, or an overhead light or lights with red or blue lens.&nbsp;</span></p> <p><span class="cls0">C. Any violation of provisions of this section shall be punishable as provided in Section 3 of this act. In addition, the Council on Law Enforcement Education and Training may suspend or revoke the license pursuant to the rules promulgated for such prohibited conduct.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 17, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.17. Bail enforcement training schools.&nbsp;</span></p> <p><span class="cls0">A. On and after the effective date of this act, private schools desiring to conduct any or all phases of bail enforcement training shall submit an application for a certificate of approval to the Council on Law Enforcement Education and Training. The application shall be accompanied by a fee of Three Hundred Dollars ($300.00). The certificate shall be renewed annually by July 1. The renewal fee shall be Three Hundred Dollars ($300.00). If the school does not qualify for a certificate or renewal certificate, the Council shall retain twenty percent (20%) of the fee as a processing fee and refund the balance to the school. The processing fee shall be credited and deposited in the CLEET Bail Enforcement Revolving Fund created pursuant to Section 21 of this act.&nbsp;</span></p> <p><span class="cls0">B. A listing of qualified and certified bail enforcement training schools shall be available from the Council. Any certified school may conduct continuing education courses on subjects approved by the Council.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 18, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.18. Firearm training.&nbsp;</span></p> <p><span class="cls0">A. The firearm training for armed bail enforcers may include the reduction targets for weapons fired at fifty (50) feet to simulate weapons fired at seventy-five (75) feet in indoor ranges. All indoor ranges for this training shall have a minimum of three firing lanes and be approved by the Council on Law Enforcement Education and Training.&nbsp;</span></p> <p><span class="cls0">B. The Council shall approve the standards and curriculum for approved training schools on training and use of tasers, stun guns and other approved weapons and the administration of noxious substances as defined in the Bail Enforcement and Licensing Act. No bail enforcer shall be permitted to carry a weapon or administer noxious substances in the recovery of a defendant without successful completion of the training requirement established by the Council for bail enforcers.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 19, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.19. Jail access.&nbsp;</span></p> <p><span class="cls0">Every bail enforcer who holds a valid license in this state shall have access to the jails of this state for the purpose of surrendering persons recovered pursuant to the Bail Enforcement and Licensing Act, and the rules adopted by the Council on Law Enforcement Education and Training. Each surrender of a person to jail by a licensed bail enforcer shall require presentation of a copy of the bail undertaking, contract for recovery of the defendant by the bail enforcer, or a copy of the warrant for arrest and surrender to custody for failure to appear.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 20, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1350.20. CLEET Bail Enforcement Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Council on Law Enforcement Education and Training to be designated the "CLEET Bail Enforcement Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all application fees, license fees, renewal fees, late fees, administrative fines, and other funds assessed or collected pursuant to the Bail Enforcement and Licensing Act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Council for the implementation, administration and enforcement of the Bail Enforcement and Licensing Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of State Finance for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 407, &sect; 21, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591351. Citation.&nbsp;</span></p> <p><span class="cls0">This act may be cited as the "Psychologists Licensing Act."&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 1, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591352. Definitions.&nbsp;</span></p> <p><span class="cls0">In the Psychologists Licensing Act, unless the context otherwise requires:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Oklahoma State Board of Examiners of Psychologists;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;2. "Psychologist" means a person who represents himself or herself to be a psychologist by using any title or description of services incorporating the words "psychology", "psychological", or "psychologist", or by offering to the public or rendering to individuals or to groups of individuals services defined as the practice of psychology. A psychologist shall not be entitled to use the term "physician" in any title or designation or in any description of services performed by the psychologist unless such psychologist is otherwise authorized to use such designation by Section 725.2 of this title;&nbsp;</span></p> <p><span class="cls0">3. "Practice of psychology" means the observation, description, evaluation, interpretation, and modification of human behavior by the application of psychological principles, methods, and procedures, for the purpose of preventing or eliminating symptomatic, maladaptive, or undesired behavior and of enhancing interpersonal relationships, work and life adjustment, personal effectiveness, behavioral health, and mental health. The practice of psychology, a branch of the healing arts, includes, but is not limited to, psychological testing and the evaluation or assessment of personal characteristics, such as intelligence, personality, abilities, interests, aptitudes, and neuropsychological functioning; counseling, psychoanalysis, psychotherapy, hypnosis, biofeedback, and behavior analysis and therapy; diagnosis and treatment of mental and emotional disorder or disability, alcoholism and substance abuse, disorders of habit or conduct, as well as of the psychological aspects of physical illness, accident, injury, or disability; and psychoeducational evaluation, therapy, remediation, and consultation. Psychological services may be rendered to individuals, families, groups, and the public. The practice of psychology shall be construed within the meaning of this definition without regard to whether payment is received for services rendered;&nbsp;</span></p> <p><span class="cls0">4. "Health service" means the delivery of direct, preventive, assessment and therapeutic intervention services to individuals whose growth, adjustment, or functioning is actually impaired or may be at risk of impairment; and&nbsp;</span></p> <p><span class="cls0">5. "Health service psychologist" means an individual licensed as a psychologist under the Psychologists Licensing Act to provide health services to the public and who engages in the direct practice of psychology and evidences two (2) years of formal supervised experience conducting psychological intervention services as defined by the rules and regulations of the Board. Effective September 1, 1993, "clinical psychologist" and "licensed clinical psychologist" shall mean "health service psychologist". Wherever in the Oklahoma Statutes or in rules promulgated pursuant thereto reference is made to clinical psychologist or licensed clinical psychologist, it shall mean health service psychologist.&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 347, &sect; 2, emerg. eff. June 28, 1965; Laws 1991, c. 144, &sect; 1, eff. July 1, 1991; Laws 1993, c. 168, &sect; 4, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591352.1. Powers and duties of State Board of Examiners of Psychologists.&nbsp;</span></p> <p><span class="cls0">The State Board of Examiners of Psychologists, in addition to the other powers and duties prescribed by the Psychologists Licensing Act, shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. regulate the practice of psychology in this state; and&nbsp;</span></p> <p><span class="cls0">2. examine and issue the appropriate licenses pursuant to the provisions of the Psychologists Licensing Act to applicants qualified in the practice of psychology; and&nbsp;</span></p> <p><span class="cls0">3. continue in effect, suspend, revoke, modify, or deny, pursuant to the provisions of the Psychologists Licensing Act and such conditions as the Board may prescribe, licenses for the practice of psychology in this state; and&nbsp;</span></p> <p><span class="cls0">4. investigate complaints, and hold hearings pursuant to the provisions of Sections 301 through 326 of Title 75 of the Oklahoma Statutes; and&nbsp;</span></p> <p><span class="cls0">5. initiate prosecution; and&nbsp;</span></p> <p><span class="cls0">6. reprimand or place on probation or both any holder of a license pursuant to the provisions of the Psychologists Licensing Act; and&nbsp;</span></p> <p><span class="cls0">7. adopt and promulgate standards of professional conduct for psychologists; and&nbsp;</span></p> <p><span class="cls0">8. develop and promulgate the rules and regulations necessary to effectuate the provisions of the Psychologists Licensing Act; and 9. enforce the standards and rules and regulations promulgated pursuant to the provisions of the Psychologists Licensing Act; and&nbsp;</span></p> <p><span class="cls0">10. exercise all incidental powers and duties which are necessary and proper to effectuate the provisions of the Psychologists Licensing Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 34, &sect; 1, operative July 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59-1353. License required - Activities exempt.&nbsp;</span></p> <p><span class="cls0">No person shall represent himself or herself as a psychologist or engage in the practice of psychology unless the person is licensed pursuant to the provisions of the Psychologists Licensing Act. The provisions of the Psychologists Licensing Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. The teaching of psychology, the conduct of psychological research, or the provision of psychological services or consultation to organizations or institutions; provided, that such teaching, research, or service does not involve the delivery or supervision of direct psychological services to individuals or groups of individuals who are themselves, rather than a third party, the intended beneficiaries of the services, without regard to the source or extent of payment for services rendered. Nothing in the Psychologists Licensing Act shall prevent the provision of expert testimony by psychologists who are otherwise exempt from the provisions of Section 1351 et seq. of this title. Persons holding an earned doctoral degree in psychology from an institution of higher education may use the title &ldquo;psychologist&rdquo; in conjunction with the activities permitted by this subsection;&nbsp;</span></p> <p><span class="cls0">2. Qualified members of other professions, including, but not limited to, physicians, licensed social workers, licensed professional counselors, licensed marital and family therapists, or pastoral counselors, doing work of a psychological nature consistent with their training and consistent with the code of ethics of their respective professions provided they do not hold themselves out to the public by any title or description incorporating the word psychological, psychologist, or psychology;&nbsp;</span></p> <p><span class="cls0">3. The activities, services, and use of an official title by a person in the employ of a state agency, if such activities, services, and use are a part of the duties of the office or position of such person within an agency or institution;&nbsp;</span></p> <p><span class="cls0">4. The activities and services of a person in the employ of a private, nonprofit behavioral services provider contracting with the state to provide behavioral services to the state if such activities and services are a part of the official duties of such person with the private nonprofit agency.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;psychologist, psychology or psychological,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;psychoanalyst, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(7)&nbsp;&nbsp;marital and family therapist.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Such exemption to the provisions of the Psychologists Licensing Act shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the nonprofit agency contracting with the state. Such exemption will not be applicable to any other setting.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;State agencies contracting to provide behavioral health services will strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly. The persons exempt under the provisions of this act shall provide services that are consistent with their training and experience. Agencies will also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public;&nbsp;</span></p> <p><span class="cls0">5. The activities and services of a person in the employ of a private, for-profit behavioral services provider contracting with the state to provide behavioral services to youth and families in the care and custody of the Office of Juvenile Affairs or the Department of Human Services on March 14, 1997, if such activities and services are a part of the official duties of such person with the private for-profit contracting agency.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;psychologist, psychology or psychological,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;psychoanalyst, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(7)&nbsp;&nbsp;marital and family therapist.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Such exemption to the provisions of this act shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the for-profit agency contracting with the state. Such exemption shall only be available for ongoing contracts and contract renewals with the same state agency and will not be applicable to any other setting.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;State agencies contracting to provide behavioral health services will strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly. The persons exempt under the provisions of this act shall provide services that are consistent with their training and experience. Agencies will also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public;&nbsp;</span></p> <p><span class="cls0">6. The activities and services of a student, intern, or resident in psychology, pursuing a course of study at a university or college that is regionally accredited by an organization recognized by the United States Department of Education, or working in a training center recognized by that university or college, if the activities and services constitute a part of the supervised course of study for the student, intern, or resident;&nbsp;</span></p> <p><span class="cls0">7. Individuals who have been certified as school psychologists by the State Department of Education. They shall be permitted to use the term &ldquo;certified school psychologist&rdquo;. Such persons shall be restricted in their practice to employment within those settings under the purview of the State Board of Education;&nbsp;</span></p> <p><span class="cls0">8. The activities and services of a person who performs psychological services pursuant to the direct supervision of a licensed psychologist or psychiatrist or an applicant for licensure who is engaged in the applicant's postdoctoral year of supervision. Such person shall be subject to approval by the Board and to such rules as the Board may prescribe pursuant to the provisions of the Psychologists Licensing Act;&nbsp;</span></p> <p><span class="cls0">9. The activities and services of a nonresident of this state who renders consulting or other psychological services if such activities and services are rendered for a period which does not exceed in the aggregate more than five (5) days during any year and if the nonresident is authorized pursuant to the laws of the state or country of the person&rsquo;s residence to perform these activities and services. Such person shall inform the Board prior to initiation of services;&nbsp;</span></p> <p><span class="cls0">10. The activities and services of a nonresident of this state who renders consulting or other psychological services if such activities and services are rendered in cooperation with the American Red Cross or as a member of the Disaster Response Network of the American Psychological Association. The Board shall be informed prior to initiation of services; or&nbsp;</span></p> <p><span class="cls0">11. For one (1) year, the activities and services of a person who has recently become a resident of this state and has had his or her application for licensing accepted by the Board, and if the person was authorized by the laws of the state or country of his or her former residence to perform such activities and services.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 3, emerg. eff. June 28, 1965. Amended by Laws 1984, c. 34, &sect; 2, operative July 1, 1984; Laws 1991, c. 144, &sect; 2, eff. July 1, 1991; Laws 1993, c. 168, &sect; 5, eff. Sept. 1, 1993; Laws 1998, c. 291, &sect; 1; Laws 1999, c. 1, &sect; 17, emerg. eff. Feb. 24, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, c. 153, &sect; 2 repealed by Laws 1999, c. 1, &sect; 45, emerg. eff. Feb. 24, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1354. Board of Examiners of Psychologists - Membership - Tenure - Oath.&nbsp;</span></p> <p><span class="cls0">There is hereby re-created, to continue until July 1, 2019, pursuant to the provisions of the Oklahoma Sunset Law, the State Board of Examiners of Psychologists. The Board shall administer the provisions of the Psychologists Licensing Act. The Board shall consist of seven (7) members appointed by the Governor. Five members shall be psychologists from various areas in psychology and two members shall be lay persons. At the expiration of the term of each Board member who is a psychologist, the Governor shall appoint a successor from a list of ten licensed psychologists which is provided by the Oklahoma State Psychological Association. Members shall serve for a term of four (4) years and until a successor is appointed and qualified. Before entering upon the duties of office, each member of the Board shall take the constitutional oath of office and file it with the Secretary of State.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 4, emerg. eff. June 28, 1965. Amended by Laws 1979, c. 121, &sect; 5, emerg. eff. May 1, 1979; Laws 1983, c. 55, &sect; 1, operative July 1, 1983; Laws 1985, c. 24, &sect; 1, operative July 1, 1985; Laws 1991, c. 144, &sect; 3, eff. July 1, 1991; Laws 1997, c. 35, &sect; 1; Laws 2003, c. 14, &sect; 1; Laws 2009, c. 18, &sect; 1; Laws 2013, c. 345, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1991, c. 4, &sect; 1 repealed by Laws 1991, c. 335, &sect; 37, emerg. eff. June 15, 1991.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1355. Qualifications of examiners.&nbsp;</span></p> <p><span class="cls0">Each member of the State Board of Examiners of Psychologists shall be a citizen of the United States and a resident of this state. The members of the Board who are psychologists shall be licensed pursuant to the provisions of the Psychologists Licensing Act. Members of the Board may be reappointed for one four-year term. However, following the termination of a term of service on the Board a former member may be reappointed only after a period of years equal to or greater than the number of years of his or her previous service.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 5, emerg. eff. June 28, 1965. Amended by Laws 1983, c. 55, &sect; 2, operative July 1, 1983; Laws 1991, c. 144, &sect; 4, eff. July 1, 1991; Laws 2004, c. 313, &sect; 18, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;591357. Removal from Board Vacancies.&nbsp;</span></p> <p><span class="cls0">After giving the member a written statement of the charges and an opportunity to be heard thereon, the Governor may remove any member of the Board for misconduct, incompetency, or neglect of duty. Any vacancy in the membership of the Board shall be filled by the Governor for the unexpired term. If there is a vacancy in the psychologist membership of the Board, the Governor shall fill it from a list of ten (10) psychologists which is provided by the Oklahoma State Psychological Association.&nbsp;</span></p> <p><span class="cls0">Amended by Laws 1983, c. 55, &sect; 3, operative July 1, 1983; Laws 1991, c. 144, &sect; 5, eff. July 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591358. Meetings Officers Employees Office space Seal.&nbsp;</span></p> <p><span class="cls0">The Board shall hold a regular meeting at which it shall annually select from its membership a chair and a vice-chair. Other regular meetings shall be held at such times as the rules of the Board may provide. Special meetings may be held at such times as may be deemed necessary by the Board or a majority of its members. Reasonable notice of all meetings shall be given in the manner prescribed by the rules of the Board. Four members of the Board shall constitute a quorum. The secretary of the Board shall be appointed by the Board and shall hold office at the pleasure of the Board. The secretary may be a member of the Board. The Board may employ such other persons and may rent or purchase such office space and office equipment as it deems necessary to implement the provisions of the Psychologists Licensing Act. The Board shall adopt an official seal.&nbsp;</span></p> <p><span class="cls0">Amended by Laws 1983, c. 55, &sect; 4, operative July 1, 1983; Laws 1991, c. 144, &sect; 6, eff. July 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591360. Psychologists Licensing Fund.&nbsp;</span></p> <p><span class="cls0">The secretary of the Board shall receive and account for all monies derived under this act. The secretary shall pay these monies monthly to the State Treasurer who shall keep them in a separate fund to be known as the "Psychologists Licensing Fund". All monies received in said fund are hereby appropriated to the Board. Monies may be paid out of this fund upon proper voucher approved by the chair of the Board and attested by the secretary of the Board. It is further provided that all monies in the "Psychologists Licensing Fund" at the end of each fiscal year, being the unexpended balance of such fund, shall be carried forward and placed to the credit of the "Psychologists Licensing Fund" for the succeeding fiscal year. The Board may make expenditures from this fund for any purpose which is reasonably necessary to carry out the provisions of this act; provided that all reimbursement for expenses shall be paid only from the "Psychologists Licensing Fund". No money shall ever be paid from the General Revenue Fund for the administration of this act and any expenses or liabilities incurred by said Board shall not constitute a charge on any state funds other than said "Psychologists Licensing Fund".&nbsp;</span></p> <p><span class="cls0">Laws 1965, c. 347, &sect; 10, emerg. eff. June 28, 1965; Laws 1980, c. 159, &sect; 15, emerg. eff. April 2, 1980; Laws 1991, c. 144, &sect; 7, eff. July 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1361. Code of ethics.&nbsp;</span></p> <p><span class="cls0">The State Board of Examiners of Psychologists shall publish a code of ethics. The code shall take into account the professional character of psychological service and shall be designed to protect the interest of the client and the public. In developing and revising this code, the Board shall hold hearings where interested persons may be heard on the subject and the Board may take into account the Ethical Principles of Psychologists and Code of Conduct promulgated by the American Psychological Association and the Code of Conduct promulgated by the Association of State and Provincial Psychology Boards.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 11, emerg. eff. June 28, 1965. Amended by Laws 2004, c. 313, &sect; 19, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;591362. Qualifications of applicants for examination.&nbsp;</span></p> <p><span class="cls0">An applicant is qualified to take the examination to be licensed when the applicant has met the following criteria:&nbsp;</span></p> <p><span class="cls0">1. Applicants for licensure shall possess a doctoral degree in psychology from an institution of higher education. The degree shall be obtained from a recognized program of graduate study in psychology as defined by the rules and regulations of the Board. By January 1, 1997, applicants for licensure shall have completed a doctoral program in psychology that is accredited by the American Psychological Association (APA). In areas where no accreditation exists, applicants for licensure shall have completed a doctoral program in psychology that meets recognized acceptable professional standards as determined by the Board. When a new specialty of professional psychology is recognized as being within the accreditation scope of the APA, doctoral programs within that specialty will be afforded a transition period of eight (8) years from their first class of students to the time of their accreditation. During that transition period, graduates of such programs may sit for licensure examination whether or not the program has been accredited. This also applies to new doctoral programs of specialties previously recognized within the scope of APA accreditation. Applicants trained in institutions outside the United States shall meet requirements established by the Board.&nbsp;</span></p> <p><span class="cls0">2. For admission to the licensure examination, applicants shall demonstrate that they have completed two (2) years of supervised professional experience, one (1) year of which shall be postdoctoral. In accordance with the rules and regulations promulgated by the Board, applicants may be allowed to sit for examination during the applicant's second year of experience. The criteria for appropriate supervision shall be in accordance with regulations which shall be promulgated by the Board. Postdoctoral experience shall be compatible with the knowledge and skills acquired during formal doctoral or postdoctoral education in accordance with professional requirements and relevant to the intended area of practice.&nbsp;</span></p> <p><span class="cls0">3. Applicants shall be required to show evidence of good character; that is, that they have not been convicted of a criminal offense that bears directly on the fitness of the individual to be licensed.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Amended by Laws 1984, c. 34, &sect; 3, operative July 1, 1984; Laws 1991, c. 144, &sect; 8, eff. July 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1362.1. Health service psychologists - Certification - Demonstration of prior service - Conditions.&nbsp;</span></p> <p><span class="cls0">A. Any licensed psychologist who independently provides or offers to provide health services to the public shall be certified as a Health Service Psychologist by the State Board of Examiners of Psychologists. The Board shall certify as a Health Service Psychologist an applicant who demonstrates that the applicant has at least two (2) years of full-time supervised health service experience as defined by the rules and regulations of the Board.&nbsp;</span></p> <p><span class="cls0">B. Notwithstanding the provisions of Section 1362 of this title, the applicant shall be certified by the Board as a Health Service Psychologist if the applicant meets one of the following conditions:&nbsp;</span></p> <p><span class="cls0">1. The psychologist is Board certified by the American Board of Professional Psychology; or&nbsp;</span></p> <p><span class="cls0">2. The psychologist has the equivalent of two (2) years of full-time experience satisfactory to the Board, one year of which was a doctoral internship, and one year of which was postdoctoral, at a site where health services are provided.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 144, &sect; 9, eff. July 1, 1991. Amended by Laws 2004, c. 313, &sect; 20, emerg. eff. May 19, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591363. Application form.&nbsp;</span></p> <p><span class="cls0">Application for examination for a license as a psychologist or for a license without examination shall be upon the forms prescribed by the Board. The Board may require that the application be verified. The fee for the license shall accompany the application.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 13, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591364. Documentary evidence as to experience.&nbsp;</span></p> <p><span class="cls0">In determining the acceptability of the applicant's professional experience, the Board may require such documentary evidence of the quality, scope, and nature of the applicant's experience as it deems necessary.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 14, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591365. Examinations Time Scope Reexaminations.&nbsp;</span></p> <p><span class="cls0">The Board shall administer examinations to qualified applicants at least once a year. The Board shall determine the subject and scope of the examinations. Written examinations may be supplemented by such oral examinations as the Board shall determine. An applicant who fails his examination may be reexamined at a subsequent examination upon payment of another licensing fee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 15, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591366. Issuance of license License without examination.&nbsp;</span></p> <p><span class="cls0">The Oklahoma State Board of Examiners of Psychologists may issue a license pursuant to the provisions of the Psychologists Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. To a qualified applicant who has successfully passed the examination prescribed by the Board and who has paid the fee required by the rules promulgated pursuant to the provisions of the Psychologists Licensing Act; or&nbsp;</span></p> <p><span class="cls0">2. Upon application to the Board and payment of the fees required by the Board by rules of the Board promulgated pursuant to the provisions of the Psychologists Licensing Act, to any person who is a diplomate of the American Board of Professional Psychology, or who holds a current Certificate of Professional Qualification in Psychology from the Association of State and Provincial Psychology Boards, or who is licensed as a psychologist by a state with which the Board has established a formal written agreement of reciprocity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 16, emerg. eff. June 28, 1965. Amended by Laws 1984, c. 34, &sect; 4, operative July 1, 1984; Laws 1991, c. 144, &sect; 10, eff. July 1, 1991; Laws 1998, c. 291, &sect; 2.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1367. Amount of fees.&nbsp;</span></p> <p><span class="cls0">The application fee and the annual renewal fee shall be amounts fixed by the Oklahoma State Board of Examiners of Psychologists. The Board shall fix the amount of the fees so that the total fees collected will be sufficient to meet the expenses of administering the provisions of the Psychologists Licensing Act and so there are no unnecessary surpluses in the "Psychologists Licensing Fund".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 17, emerg. eff. June 28, 1965. Amended by Laws 1974, c. 176, &sect; 1, operative July 1, 1974; Laws 1977, c. 65, &sect; 1; Laws 1983, c. 55, &sect; 5, operative July 1, 1983; Laws 1993, c. 168, &sect; 6, eff. Sept. 1, 1993; Laws 2004, c. 313, &sect; 21, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1368. Licenses - Contents - Renewals - Inactive status.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Examiners of Psychologists shall issue a license to each person that it registers as a psychologist. The license shall show the full name of the psychologist and shall bear a serial number. The license shall be signed by the chairman and secretary of the Board under the seal of the Board.&nbsp;</span></p> <p><span class="cls0">B. Licenses expire on the thirtyfirst day of December following their issuance or renewal and are invalid thereafter unless renewed.&nbsp;</span></p> <p><span class="cls0">C. The Board shall notify every person licensed under this act of the date of expiration and the amount of the renewal fee. This notice shall be mailed at least one (1) month before the expiration of the license. Renewal may be made at any time during the months of November or December upon application therefor by payment of the renewal fee. Failure on the part of any person licensed to pay his or her renewal fee before the first day of January does not deprive such person of the right to renew his or her license, but the fee to be paid for renewal after December shall be increased ten percent (10%) for each month or fraction thereof that the payment of the renewal fee is delayed. However, the maximum fee for delayed renewal shall not exceed twice the normal renewal fee. A psychologist who wishes to place his or her license on inactive status may do so upon application by payment of a fee as fixed by the Board; such a psychologist shall not accrue any penalty for late payment of the renewal fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 18, emerg. eff. June 28, 1965. Amended by Laws 1974, c. 305, &sect; 1, emerg. eff. May 29, 1974; Laws 1977, c. 65, &sect; 2; Laws 2004, c. 313, &sect; 22, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;591368.1. Continuing education.&nbsp;</span></p> <p><span class="cls0">The Board is hereby authorized to establish requirements of continuing education as a condition for the renewal of licensure of psychologists; however, rules and regulations concerning accreditation of continuing education programs and other educational experience, and the assignment of credit for participation therein must be promulgated by the board at least one (1) year prior to implementation of continuing education.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 206, &sect; 67, operative July 1, 1987; Laws 1987, c. 236, &sect; 35, emerg. eff. July 20, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1369. List of licensed psychologists.&nbsp;</span></p> <p><span class="cls0">The State Board of Examiners of Psychologists shall annually publish a list of all psychologists licensed under this act. The list shall contain the name and address of the psychologist and such other information that the Board deems desirable. The list shall be arranged both alphabetically and geographically. The Board shall mail a copy of this list to each person licensed under this act, shall place a copy on file with the Secretary of State and shall furnish copies to the public upon request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 19, eff. June 28, 1965. Amended by Laws 2004, c. 313, &sect; 23, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1370. Standards of conduct - Suspension, probation, remediation, revocation of license - Notice of hearing - Orders - Service - Restoration of license, reduction of suspension or probation period, withdrawal of reprimand.&nbsp;</span></p> <p><span class="cls0">A. A psychologist and any other persons under the supervision of the psychologist shall conduct their professional activities in conformity with ethical and professional standards promulgated by the State Board of Examiners of Psychologists by rule.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the power and duty to suspend, place on probation, require remediation, or revoke any license to practice psychology or to take any other action specified in the rules whenever the Board shall find by clear and convincing evidence that the psychologist has engaged in any of the following acts or offenses:&nbsp;</span></p> <p><span class="cls0">1. Fraud in applying for or procuring a license to practice psychology;&nbsp;</span></p> <p><span class="cls0">2. Immoral, unprofessional, or dishonorable conduct as defined in the rules promulgated by the Board;&nbsp;</span></p> <p><span class="cls0">3. Practicing psychology in a manner as to endanger the welfare of clients or patients;&nbsp;</span></p> <p><span class="cls0">4. Conviction of a felony. A copy of the record of conviction, certified by the clerk of the court entering the conviction shall be conclusive evidence of conviction;&nbsp;</span></p> <p><span class="cls0">5. Conviction of any crime or offense that reflects the inability of the practitioner to practice psychology with due regard for the health and safety of clients or patients;&nbsp;</span></p> <p><span class="cls0">6. Harassment, intimidation, or abuse, sexual or otherwise, of a client or patient;&nbsp;</span></p> <p><span class="cls0">7. Engaging in sexual intercourse or other sexual contact with a client or patient;&nbsp;</span></p> <p><span class="cls0">8. Use of repeated untruthful, deceptive or improbable statements concerning the licensee's qualifications or the effects or results of proposed treatment, including practicing outside of the psychologist's professional competence established by education, training, and experience;&nbsp;</span></p> <p><span class="cls0">9. Gross malpractice or repeated malpractice or gross negligence in the practice of psychology;&nbsp;</span></p> <p><span class="cls0">10. Aiding or abetting the practice of psychology by any person not approved by the Board or not otherwise exempt from the provisions of Section 1351 et seq. of this title;&nbsp;</span></p> <p><span class="cls0">11. Conviction of or pleading guilty or nolo contendre to fraud in filing Medicare or Medicaid claims or in filing claims with any third party payor. A copy of the record of plea or conviction, certified by the clerk of the court entering the plea or conviction, shall be conclusive evidence of the plea or conviction;&nbsp;</span></p> <p><span class="cls0">12. Exercising undue influence in a manner to exploit the client, patient, student, or supervisee for financial advantage beyond the payment of professional fees or for other personal advantage to the practitioner or a third party;&nbsp;</span></p> <p><span class="cls0">13. The suspension or revocation by another state of a license to practice psychology. A certified copy of the record of suspension or revocation of the state making such a suspension or revocation shall be conclusive evidence thereof;&nbsp;</span></p> <p><span class="cls0">14. Refusal to appear before the Board after having been ordered to do so in writing by the executive officer or chair of the Board;&nbsp;</span></p> <p><span class="cls0">15. Making any fraudulent or untrue statement to the Board;&nbsp;</span></p> <p><span class="cls0">16. Violation of the code of ethics adopted in the rules and regulations of the Board; and&nbsp;</span></p> <p><span class="cls0">17. Inability to practice psychology with reasonable skill and safety to patients or clients by reason of illness, inebriation, misuse of drugs, narcotics, alcohol, chemicals, or any other substance, or as a result of any mental or physical condition.&nbsp;</span></p> <p><span class="cls0">C. No license shall be suspended or revoked nor the licensee placed on probation or reprimanded until the licensee has been given an opportunity for a hearing before the Board pursuant to the provisions of subsection D of this section. Whenever the Board determines that there has been a violation of any of the provisions of the Psychologists Licensing Act or of any order of the Board, it shall give written notice to the alleged violator specifying the cause of complaint. The notice shall require that the alleged violator appear before the Board at a time and place specified in the notice and answer the charges specified in the notice. The notice shall be delivered to the alleged violator in accordance with the provisions of subsection E of this section not less than ten (10) days before the time set for the hearing.&nbsp;</span></p> <p><span class="cls0">D. On the basis of the evidence produced at the hearing, the Board shall make findings of fact and conclusions of law and enter an order thereon in writing or stated in the record. A final order adverse to the alleged violator shall be in writing. An order stated in the record shall become effective immediately, provided the Board gives written notice of the order to the alleged violator and to the other persons who appeared at the hearing and made written request for notice of the order. If the hearing is held before any person other than the Board itself, such person shall transmit the record of the hearing together with recommendations for findings of fact and conclusions of law to the Board, which shall thereupon enter its order. The Board may enter its order on the basis of such record or, before issuing its order, require additional hearings or further evidence to be presented. The order of the Board shall become final and binding on all parties unless appealed to the district court as provided for in the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">E. Except as otherwise expressly provided for by law, any notice, order, or other instrument issued by or pursuant to the authority of the Board may be served on any person affected, by publication or by mailing a copy of the notice, order, or other instrument by registered mail directed to the person affected at the last-known post office address of such person as shown by the files or records of the Board. Proof of the service shall be made as in case of service of a summons or by publication in a civil action. Proof of mailing may be made by the affidavit of the person who mailed the notice. Proof of service shall be filed in the office of the Board.&nbsp;</span></p> <p><span class="cls0">F. Every certificate or affidavit of service made and filed as provided for in this section shall be prima facie evidence of the facts stated therein, and a certified copy thereof shall have same force and effect as the original certificate or affidavit of service.&nbsp;</span></p> <p><span class="cls0">G. If the psychologist fails or refuses to appear, the Board may proceed to hearing and determine the charges in his or her absence. If the psychologist pleads guilty, or if upon hearing the charges, a majority of the Board finds them to be true, the Board may enter an order suspending or revoking the license of the psychologist, reprimanding the psychologist, or placing the psychologist on probation or any combination of penalties authorized by the provisions of this section.&nbsp;</span></p> <p><span class="cls0">H. The secretary of the Board shall preserve a record of all proceedings of the hearings and shall furnish a transcript of the hearings to the defendant upon request. The defendant shall prepay the actual cost of preparing the transcript.&nbsp;</span></p> <p><span class="cls0">I. Upon a vote of four of its members, the Board may restore a license which has been revoked, reduce the period of suspension or probation, or withdraw a reprimand.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1965, c. 347, &sect; 20, emerg. eff. June 28, 1965. Amended by Laws 1974, c. 64, &sect; 1, emerg. eff. April 13, 1974; Laws 1984, c. 34, &sect; 5, operative July 1, 1984; Laws 1991, c. 144, &sect; 11, eff. July 1, 1991; Laws 1998, c. 291, &sect; 3; Laws 2004, c. 313, &sect; 24, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;591370.1. Hearing on suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">A. The hearings provided for by Section 1370 of Title 59 of the Oklahoma Statutes shall be conducted by the Board itself at a regular or special meeting of the Board. Such hearings shall be conducted in conformity with and records made thereof as provided by the provisions of Sections 301 through 326 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. It shall continue to be the duty of the Attorney General to issue his official opinion to the Board and to prosecute and defend actions for the Board, if requested to do so.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 34, &sect; 6, operative July 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59-1370.2. Temporary suspension of license.&nbsp;</span></p> <p><span class="cls0">The chair of the State Board of Examiners of Psychologists, upon concurrence of the vice-chair of the Board that an emergency exists for which the immediate suspension of a license is imperative for the public health, safety, and welfare, may conduct a hearing as provided by Section 314 of Title 75 of the Oklahoma Statutes to temporarily suspend the license of any person under the jurisdiction of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 211, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1371. Repealed by Laws 1991, c. 144, &sect; 13, eff. July 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;591373. Injunction.&nbsp;</span></p> <p><span class="cls0">The Board, the Attorney General, or the local district attorney may apply to the district court in the county in which a violation of this act is alleged to have occurred for an order enjoining or restraining the commission or continuance of the acts complained of. Thereupon, the court has jurisdiction of the proceedings and may grant such temporary or permanent injunction or restraining order, without bond, as it deems just and proper. The remedy provided by this section is in addition to, and independent of, any other remedies available for the enforcement of this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 23, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591374. Violations and penalties.&nbsp;</span></p> <p><span class="cls0">Any person who, after the first day of January, 1966, represents himself to be a psychologist or engages in the practice of psychology within this state without being licensed or exempted in accordance with the provisions of this act is guilty of a misdemeanor and, upon conviction, shall be fined not more than Five Hundred Dollars ($500.00) or be confined in jail for not more than six (6) months, or both. Each day of violation is a separate offense.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 24, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591375. Annual reports.&nbsp;</span></p> <p><span class="cls0">The Board shall make an annual report to the Governor, not later than the 15th day of November of each year, which report shall contain an account of all monies received, licenses issued, suspended, or revoked and all expenditures made by said Board in the twelve (12) months prior to said date.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 25, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;59-1376. Confidential communications - Disclosure - Exceptions - Threats of patient to self or others - Patient in custody of Department of Corrections - Law enforcement purposes.&nbsp;</span></p> <p><span class="cls0">All communications between a licensed psychologist and the individual with whom the psychologist engages in the practice of psychology are confidential. At the initiation of the professional relationship the psychologist shall inform the patient of the following limitations to the confidentiality of their communications. No psychologist, colleague, agent or employee of any psychologist, whether professional, clerical, academic or therapeutic, shall disclose any information acquired or revealed in the course of or in connection with the performance of the psychologist&rsquo;s professional services, including the fact, circumstances, findings or records of such services, except under the following circumstances:&nbsp;</span></p> <p><span class="cls0">1. Pursuant to the provisions of Section 2503 of Title 12 of the Oklahoma Statutes or where otherwise provided by law;&nbsp;</span></p> <p><span class="cls0">2. Upon express, written consent of the patient;&nbsp;</span></p> <p><span class="cls0">3. Upon the need to disclose information to protect the rights and safety of self or others if:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the patient presents a clear and present danger to himself and refuses explicitly or by behavior to voluntarily accept further appropriate treatment. In such circumstances, where the psychologist has a reasonable basis to believe that a patient can be committed to a hospital pursuant to Section 5-401 of Title 43A of the Oklahoma Statutes, the psychologist shall have a duty to seek commitment. The psychologist may also contact members of the patient&rsquo;s family, or other individuals if in the opinion of the psychologist, such contact would assist in protecting the safety of the patient,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the patient has communicated to the psychologist an explicit threat to kill or inflict serious bodily injury upon a reasonably identified person and the patient has the apparent intent and ability to carry out the threat. In such circumstances the psychologist shall have a duty to take reasonable precautions. A psychologist shall be deemed to have taken reasonable precautions if the psychologist makes reasonable efforts to take one or more of the following actions:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;communicates a threat of death or serious bodily injury to the reasonably identified person,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;notifies an appropriate law enforcement agency in the vicinity where the patient or any potential victim resides,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;arranges for the patient to be hospitalized voluntarily, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;takes appropriate steps to initiate proceedings for involuntary hospitalization pursuant to law,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the patient has a history of physical violence which is known to the psychologist and the psychologist has a reasonable basis to believe that there is a clear and imminent danger that the patient will attempt to kill or inflict serious bodily injury upon a reasonably identified person. In such circumstances the psychologist shall have a duty to take reasonable precaution. A psychologist shall be deemed to have taken reasonable precautions if the psychologist makes reasonable efforts to take one or more of the following actions:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;communicates a threat of death or serious bodily injury to the reasonably identified person,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;notifies an appropriate law enforcement agency in the vicinity where the patient or any potential victim resides,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;arranges for the patient to be hospitalized voluntarily,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;takes appropriate steps to initiate proceedings for involuntary hospitalization pursuant to law,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;nothing contained in subparagraph b of this paragraph shall require a psychologist to take any action which, in the exercise of reasonable professional judgment, would endanger the psychologist or increase the danger to a potential victim or victims, or&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;the psychologist shall only disclose that information which is essential in order to protect the rights and safety of others;&nbsp;</span></p> <p><span class="cls0">4. In order to collect amounts owed by the patient for professional services rendered by the psychologist or employees of the psychologist. Provided, the psychologist may only disclose the nature of services provided, the dates of services, the amount due for services and other relevant financial information. If the patient raises as a defense to said action, a substantive assertion concerning the competence of the psychologist or the quality of the services provided, the psychologist may disclose whatever information is necessary to rebut such assertion;&nbsp;</span></p> <p><span class="cls0">5. In any proceeding brought by the patient against the psychologist and in any malpractice, criminal or license revocation proceeding in which disclosure is necessary or relevant to the claim or defense of the psychologist;&nbsp;</span></p> <p><span class="cls0">6. In such other situations as shall be defined by the rules and regulations of the Board; or&nbsp;</span></p> <p><span class="cls0">7. When the patient is an inmate in the custody of the Department of Corrections or a private prison or facility under contract with the Department of Corrections, and the release of the information is necessary:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;to prevent or lessen a serious and imminent threat to the health or safety of a person or the public, and it is to a person or persons reasonably able to prevent or lessen the threat, including the target of the threat, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;for law enforcement authorities to identify or apprehend an individual where it appears from all the circumstances that the individual has escaped from a correctional institution or from lawful custody.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1991, c. 144, &sect; 12, eff. July 1, 1991. Amended by Laws 2004, c. 168, &sect; 14, emerg. eff. April 27, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1401. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1402. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1403. Renumbered as &sect; 1426 of this title by Laws 2008, c. 391, &sect; 10, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1404. Repealed by Laws 1997, c. 205, &sect; 7, eff. Nov. 1, 1997.&nbsp;</span></p> <p><span class="cls0">&sect;59-1405. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1406. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1406A. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1407. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1408. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1410. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1411. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1412. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Prior to repeal this section was amended by Laws 2008, c. 103, &sect; 1, emerg. eff. May 2, 2008 to read as follows:&nbsp;</span></p> <p><span class="cls0">A. A junk dealer or salvage dealer licensed or permitted to do business in this state shall not purchase any of the following items without obtaining proof that the seller owns the property, either by receipt, bill of sale or other proof of ownership, or proof that the seller is an employee, agent, or contractor of a governmental entity, utility company, cemetery, railroad, manufacturer, or other person, business or entity owning the property and the seller is authorized to sell the item on behalf of the person, business or entity owning the property:&nbsp;</span></p> <p><span class="cls0">1. A manhole cover;&nbsp;</span></p> <p><span class="cls0">2. An electric light pole and its fixtures and hardware or any other hardware associated with the electric utility system;&nbsp;</span></p> <p><span class="cls0">3. A guard rail;&nbsp;</span></p> <p><span class="cls0">4. A street sign, traffic sign or traffic signal and its fixtures or hardware;&nbsp;</span></p> <p><span class="cls0">5. Communications, transmission and service wire;&nbsp;</span></p> <p><span class="cls0">6. A funeral marker or funeral vase;&nbsp;</span></p> <p><span class="cls0">7. A historical marker;&nbsp;</span></p> <p><span class="cls0">8. Railroad equipment, including, but not limited to, a tie plate, switch plate, E clip or rail tie junction;&nbsp;</span></p> <p><span class="cls0">9. Any metal item that is marked with any form of the name, initials or logo of a governmental entity, utility company, cemetery or railroad;&nbsp;</span></p> <p><span class="cls0">10. A copper or aluminum condensing or evaporating coil from a heating or air conditioning unit;&nbsp;</span></p> <p><span class="cls0">11. An aluminum or stainless steel container or bottle designed to hold propane for fueling fork lifts;&nbsp;</span></p> <p><span class="cls0">12. Metal bleachers or other seating facilities used in recreational areas or sporting arenas;&nbsp;</span></p> <p><span class="cls0">13. Automotive catalytic converters;&nbsp;</span></p> <p><span class="cls0">14. Plumbing or electrical fixtures;&nbsp;</span></p> <p><span class="cls0">15. Tools;&nbsp;</span></p> <p><span class="cls0">16. Machinery or supplies commonly used in the drilling, completing, operating or repairing of oil or gas wells; and&nbsp;</span></p> <p><span class="cls0">17. Metal beer kegs that are clearly marked as being the property of the beer manufacturer.&nbsp;</span></p> <p><span class="cls0">B. Any person convicted of a violation of this section shall be punishable by a fine of not more than Two Thousand Five Hundred Dollars ($2,500.00). A second or subsequent violation of this section shall be punishable by a fine of not more than Five Thousand Dollars ($5,000.00). A third violation of this section shall be punishable by a fine of Ten Thousand Dollars ($10,000.00) and forfeiture of the junk dealer's or salvage dealer's license or permit.&nbsp;</span></p> <p><span class="cls0">&sect;59-1413. Repealed by Laws 2008, c. 391, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1421. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Oklahoma Scrap Metal Dealers Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 391, &sect; 1, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1422. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Scrap Metal Dealers Act:&nbsp;</span></p> <p><span class="cls0">1. "Aluminum material" means the metal aluminum or aluminum alloy or anything made of either aluminum or aluminum alloy, except aluminum beverage cans;&nbsp;</span></p> <p><span class="cls0">2. "Copper material" means the metal copper or copper alloy or anything made of either copper or copper alloy;&nbsp;</span></p> <p><span class="cls0">3. "Department" means the Oklahoma Department of Agriculture, Food, and Forestry and its employees, officers and divisions;&nbsp;</span></p> <p><span class="cls0">4. "Exempted seller" means any person, firm, corporation or municipal corporation which constructs, operates or maintains electric distribution and transmission or communications facilities; or any person, firm or corporation that produces or otherwise acquires any scrap metal regulated by the provisions of the Oklahoma Scrap Metal Dealers Act in the normal course of business as:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;mechanical, electrical or plumbing contractor licensed to do business in this state,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;scrap metal dealer (Standard Industrial Classification Codes 5051 or 5093), licensed pursuant to the provisions of the Oklahoma Scrap Metal Dealers Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;holder of a farm-use tax permit,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;manufacturer,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;distributor, or&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;retailer;&nbsp;</span></p> <p><span class="cls0">5. "License" means a scrap metal dealer license;&nbsp;</span></p> <p><span class="cls0">6. "Scrap metal" means any copper material or aluminum material or any item listed in Section 1424 of this title, offered for sale or resale or purchased by any person, firm or corporation;&nbsp;</span></p> <p><span class="cls0">7. "Scrap metal dealer" means any person, firm or corporation being an owner, keeper or proprietor of a retail or wholesale business which buys, sells, salvages, processes or otherwise handles scrap metal materials regulated by the provisions of the Oklahoma Scrap Metal Dealers Act; and&nbsp;</span></p> <p><span class="cls0">8. "Yard" means the place where any scrap metal dealer stores scrap metal materials or keeps such materials for purpose of sale.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 391, &sect; 2, eff. Nov. 1, 2008. Amended by Laws 2013, c. 230, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1423. Records of data - Holding period - Unlawful activities - Declaration of ownership - Vehicle purchase.&nbsp;</span></p> <p><span class="cls0">A. Every scrap metal dealer shall keep a separate book, record or other electronic system as authorized by the Oklahoma Scrap Metal Dealers Act, to record and maintain the following data from any seller of any amount of scrap metal as defined by the Oklahoma Scrap Metal Dealers Act:&nbsp;</span></p> <p><span class="cls0">1. A legible photocopy of the seller's driver license or other form of government issued photo identification that contains his or her name, address, date of birth, weight and height;&nbsp;</span></p> <p><span class="cls0">2. Vehicle description and license tag number of the seller if the vehicle was used to transport the material being sold;&nbsp;</span></p> <p><span class="cls0">3. Date and place of the transaction and the transaction number as provided by the scrap metal dealer;&nbsp;</span></p> <p><span class="cls0">4. Description of the items sold and weight of the items as required by the provisions of the Oklahoma Scrap Metal Dealers Act;&nbsp;</span></p> <p><span class="cls0">5. Whether the scrap metal is in wire, cable, bar, rod, sheet or tube form;&nbsp;</span></p> <p><span class="cls0">6. If any insulation is on the scrap metal, the names and addresses of the persons, groups or corporations from whom seller purchased or obtained the materials; and&nbsp;</span></p> <p><span class="cls0">7. If apparent on the scrap metal, the name of the manufacturer and serial number of each item of scrap metal.&nbsp;</span></p> <p><span class="cls0">B. Municipalities or other political subdivisions may adopt, and scrap metal dealers shall abide by, local ordinances regarding the format of the information required by subsection A of this section, either written or electronic.&nbsp;</span></p> <p><span class="cls0">C. Records required by this section shall be made available at any time to any person authorized by law for such inspection.&nbsp;</span></p> <p><span class="cls0">D. Purchases of thirty-five (35) pounds or more of scrap metal containing a manufacturer's serial number or other unique label or mark shall be held separate and apart so that the purchased scrap metal may be readily identifiable from all other purchases for a period of not less than ten (10) days from the date of purchase. During the holding period the scrap metal dealer may not change the form of the purchased scrap metal and shall permit any person authorized by law to make inspection of such materials.&nbsp;</span></p> <p><span class="cls0">E. Purchases of thirty-five (35) pounds or more of scrap metal which does not contain a manufacturer's serial number or other unique label or mark shall either be held for the same time and in the same manner as required by subsection D of this section; or in the alternative, the scrap metal dealer shall be required to obtain a digital image of the items purchased, the seller of the items, a copy of the bill of sale and a copy of the seller's photo identification. The digital image shall contain a depiction that can reasonably be utilized for identification of the seller and the items sold and captured in the common JPEG format with a minimum resolution of 640 pixels by 480 pixels. The digital image shall be retained by the purchaser for a minimum of ninety (90) days from the date of purchase. For the purpose of this section a "digital image" means a raster-based two-dimensional, rectangular array of static data elements called pixels, intended for display on a computer monitor or for transformation into another format, such as a printed page.&nbsp;</span></p> <p><span class="cls0">F. No purchase of any amount of scrap metal from an exempted seller, as defined by Section 1422 of this title, shall be subject to any holding period or digital imaging identification required by subsection D or E of this section.&nbsp;</span></p> <p><span class="cls0">G. It shall be unlawful for any person to sell or purchase copper material or copper wire from which the actual or apparent insulation or other coating has been burned, melted or exposed to heat or fire resulting in melting some or all of the insulation or coating. This provision shall not apply to sales by or purchases from an exempted seller.&nbsp;</span></p> <p><span class="cls0">H. It shall be unlawful for any scrap metal dealer to purchase any item from a minor without having first obtained the consent, in writing, of a parent or guardian of such minor. Such written consent shall be kept with the book, record or other electronic recording system required by subsection A of this section and, if requested by a law enforcement agency where the purchase was made, shall be transmitted to the law enforcement agency and may be kept as a permanent record and made available for public inspection.&nbsp;</span></p> <p><span class="cls0">I. A scrap metal dealer shall obtain from each seller of a scrap metal item regulated by the Oklahoma Scrap Metal Dealers Act, or a parent or guardian on behalf of a minor, a written declaration of ownership containing a legible signature of the seller. The declaration of ownership shall be in the following form and shall appear on the bill of sale or transaction ticket to be completed by the seller in the presence of the purchaser at the time of the transaction:&nbsp;</span></p> <p><span class="cls0">"I hereby affirm under penalty of prosecution that I am the rightful owner of the hereon described merchandise; or I am an authorized representative of the rightful owner and affirm that I have been given authority by the rightful owner to sell the hereon described merchandise.&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;&nbsp;&nbsp;______________________________&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;&nbsp;&nbsp;Signature"&nbsp;</span></p> <p><span class="cls0">J. If requested by a law enforcement agency, a scrap metal dealer shall report in writing all purchases of scrap metal as defined by the Oklahoma Scrap Metal Dealers Act within forty-eight (48) hours following such purchase. The report shall contain all the information required by this section.&nbsp;</span></p> <p><span class="cls0">K. A scrap metal dealer purchasing a vehicle from any person shall be required to record the information required in subsection A of this section and the make, model, license tag number and vehicle identification number of the purchased vehicle. A person selling a vehicle to a scrap metal dealer shall be required to present to the dealer the title of the vehicle or a verified bill of sale from the owner of the vehicle or other proof of ownership in addition to signing a declaration of ownership as required by subsection I of this section. The provisions of this subsection shall not apply to sales, purchases or other transfer of vehicles between scrap metal dealers and licensed automotive dismantlers and parts recyclers.&nbsp;</span></p> <p><span class="cls0">L. The provisions of the Oklahoma Scrap Metal Dealers Act shall not apply to the sale or purchase of aluminum beverage cans for recycling purposes.&nbsp;</span></p> <p><span class="cls0">M. A scrap metal dealer shall not enter into any cash transactions in excess of One Thousand Dollars ($1,000.00) in payment for the purchase of scrap metal that is listed in subsection B of Section 1424 of this title unless the transaction is made with an exempted seller. Payment by check shall be issued and made payable only to the seller of the scrap metal whose identification information has been obtained pursuant to the provisions of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 391, &sect; 3, eff. Nov. 1, 2008. Amended by Laws 2013, c. 230, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1424. Items not to be purchased - Items regulated.&nbsp;</span></p> <p><span class="cls0">A. Scrap metal dealers permitted to do business in this state as required by the Oklahoma Scrap Metal Dealers Act shall not purchase any item listed in subsection B of this section without:&nbsp;</span></p> <p><span class="cls0">1. Obtaining proof that the seller owns or is authorized to sell the property, by evidence of a receipt of purchase or a bill of sale for the property; and&nbsp;</span></p> <p><span class="cls0">2. Requiring the seller to sign a written declaration in the form required by subsection I of Section 3 of this act; or&nbsp;</span></p> <p><span class="cls0">3. Obtaining proof that the seller is an exempted seller or an employee of an exempted seller, as defined in Section 2 of this act.&nbsp;</span></p> <p><span class="cls0">B. The following items are regulated by the provisions of this act:&nbsp;</span></p> <p><span class="cls0">1. Manhole covers, street signs, traffic signs, traffic signals including their fixtures and hardware, or any other identifiable public property;&nbsp;</span></p> <p><span class="cls0">2. Electric light poles, including their fixtures and hardware, electric transmission or distribution cable and wires, and any other hardware associated with electric utility or telecommunication systems;&nbsp;</span></p> <p><span class="cls0">3. Highway guard rails;&nbsp;</span></p> <p><span class="cls0">4. Funeral markers, plaques or funeral vases;&nbsp;</span></p> <p><span class="cls0">5. Historical markers or public artifacts;&nbsp;</span></p> <p><span class="cls0">6. Railroad equipment;&nbsp;</span></p> <p><span class="cls0">7. Any metal item marked with any form of the name, initials or logo of a governmental entity, utility, cemetery or railroad;&nbsp;</span></p> <p><span class="cls0">8. Condensing or evaporating coil from a heating or air conditioning unit;&nbsp;</span></p> <p><span class="cls0">9. Aluminum or stainless steel containers or bottles designed to contain fuel;&nbsp;</span></p> <p><span class="cls0">10. Metal beer kegs that are clearly marked as being the property of the beer manufacturer;&nbsp;</span></p> <p><span class="cls0">11. Metal bleachers or other seating facilities used in recreational areas or sporting arenas;&nbsp;</span></p> <p><span class="cls0">12. Automotive catalytic converters;&nbsp;</span></p> <p><span class="cls0">13. Plumbing or electrical fixtures;&nbsp;</span></p> <p><span class="cls0">14. Tools;&nbsp;</span></p> <p><span class="cls0">15. Machinery or supplies commonly used in the drilling, completing, operating or repairing of oil or gas wells; and&nbsp;</span></p> <p><span class="cls0">16. Stainless steel fittings and fixtures commonly used in the operation of car wash facilities.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 391, &sect; 4, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1425. Violations, penalties - Operating without sales tax permit - Knowingly providing false information - Burnt copper material - Violations reported - Revocation of permit.&nbsp;</span></p> <p><span class="cls0">A. Any person found in violation of any provision of the Oklahoma Scrap Metal Dealers Act, with the exceptions as provided by subsections B, C and D of this section, shall, upon conviction, be guilty of a misdemeanor and punished by a fine of not more than Two Thousand Five Hundred Dollars ($2,500.00) per offense. Any person convicted of a second violation of the Oklahoma Scrap Metal Dealers Act shall be guilty of a misdemeanor and punished by a fine of not more than Five Thousand Dollars ($5,000.00) per offense or by imprisonment in the county jail for a period of not more than six (6) months. Any person convicted of a third or subsequent violation of the Oklahoma Scrap Metal Dealers Act shall be guilty of a felony punishable by a fine of not more than Ten Thousand Dollars ($10,000.00) per offense or by imprisonment in the custody of the Department of Corrections for a period of not more than two (2) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. Any person acting as a scrap metal dealer without a scrap metal dealer license or a sales tax permit as required by the Oklahoma Scrap Metal Dealers Act shall, upon conviction, be guilty of a misdemeanor and punished by a fine of not more than Five Hundred Dollars ($500.00); provided, that each day of operation in violation of the Oklahoma Scrap Metal Dealers Act shall constitute a separate offense.&nbsp;</span></p> <p><span class="cls0">C. Any person who knowingly provides false information with respect to the provisions of subsection I of Section 1423 of this title shall, upon conviction, be guilty of a felony and punished by a fine of Five Thousand Dollars ($5,000.00), or by imprisonment in the custody of the Department of Corrections for a period of not more than two (2) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">D. Any person convicted of purchasing or selling burnt copper material or copper wire as prohibited by subsection G of Section 1423 of this title shall, upon first conviction, be guilty of a misdemeanor and punished by a fine of Two Thousand Five Hundred Dollars ($2,500.00). Any person convicted of a second or subsequent violation shall be guilty of a felony punishable by a fine of Five Thousand Dollars ($5,000.00), or by imprisonment in the custody of the Department of Corrections for a period of not more than two (2) years, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">E. Each scrap metal dealer convicted of a violation of the Oklahoma Scrap Metal Dealers Act shall be reported to the Oklahoma Tax Commission by the clerk of the court rendering such verdict.&nbsp;</span></p> <p><span class="cls0">F. The Tax Commission shall revoke the sales tax permit of any person convicted of three separate violations of the Oklahoma Scrap Metal Dealers Act. The person shall not be eligible to receive a sales tax permit for such purpose for a period of one (1) year following the revocation. The revocation procedure shall be subject to notice and hearing as required by Section 1426 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 391, &sect; 5, eff. Nov. 1, 2008. Amended by Laws 2013, c. 230, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1426. Revocation or suspension of permits - Injunction against dealers - Appeal bond.&nbsp;</span></p> <p><span class="cls0">A. Any sales tax permit, issued pursuant to Section 1364 of Title 68 of the Oklahoma Statutes, to any scrap metal dealer who violates any of the provisions of this act relating to the purchase of copper or aluminum materials or any scrap metal regulated by this act, may be canceled or suspended for a period not to exceed thirty (30) days by the Oklahoma Tax Commission. The Tax Commission may refuse the issuance of or extension or reinstatement of any permit where the applicant or holder of the permit shall have violated any provisions of this act or existing laws. Such cancellation or refusal shall be mandatory as to any scrap metal dealer having been convicted of three separate violations of this act. However, before the Tax Commission may cancel or suspend any permit or refuse the issuance, reinstatement or extension thereof, the Tax Commission shall give each holder of a permit or applicant ten (10) days' notice of a hearing before the Tax Commission, granting such person an opportunity to show cause why such action should not be taken. Upon notice given to any scrap metal dealer by the Tax Commission of its intention to cancel or suspend any permit or to refuse the issuance, reinstatement or extension thereof, the Tax Commission shall have the authority to enter its order suspending such permit or prohibiting the applicant from doing business without a permit pending the final hearing before it as provided for in this section.&nbsp;</span></p> <p><span class="cls0">B. 1. After notice of the order of suspension or prohibition from doing business, it shall be unlawful for the scrap metal dealer to further engage in the business of a scrap metal dealer, as defined herein. In the event any such person shall conduct or at any time continue such unlawful operation, after notice of suspension or prohibition from doing business, the Tax Commission may institute or cause to be brought against such person or persons proceedings for injunction in any court of competent jurisdiction to enjoin and restrain such person or persons from doing business pending the order of the Tax Commission.&nbsp;</span></p> <p><span class="cls0">2. Upon cancellation of a permit by the Tax Commission, no new permit shall be issued to such dealer or any firm, corporation or other legal entity under his or her direct or indirect control or association, for a period of one (1) year from the date of cancellation.&nbsp;</span></p> <p><span class="cls0">3. In all cases where proceedings are brought for injunction under this act, no bond for injunction shall be required and in all such cases, after notice of suspension has been given, no further notice shall be required before the issuance of a temporary restraining order on any proceeding for injunction.&nbsp;</span></p> <p><span class="cls0">C. If an appeal is taken from the order of the Tax Commission issued pursuant to this section, the scrap metal dealer, in order to conduct business as a scrap metal dealer pending outcome of the appeal, shall be required to post a bond in the amount of Five Thousand Dollars ($5,000.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1967, c. 257, &sect; 3, emerg. eff. May 8, 1967. Amended by Laws 1990, c. 139, &sect; 4, emerg. eff. May 1, 1990; Laws 1997, c. 205, &sect; 3, eff. Nov. 1, 1997; Laws 2008, c. 391, &sect; 6, eff. Nov. 1, 2008. Renumbered from Title 59, &sect; 1403 by Laws 2008, c. 391, &sect; 10, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1427. Sales tax permit required.&nbsp;</span></p> <p><span class="cls0">A. Any person, firm or corporation desiring to become a scrap metal dealer shall be required to obtain a sales tax permit as provided by Section 1364 of Title 68 of the Oklahoma Statutes, from the Oklahoma Tax Commission, for each scrap metal yard owned or operated by such person, firm or corporation.&nbsp;</span></p> <p><span class="cls0">B. The Tax Commission shall maintain a list of scrap metal dealers to whom sales tax permits have been issued and such list shall be made available for public inspection.&nbsp;</span></p> <p><span class="cls0">C. The Tax Commission shall not deny any person, firm or corporation desiring a sales tax permit for the purpose of scrap metal dealing due to insufficient quantity or dollar value of sales necessary to warrant such permit.&nbsp;</span></p> <p><span class="cls0">D. The Tax Commission is authorized to promulgate any rules necessary to implement the provisions of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 391, &sect; 7, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1428. Scrap metal dealer license.&nbsp;</span></p> <p><span class="cls0">Effective November 1, 2013, a person shall not engage in business as a scrap metal dealer in this state without a scrap metal dealer license issued by the Oklahoma Department of Agriculture, Food, and Forestry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 230, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1429. License application.&nbsp;</span></p> <p><span class="cls0">A. An applicant for a license to engage in business as a scrap metal dealer shall provide all of the following information on the license application:&nbsp;</span></p> <p><span class="cls0">1. If the applicant is an individual, the full name and place of residence of the applicant;&nbsp;</span></p> <p><span class="cls0">2. If the applicant is a firm, corporation or other legal entity, the full name, place of residence, and the position of the individual filing the application on behalf of the entity;&nbsp;</span></p> <p><span class="cls0">3. The business address of the location where the scrap metal dealer conducts business or will conduct business as a scrap metal dealer;&nbsp;</span></p> <p><span class="cls0">4. Legal proof of ownership, lease agreement or contract for the business location;&nbsp;</span></p> <p><span class="cls0">5. Proof of a dedicated telephone line for the business location;&nbsp;</span></p> <p><span class="cls0">6. Proof of a general liability insurance policy for the business location;&nbsp;</span></p> <p><span class="cls0">7. Proof of a current discharge permit issued pursuant to the provisions of the Oklahoma Pollutant Discharge Elimination System Act;&nbsp;</span></p> <p><span class="cls0">8. Whether the person has been previously convicted of, or pled guilty or nolo contendere to any felony or to a misdemeanor involving moral turpitude or dishonesty; and&nbsp;</span></p> <p><span class="cls0">9. Any other additional information that will sufficiently enable the Oklahoma Department of Agriculture, Food, and Forestry to determine if the scrap metal dealer is prohibited from being issued a license.&nbsp;</span></p> <p><span class="cls0">B. The Department may conduct any reasonable inquiry or investigation relative to the determination of the fitness of the applicant to be licensed or continue to be licensed including, but not limited to, requiring a national criminal history record check as provided in Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. The Department shall charge an application fee in the amount of One Hundred Dollars ($100.00) for processing an initial application for a scrap metal dealer license. The Department shall also charge an investigative fee of One Hundred Dollars ($100.00) to be used for the purpose of conducting an investigation of the applicant. All fees shall be nonrefundable.&nbsp;</span></p> <p><span class="cls0">D. In addition to the application, each applicant shall submit a full set of fingerprints and a photograph with each application for an original license. The fingerprints shall be used for a national criminal history record check as provided for in subsection B of this section. The applicant shall be required to pay for fingerprints, photographs and the national criminal history records check required for licensure and renewals.&nbsp;</span></p> <p><span class="cls0">E. If the results of the investigation of the applicant show no prohibition to granting a license, the Department shall issue the scrap metal dealer license. The scrap metal dealer license shall be valid for a period of one (1) year unless otherwise voluntarily surrendered, suspended or revoked by the Department.&nbsp;</span></p> <p><span class="cls0">F. A scrap metal dealer license issued pursuant to the provisions of this act is valid for the conduct of business as a scrap metal dealer only at the location specified in the application. A separate scrap metal dealer license shall be required for each location specified in the application form and each license shall designate the location to which it applies. The business of the scrap metal dealer shall not be conducted in any place other than that designated by the license. The scrap metal dealer license shall not be transferable.&nbsp;</span></p> <p><span class="cls0">G. The Department shall deny the license when the applicant fails to properly complete the application form or if it is determined that the applicant is not eligible to receive a scrap metal dealer license.&nbsp;</span></p> <p><span class="cls0">H. A scrap metal dealer license may be renewed any time within sixty (60) days prior to the expiration date of the license. To renew a scrap metal dealer license, the licensee must first obtain a renewal form from the Department. The licensee must complete the renewal form and submit a renewal fee in the amount of One Hundred Dollars ($100.00) to the Department. Upon receipt of the renewal application and fee, the Department shall conduct a national criminal history record check and investigate any other records or information deemed by the Department to be relevant to the renewal of the scrap metal dealer license. If the licensee appears not to have any prohibition to renewing the scrap metal dealer license, the Department shall issue the renewed license for a period of one (1) year.&nbsp;</span></p> <p><span class="cls0">I. The Oklahoma Department of Agriculture, Food, and Forestry shall promulgate rules, procedures and forms governing the application and renewal procedures for scrap metal dealer licenses.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 230, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1430. Cancellation, revocation and reissuance of license.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Department of Agriculture, Food, and Forestry may suspend, cancel, revoke, or refuse reissuance of a scrap metal dealer license after the person has an opportunity for public hearing pursuant to the Administrative Procedures Act for any of the following causes:&nbsp;</span></p> <p><span class="cls0">1. Engages in fraud or deceit in obtaining or renewing a license;&nbsp;</span></p> <p><span class="cls0">2. Acts as a scrap metal dealer in this state without a license;&nbsp;</span></p> <p><span class="cls0">3. Aids or abets another person in acting as a scrap metal dealer without a license; or&nbsp;</span></p> <p><span class="cls0">4. Violates any of the provisions of the Oklahoma Scrap Metal Dealers Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 230, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591451. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known, and may be cited, as the Polygraph Examiners Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 140, &sect; 1, emerg. eff. May 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;591452. Purpose.&nbsp;</span></p> <p><span class="cls0">It is the purpose of this act to regulate all persons who purport to be able to detect deception or to verify truth of statements through the use of instrumentation (as lie detectors, polygraphs, deceptographs, and/or similar or related devices and instruments without regard to the nomenclature applied thereto) and this act shall be liberally construed to regulate all such persons and instruments. No person who purports to be able to detect deception or to verify truth of statements through instrumentation shall be held exempt from the provisions of this act because of the terminology which he may use to refer to himself, to his instrument, or to his services.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 140, &sect; 2, emerg. eff. May 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;591453. Definitions.&nbsp;</span></p> <p><span class="cls0">In the Polygraph Examiners Act, unless the context requires a different definition,&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Polygraph Examiners Board,&nbsp;</span></p> <p><span class="cls0">2. "Secretary" means that member of the Polygraph Examiners Board selected by the Board to act as secretary,&nbsp;</span></p> <p><span class="cls0">3. "Internship" means the study of polygraph examination and of the administration of polygraph examinations by a trainee under the personal supervision and control of a polygraph examiner in accordance with a course of study prescribed by the Board at the commencement of such internship,&nbsp;</span></p> <p><span class="cls0">4. "Person" means any natural person, firm, association, copartnership or corporation,&nbsp;</span></p> <p><span class="cls0">5. "Polygraph examiner" means any person who purports to be able to detect deception or verify truth of statements through instrumentation or the use of a mechanical device, and&nbsp;</span></p> <p><span class="cls0">6. "Council" means the Council on Law Enforcement Education and Training.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 2, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591454. Minimum instrumentation requirements.&nbsp;</span></p> <p><span class="cls0">Any instrument used to test or question individuals for the purpose of detecting deception or verifying truth of statements shall record visually, permanently and simultaneously:&nbsp;</span></p> <p><span class="cls0">1. a subject's cardiovascular pattern,&nbsp;</span></p> <p><span class="cls0">2. a subject's respiratory pattern, and&nbsp;</span></p> <p><span class="cls0">3. galvanic skin response pattern.&nbsp;</span></p> <p><span class="cls0">Patterns of other physiological changes in addition to 1, 2 and 3 may also be recorded. The use of any instrument or device to detect deception or to verify truth of statements which does not meet these minimum instrumentation requirements is hereby prohibited and the operation or use of such equipment shall be subject to penalties and may be enjoined in the manner hereinafter provided.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 3, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-1455. Polygraph Examiners Board.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created, to continue until July 1, 2015, in accordance with the provisions of the Oklahoma Sunset Law, the Polygraph Examiners Board.&nbsp;</span></p> <p><span class="cls0">B. 1. The persons serving on the Board on June 30, 1988, shall continue to serve the full terms for which they were originally appointed until their successors have been duly appointed and approved with the advice and consent of the Senate. All future Boards shall continue the staggered terms of office established for the Polygraph Examiners Board prior to July 1, 1988.&nbsp;</span></p> <p><span class="cls0">2. Any actions taken by any state agency on behalf of the Polygraph Examiners Board or in an attempt to enforce the provisions of the Polygraph Examiners Act shall be subject to review by the Board. Any such acts may be rescinded or modified as deemed appropriate by the Board, provided that such action shall not affect any accrued right, or penalty incurred, or proceeding begun between July 1, 1988, and October 12, 1988.&nbsp;</span></p> <p><span class="cls0">3. All funds collected after June 30, 1988, equipment, files, fixtures, furniture, and supplies of the Board which were transferred to the Office of Management and Enterprise Services or State Treasury pursuant to Section 3909 of Title 74 of the Oklahoma Statutes shall be returned to the care and custody of the Board.&nbsp;</span></p> <p><span class="cls0">4. All orders, determinations, rules, regulations, permits, certificates, licenses, contracts, rates, and privileges which have been issued, made, granted, or allowed by the Board and are in effect on June 30, 1988, shall continue in effect according to their terms until further action is taken by the Board or as modified by law.&nbsp;</span></p> <p><span class="cls0">C. The Board shall consist of five (5) members who shall be citizens of the United States and residents of the state for at least two (2) years prior to appointment, all of whom shall have been engaged for a period of two (2) consecutive years as polygraph examiners prior to appointment to the Board, and at the time of appointment active polygraph examiners. No two Board members may be employed by the same person or agency. No more than two members may be appointed from one congressional district. However, when congressional districts are redrawn, each member appointed prior to July 1 of the year in which such modification becomes effective shall complete the current term of office and appointments made after July 1 of the year in which such modification becomes effective shall be based on the redrawn districts. No appointments may be made after July 1 of the year in which such modification becomes effective if such appointment would result in more than two members serving from the same modified district. At least two members must be qualified examiners of a governmental law enforcement agency and at least two members must be qualified polygraph examiners in the commercial field. The members shall be appointed by the Governor of the State of Oklahoma, with the advice and consent of the Senate, for terms of six (6) years. Any vacancy in an unexpired term shall be filled by appointment of the Governor, with the advice and consent of the Senate, for the unexpired term. Except as authorized by the Polygraph Examiners Act, members of the Board shall be paid no fee, expense reimbursement, wage or other compensation for their services.&nbsp;</span></p> <p><span class="cls0">D. The vote of a majority of the Board members is sufficient for passage of any business or proposal which comes before the Board. The Board shall elect a chair, vice-chair, and secretary from among its members.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 140, &sect; 5, emerg. eff. May 17, 1971. Amended by Laws 1973, c. 88, &sect; 1, emerg. eff. May 1, 1973; Laws 1981, c. 321, &sect; 1; Laws 1985, c. 189, &sect; 4, operative July 1, 1985; Laws 1988, c. 225, &sect; 15; Laws 1993, c. 89, &sect; 1, emerg. eff. April 18, 1993; Laws 1999, c. 18, &sect; 1; Laws 2002, c. 375, &sect; 11, eff. Nov. 5, 2002; Laws 2003, c. 229, &sect; 3, emerg. eff. May 20, 2003; Laws 2005, c. 23, &sect; 1; Laws 2011, c. 43, &sect; 1; Laws 2012, c. 304, &sect; 280.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591456. Regulations and orders Disposition of fees collected Expenses.&nbsp;</span></p> <p><span class="cls0">A. The Board shall issue regulations consistent with the provisions of this act for the administration and enforcement of this act and shall prescribe forms which shall be issued in connection therewith.&nbsp;</span></p> <p><span class="cls0">B. An order or a certified copy thereof, over the Board seal and purporting to be signed by the Board members, shall be prima facie proof that the signatures are the genuine signatures of the Board members, and that the Board members are fully qualified to act.&nbsp;</span></p> <p><span class="cls0">C. All fees collected under the provisions of this act shall be deposited in the State Treasury to the credit of the General Revenue Fund.&nbsp;</span></p> <p><span class="cls0">D. The Council may reimburse in accordance with the State Travel Reimbursement Act, upon submission of proper claim, each Board member for any actual expense incurred while in the performance of his duties pursuant to the Polygraph Examiners Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 5, operative July 1, 1985; Laws 1985, c. 264, &sect; 5, emerg. eff. July 15, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-1457. License required.&nbsp;</span></p> <p><span class="cls0">It shall be unlawful for any person, including a city, county or state employee, to administer polygraph or other examinations utilizing instrumentation for the purpose of detecting deception or verifying truth of statements or to attempt to hold himself out as a polygraph examiner or to refer to himself by any other title which would indicate or which is intended to indicate or calculated to mislead members of the public into believing that he is qualified to apply instrumentation to detect deception or to verify truth of statements without first securing a license as herein provided.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 140, &sect; 7, emerg. eff. May 17, 1971. Amended by Laws 1981, c. 321, &sect; 2; Laws 1996, c. 23, &sect; 1, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1458. Minimum qualifications for registration.&nbsp;</span></p> <p><span class="cls0">A. The following shall be considered as minimum evidence satisfactory to the Board that the applicant is qualified for registration as a polygraph examiner:&nbsp;</span></p> <p><span class="cls0">1. Attainment of at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">2. Citizenship of the United States;&nbsp;</span></p> <p><span class="cls0">3. Be a person of honesty, truthfulness, integrity, and moral fitness;&nbsp;</span></p> <p><span class="cls0">4. Never have been convicted of a felony or a misdemeanor involving moral turpitude; and&nbsp;</span></p> <p class="cls2"><span class="cls0">5.&nbsp;&nbsp;a.&nbsp;&nbsp;hold a baccalaureate degree from a college or university accredited by the American Association of Collegiate Registrars and Admissions Officers, or, in lieu thereof, be a graduate of an accredited high school and have five (5) consecutive years of active investigative experience of a character satisfactory to the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;be a graduate of a polygraph examiners course approved by the Board and have satisfactorily completed not less than six (6) months of internship training, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;have passed an examination conducted by and to the satisfaction of the Board, or under its supervision, to determine his competency to obtain a license to practice as an examiner.&nbsp;</span></p> <p><span class="cls0">B. Beginning July 1, 1996, employees of the Oklahoma State Bureau of Investigation (OSBI) who are employed on that date by the OSBI as polygraphers shall become licensed pursuant to the Polygraph Examiners Act without undergoing the testing and training requirements provided for in subparagraphs b and c of paragraph 5 of subsection A of this section. Any person who is employed as a polygrapher for the OSBI after July 1, 1996, shall be required to meet the testing and training requirements prior to licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1971, c. 140, &sect; 8, emerg. eff. May 17, 1971. Amended by Laws 1973, c. 88, &sect; 2, emerg. eff. May 1, 1973; Laws 1985, c. 189, &sect; 6, operative July 1, 1985; Laws 1996, c. 23, &sect; 2, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591460. Applications.&nbsp;</span></p> <p><span class="cls0">Applications for original licenses shall be made to the Council in writing under oath on forms prescribed by the Board and shall be accompanied by the required fee, which is not refundable. Any such applications shall require such information as in the judgment of the Board will enable it to pass on the qualifications of the applicant for a license.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 7, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591461. Nonresident applicants Consent to suit.&nbsp;</span></p> <p><span class="cls0">A. Each nonresident applicant for an original license or a renewal license shall file with the Council an irrevocable consent that actions against said applicants may be filed in any appropriate court of any county or municipality of this state in which plaintiff resides or in which some part of the transaction occurred out of which the alleged cause of action arose and that process on any such action may be served on the applicant by leaving two copies thereof with the Council. Such consent shall stipulate and agree that such service or process shall be taken and held to be valid and binding for all purposes. The Council shall send forthwith one copy of the process to the applicant at the address shown on the records of the Council by registered or certified mail.&nbsp;</span></p> <p><span class="cls0">B. Nonresident applicants must satisfy the requirements of Section 1458 of this title.&nbsp;</span></p> <p><span class="cls0">&sect;591462. Reciprocity.&nbsp;</span></p> <p><span class="cls0">An applicant who is a polygraph examiner licensed under the laws of another state or territory of the United States may be issued a license without examination by the Board, in its discretion, upon payment of a fee of One Hundred Dollars ($100.00) and the production of satisfactory proof that:&nbsp;</span></p> <p><span class="cls0">1. He is at least twentyone (21) years of age;&nbsp;</span></p> <p><span class="cls0">2. He is a citizen of the United States;&nbsp;</span></p> <p><span class="cls0">3. He is of good moral character;&nbsp;</span></p> <p><span class="cls0">4. The requirements for the licensing of polygraph examiner in such particular state or territory of the United States were at the date of the applicant's licensing therein substantially equivalent to the requirements now in force in this state;&nbsp;</span></p> <p><span class="cls0">5. The applicant had lawfully engaged in the administration of polygraph examinations under the laws of such state or territory for at least two (2) years prior to his application for license hereunder;&nbsp;</span></p> <p><span class="cls0">6. Such other state or territory grants similar reciprocity to license holders of this state; and&nbsp;</span></p> <p><span class="cls0">7. He has complied with Section 1461 of this title.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 9, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591463. Internship license.&nbsp;</span></p> <p><span class="cls0">A. Upon approval by the Board, the Council shall issue an internship license to a trainee provided he applies for such license and pays the required fee prior to the commencement of his internship. The application shall contain such information as may be required by the Board.&nbsp;</span></p> <p><span class="cls0">B. An internship license shall be valid for the term of twelve (12) months from the date of issue. Such license may be extended or renewed for any term not to exceed six (6) months upon good cause shown to the Board.&nbsp;</span></p> <p><span class="cls0">C. A trainee shall not be entitled to hold an internship license after the expiration of the original twelvemonth period and sixmonth extension, if such extension is granted by the Board, until twelve (12) months after the date of expiration of the last internship license held by the said trainee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 10, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591464. Fees.&nbsp;</span></p> <p><span class="cls0">A. The fee to be paid by the applicant for an initial examination to determine if the applicant is qualified to receive a polygraph examiner's license is Fifty Dollars ($50.00), which is not to be credited as payment against the license fee. The fee for subsequent examinations shall be the same as for the initial examination.&nbsp;</span></p> <p><span class="cls0">B. The fee to be paid for an initial polygraph examiner's license is One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">C. The fee to be paid for an internship license is One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">D. The fee to be paid for the issuance of a duplicate polygraph examiner's license is Twenty Dollars ($20.00).&nbsp;</span></p> <p><span class="cls0">E. The fee to be paid for a polygraph examiner's renewal license is One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">F. The fee to be paid for the extension or renewal of an internship license is Fifty Dollars ($50.00).&nbsp;</span></p> <p><span class="cls0">G. The fee to be paid for a duplicate internship license is Twenty Dollars ($20.00).&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 145, &sect; 1, emerg. eff. April 17, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591465. Display of license Signatures and seal.&nbsp;</span></p> <p><span class="cls0">A license or duplicate license must be prominently displayed at the place of business of the polygraph examiner or at the place of internship. Each license shall be signed by the Board members and shall be issued under the seal of the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 140, &sect; 15, emerg. eff. May 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;591466. Change of business location.&nbsp;</span></p> <p><span class="cls0">Notice in writing shall be given to the Council by the licensed examiner of any change of principal business location within thirty (30) days of the time he changes location. A change of business location without notification to the Council shall automatically suspend the license theretofore issued.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 11, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591467. Term of license Renewal Expired licenses.&nbsp;</span></p> <p><span class="cls0">Each polygraph examiner's license shall be issued for the term of one (1) year and shall, unless suspended or revoked, be renewed annually as prescribed by the Board. A polygraph examiner whose license has expired may at any time within two (2) years after the expiration thereof obtain a renewal license without examination by making a renewal application therefor and satisfying Section 8, subsections 2, 3 and 4. However, any polygraph examiner whose license expired while he was in the federal service on active duty with the armed forces of the United States, or the national guard called into service or training, or in training or education under the supervision of the United States preliminary to induction into the military service, may have his license renewed without examination if within two (2) years after termination of such service, training or education except under conditions other than honorable, he furnishes the Board with an affidavit to the effect that he has been so engaged and that his service, training or education has been so terminated. Section 8, subsections 2, 3 and 4 of this act must also be satisfied.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 140, &sect; 17, emerg. eff. May 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;591468. Suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">The Board may refuse to issue or may suspend or revoke a license on any one or more of the following grounds:&nbsp;</span></p> <p><span class="cls0">1. For failing to inform a subject to be examined as to the nature of the examination;&nbsp;</span></p> <p><span class="cls0">2. For failing to inform a subject to be examined that his participation in the examination is voluntary, unless the subject is an employee of a governmental body which has a policy or rules and regulations requiring mandatory polygraph examinations as a part of internal investigations;&nbsp;</span></p> <p><span class="cls0">3. Material misstatement in the application for original license or in the application for any renewal license under this act;&nbsp;</span></p> <p><span class="cls0">4. Willful disregard or violation of this act or any regulation or rule issued pursuant thereto, including, but not limited to, willfully making a false report concerning an examination for polygraph examination purposes;&nbsp;</span></p> <p><span class="cls0">5. If the holder of any license has been adjudged guilty of the commission of a felony or misdemeanor involving moral turpitude; 6. Making any willful misrepresentation or false promises or causing to be printed any false or misleading advertisement for the purpose of directly or indirectly obtaining business or trainees;&nbsp;</span></p> <p><span class="cls0">7. Having demonstrated unworthiness or incompetency to act as a polygraph examiner as defined by this act;&nbsp;</span></p> <p><span class="cls0">8. Allowing one's license under this act to be used by any unlicensed person in violation of the provisions of this act;&nbsp;</span></p> <p><span class="cls0">9. Willfully aiding or abetting another in the violation of this act or any regulation or rule issued pursuant thereto;&nbsp;</span></p> <p><span class="cls0">10. If the license holder has been adjudged an habitual drunkard or mentally incompetent as provided in the Probate Code;&nbsp;</span></p> <p><span class="cls0">11. Failing, within a reasonable time, to provide information requested by the secretary as the result of a formal complaint to the Board which would indicate a violation of this act; or&nbsp;</span></p> <p><span class="cls0">12. Failing to inform the subject of the results of the examination if so requested.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 12, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591469. Violations on part of polygraph examiner or trainee Effect on employer.&nbsp;</span></p> <p><span class="cls0">Any unlawful act or violation of any of the provisions of this act on the part of any polygraph examiner or trainee shall not be cause for revocation of the license of any other polygraph examiner for whom the offending examiner or trainee may have been employed, unless it shall appear to the satisfaction of the Board that the polygraph examineremployer has willfully or negligently aided or abetted the illegal actions or activities of the offending polygraph examiner or trainee.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 140, &sect; 19, emerg. eff. May 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;591470. Administrative hearing.&nbsp;</span></p> <p><span class="cls0">When there is a cause to refuse an application or to suspend or revoke the license of any polygraph examiner, the Council shall, not less than thirty (30) days before refusal, suspension or revocation action is taken, notify such person in writing, in person or by certified mail at the last address supplied to the Council by such person, of such impending refusal, suspension or revocation, the reasons therefor and of his right to an administrative hearing for the purpose of determining whether or not the evidence is sufficient to warrant the refusal, suspension or revocation action proposed to be taken by the Board. If, within twenty (20) days after the personal service of such notice or such notice has been deposited in the United States mail, such person has not made a written request to the Board for this administrative hearing, the Board is authorized to suspend or revoke the polygraph examiner's license of such person without a hearing. Upon receipt by the Council of such written request of such person within the twentyday period as set out above, an opportunity for an administrative hearing shall be afforded as early as is practicable. In no case shall the hearing be held less than ten (10) days after written notification thereof, accompanied by a copy of the charges, shall have been given the person by personal service or by certified mail sent to the last address supplied to the Council by the applicant or licensee. The administrative hearing in such cases shall be before the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 13, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591471. Appeal to district court.&nbsp;</span></p> <p><span class="cls0">Any person dissatisfied with the action of the Board in refusing his application or suspending or revoking his license, or any other action of the Board, may appeal the action of the Board by filing a petition within thirty (30) days thereafter in the district court of Oklahoma County, Oklahoma, and the court is vested with jurisdiction and it shall be the duty of the court to set the matter for hearing upon ten (10) days' written notice to the Council and the attorney representing the Board. The court in which the petition of appeal is filed shall determine whether or not a cancellation or suspension of a license shall be abated until the hearing shall have been consummated with final judgment thereon or whether any other action of the Board should be suspended pending hearing, and enter its order accordingly, which shall be operative when served upon the Board, and the court shall provide the attorney representing the Board with a copy of the petition and order. The Board and Council shall be represented in such appeals by the Attorney General or any of his assistants. The Board shall initially determine all facts, but the court upon appeal may set aside the determination of the Board if the Board's determination:&nbsp;</span></p> <p><span class="cls0">1. is not based upon substantial evidence determinable upon the entire record;&nbsp;</span></p> <p><span class="cls0">2. is arbitrary or capricious;&nbsp;</span></p> <p><span class="cls0">3. is in violation of statutory requirements; or&nbsp;</span></p> <p><span class="cls0">4. was made without affording to licensee or applicant due process of law.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 14, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591472. Surrender of license Restoration.&nbsp;</span></p> <p><span class="cls0">Upon the revocation or suspension of any license, the licensee shall forthwith surrender the license or licenses to the Council; failure of a licensee to do so shall be a violation of this act and, upon conviction, shall be subject to the penalties hereinafter set forth. At any time after the suspension or revocation of any license, the Council shall restore it to the former licensee, upon the written recommendations of the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 15, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591473. Injunction.&nbsp;</span></p> <p><span class="cls0">If any person violates any provisions of this act, the Council shall, upon direction of a majority of the Board, or the Board in the name of the State of Oklahoma, through the Attorney General of the State of Oklahoma, apply in any district court of competent jurisdiction for an order enjoining such violation or for an order enforcing compliance with this act. Upon the filing of a verified petition in the court, the court or any judge thereof, if satisfied by affidavit or otherwise that the person has violated this act, may issue a temporary injunction, without notice or bond, enjoining such continued violation and if it is established that the person has violated or is violating this act, the court, or any judge thereof, may enter a decree perpetually enjoining the violation or enforcing compliance with this act. In case of violation of any order or decree issued under the provisions of this section, the court, or any judge thereof, may try and punish the offender for contempt of court. Proceedings under this section shall be in addition to, and not in lieu of, all other remedies and penalties provided by this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 16, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591474. Penalties.&nbsp;</span></p> <p><span class="cls0">A. Any person who violates any provision of this act or any person who falsely states or represents that he has been or is a polygraph examiner or trainee or that he is qualified to apply instrumentation to the detection of deception or verification of truth of statements shall be guilty of a misdemeanor and upon conviction thereof shall be punished by a fine of not less than One Hundred Dollars ($100.00) nor more than Five Thousand Dollars ($5,000.00) or by imprisonment in the county jail for a term of not to exceed six (6) months, or both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. 1. In addition to the penalties authorized by this section, any person who has been determined by the Board to have violated any provision of the Polygraph Examiners Act or any rule, regulation, or order issued pursuant thereto may also be liable for a penalty assessed by the Board of not more than Five Thousand Dollars ($5,000.00) for any related series of violations.&nbsp;</span></p> <p><span class="cls0">2. The amount of the penalty shall be assessed by the Board pursuant to the provisions of paragraph 1 of this subsection, after notice and hearing pursuant to Sections 310 through 326 of Title 75 of the Oklahoma Statutes. In determining the amount of the penalty, the Board shall include but not be limited to consideration of the nature, circumstances, and gravity of the violation and, with respect to the person found to have committed the violation, the degree of culpability, the effect on ability of the person to continue to do business, and any show of good faith in attempting to achieve compliance with state laws.&nbsp;</span></p> <p><span class="cls0">3. Any person aggrieved by a final order or other final determination of the Board may petition for a judicial review for rehearing, reopening or reconsideration of the matter as provided for in Title 75 of the Oklahoma Statutes. If an appeal is not made by the person to whom such an order is directed within thirty (30) days after notice has been sent to the parties, the order of the Board shall become final and binding on all parties and shall be docketed with the district court in the county of the residence of the violator, or the district court in the county in which the violation occurred. The order shall be enforced in the same manner as an order of the district court.&nbsp;</span></p> <p><span class="cls0">C. Except as otherwise expressly provided by law, any notice, order or other instrument issued by or pursuant to authority of the Board may be served on any person affected thereby personally, by publication, or by mailing a copy of the notice, order, or other instrument by certified mail, return receipt requested, directed to the person affected at his lastknown post office address as shown by the files or records of the Council. Proof of service shall be made as in the case of service of a summons or by publication in a civil action or may be made by the affidavit of the person who did the mailing. Such proof of service shall be filed in the office of the Council.&nbsp;</span></p> <p><span class="cls0">Every certificate or affidavit of service made and filed as provided for in this section shall be prima facie evidence of the facts therein stated. A certified copy thereof shall have like force and effect.&nbsp;</span></p> <p><span class="cls0">D. Any penalty assessed under the provisions of this section shall constitute a lien upon all the property of said violator within this state except the homestead of the violator. Before any such penalty becomes a lien upon such property as against third persons, a copy of the order of the Board assessing the penalty shall be filed in the office of the county clerk of the county wherein the property is located. The copy of the order shall be filed and may be enforced as provided by the provisions of Section 143.1 and Sections 171 through 178 of Title 42 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">E. Any penalties collected by the Board pursuant to this section shall be deposited in the State Treasury to the credit of the Polygraph Examiners Fund.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1985, c. 189, &sect; 17, operative July 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;591475. Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">This act is subject in all respects to the provisions of the Administrative Procedures Act as now existing or hereafter amended.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1971, c. 140, &sect; 25, emerg. eff. May 17, 1971. &nbsp;</span></p> <p><span class="cls0">&sect;591501. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma Pawnshop Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1972, c. 255, &sect; 1. &nbsp;</span></p> <p><span class="cls0">&sect;59-1502. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in this act:&nbsp;</span></p> <p><span class="cls0">1. "Administrator" means the Administrator of Consumer Affairs defined in the Uniform Consumer Credit Code.&nbsp;</span></p> <p><span class="cls0">2. "Month" means that period of time from one date in a calendar month to the corresponding date in the following calendar month, but if there is no such corresponding date, then the last day of such following month, and when computations are made for a fraction of a month, a day shall be one-thirtieth (1/30) of a month. 3. "Pawnbroker" means a person engaged in the business of making pawn transactions.&nbsp;</span></p> <p><span class="cls0">4. "Pawn finance charge" means the sum of all charges, payable directly or indirectly by the customer and imposed directly or indirectly by the pawnbroker as an incident to the pawn transaction. 5. "Pawnshop" means the location at which or premises in which a pawnbroker regularly conducts business.&nbsp;</span></p> <p><span class="cls0">6. "Pawn transaction" means the act of lending money on the security of pledged goods or the act of purchasing tangible personal property on condition that it may be redeemed or repurchased by the seller for a fixed price within a fixed period of time.&nbsp;</span></p> <p><span class="cls0">7. "Person" means an individual, partnership, corporation, joint venture, trust, association or any other legal entity however organized.&nbsp;</span></p> <p><span class="cls0">8. "Pledged goods" means tangible personal property other than choses in action, securities or printed evidences of indebtedness, which property is deposited with or otherwise actually delivered into the possession of a pawnbroker in the course of his business in connection with a pawn transaction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 2.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1503. License required.&nbsp;</span></p> <p><span class="cls0">No person shall engage in business as a pawnbroker without first obtaining a license from the Administrator specifically authorizing engagement in such business.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 3.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591503A. Eligibility for license Felons Verifying net assets requirement.&nbsp;</span></p> <p><span class="cls0">A. To be eligible for a pawnshop license, an applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Have net assets of at least Twentyfive Thousand Dollars ($25,000.00); and&nbsp;</span></p> <p><span class="cls0">3. Show that the pawnshop will be operated lawfully and fairly within the purpose of the Oklahoma Pawnshop Act, Section 1501 et seq. of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. The Administrator shall find ineligible an applicant who has a felony conviction which directly relates to the duties and responsibilities of the occupation of pawnbroker.&nbsp;</span></p> <p><span class="cls0">C. If the Administrator is unable to verify that the applicant meets the net assets requirement for a pawnshop license, the Administrator may require a finding, including the presentation of a current balance sheet, by an accounting firm or individual holding a permit to practice public accounting in this state, that the accountant has reviewed the books and records of the applicant and that the applicant meets the net assets requirement.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 191, &sect; 7, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;591504. Applications Contents Bonds Statutory agent.&nbsp;</span></p> <p><span class="cls0">A. Applications for a pawnshop license shall be under oath and shall state the full name and place of residence of the applicant. If the applicant is a partnership, the full name and place of residence of each member thereof shall be stated. If the applicant is a corporation, the full name and place of residence of each officer or major stockholder thereof shall be stated. The application shall give the approximate location from which the business is to be conducted, and shall contain such relevant information as the Administrator may require.&nbsp;</span></p> <p><span class="cls0">B. Each applicant for a pawnshop license at the time of filing application shall file with the Administrator a bond satisfactory to him and in the amount of Five Thousand Dollars ($5,000.00) for each license with a surety company qualified to do business in this state. The said bond shall run to the state for the use of the state and of any person or persons who may have cause of action against the obligor of said bond under the provisions of this act. Such bond shall be conditioned that the obligor will comply with the provisions of this act and of all rules and regulations lawfully made by the Administrator hereunder, and will pay to the state and to any such person or persons any and all amounts of money that may become due or owing to the state or to such person or persons from said obligor under and by virtue of the provisions of this act during the time such bond is in effect.&nbsp;</span></p> <p><span class="cls0">C. Each licensee shall maintain on file with the Administrator a written appointment of a resident of this state as his agent for service of all judicial or other process or legal notice, unless the licensee has appointed an agent under another statute of this state. In case of noncompliance, such service may be made on the Administrator.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1972, c. 255, &sect; 4. &nbsp;</span></p> <p><span class="cls0">&sect;59-1505. Issuance or denial of license - Fees.&nbsp;</span></p> <p><span class="cls0">A. Upon the filing of an application and bond and payment of an annual license fee and an investigation fee, the Administrator of Consumer Credit shall conduct an investigation. If the Administrator finds that the financial responsibility, experience, character and general fitness of the applicant are such as to warrant belief that the business will be operated lawfully and fairly, within the purposes of the Oklahoma Pawnshop Act, and the applicant meets the eligibility requirements of Section 1503A of this title, the Administrator shall grant the application and issue to the applicant a license which will evidence the applicant&rsquo;s authority to do business under the provisions of the Oklahoma Pawnshop Act.&nbsp;</span></p> <p><span class="cls0">B. If the Administrator does not so find facts sufficient to warrant issuance of a license, the Administrator shall notify the applicant. If within thirty (30) days of such notification the applicant requests a hearing on the application, a hearing shall be held within sixty (60) days after the date of the request. In the event of the denial of a license, the investigation fee shall be retained by the Administrator, but the annual license fee shall be returned to the applicant.&nbsp;</span></p> <p><span class="cls0">C. The Administrator shall grant or deny each application for license within sixty (60) days from its filing with the required fees, or from the hearing thereon, if any, unless the period is extended by written agreement between the applicant and the Administrator.&nbsp;</span></p> <p><span class="cls0">D. No license to engage in the business of a pawnbroker shall be issued for any location where a license has been issued and is in effect under the provisions of Section 3-501 et seq. of Title 14A of the Oklahoma Statutes. The word "location" as used in this subsection means the entire space in which a Title 14A licensee conducts business. No pawnshop may be connected with any location in which a Title 14A licensee conducts business, except by a passageway to which the public is not admitted.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 5. Amended by Laws 1987, c. 208, &sect; 44, operative July 1, 1987; Laws 1987, c. 236, &sect; 70, emerg. eff. July 20, 1987; Laws 1988, c. 191, &sect; 1, eff. Nov. 1, 1988; Laws 2009, c. 431, &sect; 3, eff. July 1, 2009; Laws 2010, c. 415, &sect; 14, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1506. Effect of license - Annual fee.&nbsp;</span></p> <p><span class="cls0">A. Each license shall state the name of the licensee and the address at which the business is to be conducted. The license shall be displayed at the place of business named in the license. The license shall not be transferable or assignable except upon approval by the Administrator of Consumer Credit.&nbsp;</span></p> <p><span class="cls0">B. A separate license shall be required for each pawnshop operated under the Oklahoma Pawnshop Act.&nbsp;</span></p> <p><span class="cls0">The Administrator may issue more than one license to any one person upon compliance with the provisions of the Oklahoma Pawnshop Act as to each license. When a licensee wishes to move the licensee&rsquo;s pawnshop to another location, the licensee shall give thirty (30) days' written notice to the Administrator, who shall amend the license accordingly.&nbsp;</span></p> <p><span class="cls0">C. Each license shall remain in full force and effect until relinquished, suspended, revoked or expired. Every licensee, on or before each December 1, shall pay the Administrator an annual fee for the succeeding calendar year. If the annual fee remains unpaid fifteen (15) days after written notice of delinquency has been given to the licensee by the Administrator, the license shall thereupon expire, but expiration shall not occur before December 31 of any year for which an annual fee has been paid.&nbsp;</span></p> <p><span class="cls0">D. No licensing requirement or license fee shall be required, levied or collected by any municipal corporation of this state; provided that municipal corporations may require the payment of regulatory fees not in excess of Fifty Dollars ($50.00) per annum.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 6. Amended by Laws 1988, c. 191, &sect; 2, eff. Nov. 1, 1988; Laws 2009, c. 431, &sect; 4, eff. July 1, 2009; Laws 2010, c. 415, &sect; 15, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1507. Administrative hearings - Revocation, suspension, reinstatement and surrender of license.&nbsp;</span></p> <p><span class="cls0">A. The Administrator of Consumer Credit shall appoint an independent hearing examiner to conduct all administrative hearings involving alleged violations of the Oklahoma Pawnshop Act. The independent hearing examiner shall have authority to exercise all powers granted by Article II of the Administrative Procedures Act in conducting hearings. The independent hearing examiner shall have authority to recommend penalties authorized by the Oklahoma Pawnshop Act and issue proposed orders, with proposed findings of fact and proposed conclusions of law, to the Administrator pursuant to Article II of the Administrative Procedures Act. The Administrator shall review the proposed order and issue a final agency order in accordance with Article II of the Administrative Procedures Act. A final agency order issued by the Administrator shall be appealable by all parties to the district court as provided in Article II of the Administrative Procedures Act. The costs of the hearing examiner may be assessed by the hearing examiner against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">B. The Administrator may, after notice and hearing, decline to renew a license, suspend or revoke any license, or in addition to or in lieu of suspension or revocation, order refunds for any unlawful charges or enter a cease and desist order if the Administrator finds that:&nbsp;</span></p> <p><span class="cls0">1. The licensee or any entity or individual subject to the Oklahoma Pawnshop Act has failed to pay any fee or charge properly imposed by the Administrator under the authority of the Oklahoma Pawnshop Act;&nbsp;</span></p> <p><span class="cls0">2. The licensee, either knowingly or without the exercise of due care to prevent the same, has violated any provision of the Oklahoma Pawnshop Act or any rule or order lawfully made pursuant to and within the authority of the Oklahoma Pawnshop Act; or&nbsp;</span></p> <p><span class="cls0">3. Any fact or condition exists which, if it had existed or had been known to exist at the time of the original application for a license, clearly would have justified the Administrator in refusing the license.&nbsp;</span></p> <p><span class="cls0">C. Any licensee may surrender any license by delivering it to the Administrator with written notice of its surrender, but such surrender shall not affect the licensee's civil or criminal liability for acts committed prior thereto.&nbsp;</span></p> <p><span class="cls0">D. No revocation, suspension or surrender of any license shall impair or affect the obligation of any preexisting lawful contract between the licensee and any customer.&nbsp;</span></p> <p><span class="cls0">E. The Administrator may reinstate suspended licenses or issue new licenses to a person whose license or licenses have been revoked if no fact or condition then exists which clearly would have justified the Administrator in refusing originally to issue such license under the Oklahoma Pawnshop Act.&nbsp;</span></p> <p><span class="cls0">F. On application of any person and payment of the cost thereof, the Administrator shall furnish under the Administrator's seal and signature a certificate of good standing or a certified copy of any license.&nbsp;</span></p> <p><span class="cls0">G. The Commission on Consumer Credit shall prescribe by rule a fee for each license change, duplicate license, or returned check.&nbsp;</span></p> <p><span class="cls0">H. A licensee shall pay a late fee as prescribed by rule of the Commission on Consumer Credit if a license is not renewed by December 1.&nbsp;</span></p> <p><span class="cls0">I. Any entity or individual offering to engage or engaged in making pawn transactions in this state without a license shall be subject to a civil penalty not to exceed Five Thousand Dollars ($5,000.00).&nbsp;</span></p> <p><span class="cls0">J. The Administrator may impose a civil penalty as prescribed in subsection I of this section, after notice and hearing in accordance with Article II of the Administrative Procedures Act. Any administrative order or settlement agreement imposing a civil penalty pursuant to this section may be enforced in the same manner as civil judgments in this state. The Administrator may file an application to enforce an administrative order or settlement agreement imposing a civil penalty in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 7. Amended by Laws 2010, c. 415, &sect; 16, eff. July 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1508. Examination, investigations and access to records.&nbsp;</span></p> <p><span class="cls0">A. At such times as the Administrator of Consumer Credit may deem necessary, the Administrator or a duly authorized representative of the Administrator may make an examination of the place of business of each licensee and may inquire into and examine the transactions, books, accounts, papers, correspondence and records of such licensee insofar as they pertain to the business regulated by the Oklahoma Pawnshop Act. Such books, accounts, papers, correspondence, records and property taken, purchased or received shall also be open for inspection at any reasonable time to federal law enforcement officials and the chief of police, district attorney, sheriff or written designee of the law enforcement body in whose jurisdiction the pawnshop is located, without any need of judicial writ or other process. In the course of an examination, the Administrator or duly authorized representative or any authorized peace officer shall have free access to the office, place of business, files, safes and vaults of such licensee, and shall have the right to make copies of any books, accounts, papers, correspondence and records insofar as they pertain to the business regulated by the Oklahoma Pawnshop Act. The Administrator or duly authorized representative may, during the course of such examination, administer oaths and examine any person under oath upon any subject pertinent to any matter about which the Administrator is authorized or required by the Oklahoma Pawnshop Act to consider, investigate or secure information. Any licensee who fails or refuses to permit the Administrator or duly authorized representative or any authorized peace officer to examine or make copies of such books or other relevant documents shall thereby be deemed in violation of the Oklahoma Pawnshop Act and such failure or refusal shall constitute grounds for the suspension or revocation of such license. The information obtained in the course of any examination or inspection shall be confidential, except in civil or administrative proceedings conducted by the Administrator, or criminal proceedings instituted by the state. Each licensee shall pay to the Administrator an examination fee. The Administrator may require payment of an examination fee either at the time of initial application, renewal of the license, or after an examination has been conducted.&nbsp;</span></p> <p><span class="cls0">B. Whenever a peace officer has probable cause to believe that property in possession of a licensed pawnbroker is stolen or embezzled, the peace officer of the local law enforcement agency of the municipality or other political subdivision in which the pawnshop resides may place a written hold order on the property. The initial term of the written hold order shall not exceed thirty (30) days. However, the holding period may be extended in successive thirty (30) day increments upon written notification prior to the expiration of the initial holding period. If the holding period has expired and has not been extended, the hold order shall be considered expired and no longer in effect, and title shall vest in the pawnbroker subject to any restrictions contained in the pawn contract. The initial written hold order shall contain the following information:&nbsp;</span></p> <p><span class="cls0">1. Signature of the pawnbroker or designee;&nbsp;</span></p> <p><span class="cls0">2. Name, title and identification number of the peace officer placing the hold order;&nbsp;</span></p> <p><span class="cls0">3. Name and address of the agency to which the peace officer is attached and the offense number;&nbsp;</span></p> <p><span class="cls0">4. Complete description of the property to be held, including model number, serial number and transaction number;&nbsp;</span></p> <p><span class="cls0">5. Name of agency reporting the property to be stolen or embezzled;&nbsp;</span></p> <p><span class="cls0">6. Mailing address of the pawnshop where the property is held;&nbsp;</span></p> <p><span class="cls0">7. Expiration date of the holding period.&nbsp;</span></p> <p><span class="cls0">C. While a hold order is in effect, the pawnbroker may consent to release, upon written receipt, the stolen or embezzled property to the custody of the local law enforcement agency to which the peace officer placing the hold order is attached. The consent to release the stolen or embezzled property to the custody of law enforcement is not a waiver or release of the pawnbroker's property rights or interest in the property. Otherwise, the pawnbroker shall not release or dispose of the property except pursuant to a court order or the expiration of the holding period including all extensions. The district attorney's office shall notify the pawnbroker in writing in cases where criminal charges have been filed that the property may be needed as evidence. The notice shall contain the case number, the style of the case, and a description of the property. The pawnbroker shall hold such property until receiving notice of the disposition of the case from the district attorney's office. The district attorney's office shall notify the pawnbroker in writing within fifteen (15) days of the disposition of the case. Willful noncompliance of a pawnbroker to a written hold order shall be cause for the pawnbroker's license to either be suspended or revoked pursuant to paragraph 2 of subsection A of Section 1507 of this title. A hold order may be released prior to the expiration of any thirty-day holding period by written release from the agency placing the initial hold order.&nbsp;</span></p> <p><span class="cls0">D. For the purpose of discovering violations of the Oklahoma Pawnshop Act or of securing information required hereunder, the Administrator or duly authorized representative may investigate the books, accounts, papers, correspondence and records of any licensee or other person who the Administrator has reasonable cause to believe is violating any provision of the Oklahoma Pawnshop Act whether or not such person shall claim to be within the authority or scope of the Oklahoma Pawnshop Act. For the purpose of this section, any person who advertises for, solicits or holds himself out as willing to make pawn transactions, shall be presumed to be a pawnbroker.&nbsp;</span></p> <p><span class="cls0">E. Each licensee shall keep or make available in this state such books and records relating to pawn transactions made under the Oklahoma Pawnshop Act as are necessary to enable the Administrator to determine whether the licensee is complying with the Oklahoma Pawnshop Act. Such books and records shall be consistent with accepted accounting practices.&nbsp;</span></p> <p><span class="cls0">F. Each licensee shall preserve or make available such books and records in this state relating to each of its pawn transactions for four (4) years from the date of the transaction, or two (2) years from the date of the final entry made thereon, whichever is later. Each licensee's system of records shall be accepted if it discloses such information as may be reasonably required under the Oklahoma Pawnshop Act. All agreements signed by customers shall be kept at an office in this state designated by the licensee, except when transferred under an agreement which gives the Administrator access thereto. All credit sales made by a pawnbroker, other than those sales defined in paragraph 6 of Section 1502 of this title, as a pawn transaction, shall be made in accordance with and subject to the provisions of Title 14A of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">G. Each licensee shall, annually on or before the first day of May or other date thereafter fixed by the Administrator, file a report with the Administrator setting forth such relevant information as the Administrator may reasonably require concerning the business and operations during the preceding calendar year for each licensed place of business conducted by such licensee within the state. Such report shall be made under oath and shall be in the form prescribed by the Administrator, who may make and publish annually a consolidated analysis and recapitulation of such reports, but the individual reports shall be held confidential.&nbsp;</span></p> <p><span class="cls0">H. The Administrator may promulgate rules necessary for the enforcement of the Oklahoma Pawnshop Act consistent with all its provisions. Before making such a rule relating to the licensees subject to the Oklahoma Pawnshop Act, the Administrator shall give each licensee at least thirty (30) days' written notice of a public hearing, stating the time and place thereof and the terms or substance of the proposed regulation. At the hearing, any licensee or other person may be heard and may introduce evidence, data or arguments or place the same on file. The Administrator, after consideration of all relevant matters presented, shall adopt and promulgate every rule in written form, stating the date of adoption and date of promulgation. Each such rule shall be entered in a permanent record book which shall be public record and be kept in the Administrator's office. A copy of every rule shall be mailed to each licensee, and no such rule shall become effective until the expiration of at least twenty (20) days after such mailing. On the application of any person and payment of the cost thereof, the Administrator shall furnish such person a certified copy of such rule.&nbsp;</span></p> <p><span class="cls0">I. Except as otherwise expressly provided in the Oklahoma Pawnshop Act, the Administrative Procedures Act, Section 251 et seq. and 301 et seq. of Title 75 of the Oklahoma Statutes, applies to and governs all administrative actions and civil proceedings taken by the Administrator pursuant to the Oklahoma Pawnshop Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 8. Amended by Laws 1988, c. 191, &sect; 3, eff. Nov. 1, 1988; Laws 1992, c. 280, &sect; 3, eff. Sept. 1, 1992; Laws 2010, c. 415, &sect; 17, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591509. Disclosure and advertising.&nbsp;</span></p> <p><span class="cls0">A. General Disclosure Requirements. 1. All disclosures required by this act shall be made in accordance with the regulations of the Administrator and, in addition, such disclosures as applicable:&nbsp;</span></p> <p><span class="cls0">a. shall be made clearly and conspicuously;&nbsp;</span></p> <p><span class="cls0">b. shall be in writing, a copy of which shall be delivered to the customer;&nbsp;</span></p> <p><span class="cls0">c. may be supplemented by additional information or explanations supplied by the pawnbroker;&nbsp;</span></p> <p><span class="cls0">d. need be made only to the extent applicable and only as to those items for which the pawnbroker makes a separate charge to the customer; and&nbsp;</span></p> <p><span class="cls0">e. shall comply with this section although rendered inaccurate by any act, occurrence or agreement subsequent to the required disclosure.&nbsp;</span></p> <p><span class="cls0">2. The disclosures required by this section shall be made before credit is extended, but may be made in the pawn transaction, refinancing or consolidation agreement, or other evidence of the pawn transaction agreement to be signed by the customer if set forth conspicuously therein, and need be made only to one customer if there is more than one.&nbsp;</span></p> <p><span class="cls0">3. If any evidence of the pawn transaction agreement is signed by the customer, the pawnbroker shall give him a copy when the writing is signed.&nbsp;</span></p> <p><span class="cls0">4. Except as provided with respect to civil liability for violations of disclosure provisions, written acknowledgment of receipt by a customer to whom a statement is required to be given pursuant to this section:&nbsp;</span></p> <p><span class="cls0">a. in an action or proceeding by or against the original pawnbroker, creates a presumption that the statement was given; and&nbsp;</span></p> <p><span class="cls0">b. in an action or proceeding by or against an assignee without knowledge to the contrary when he acquires the obligation, is conclusive proof of the delivery of the statement and, unless the violation is apparent on the face of the statement, of compliance with this act.&nbsp;</span></p> <p><span class="cls0">5. Where the terms "finance charge" and "annual percentage rate" are required to be used, they shall be printed more conspicuously than other terminology required by this act. All numerical amounts and percentages shall be stated in figures and shall be printed in not less than the equivalent of ten point type, .075inch computer type, or elite size typewritten numerals, or shall be legibly handwritten.&nbsp;</span></p> <p><span class="cls0">B. Calculation of Rate to be Disclosed. 1. If a pawnbroker is required to give to a customer a statement of the rate of the pawn finance charge, he shall state the rate in terms of an annual percentage rate calculated according to the actuarial method designated as "annual percentage rate" with respect to a pawn transaction, which is the quotient expressed as a percentage of the total pawn finance charge for the period to which it relates divided by the amount financed, multiplied by the number of these periods in a year.&nbsp;</span></p> <p><span class="cls0">2. A statement of rate complies with this act if it does not vary from the accurately computed rate by more than one quarter of one percent (1/4 of 1%) for a pawn transaction.&nbsp;</span></p> <p><span class="cls0">C. Overstatement. The disclosure of an amount or percentage which is greater than the amount or percentage required to be disclosed under this act does not in itself constitute a violation of this act if the overstatement is not materially misleading and is not used to avoid meaningful disclosure.&nbsp;</span></p> <p><span class="cls0">D. Specific Disclosure Provisions. 1. The pawnbroker shall give the customer the following information:&nbsp;</span></p> <p><span class="cls0">a. the name and address of the pawnbroker;&nbsp;</span></p> <p><span class="cls0">b. the name and address of the customer and the customer's description or the distinctive number from customer's driver's license or military identification;&nbsp;</span></p> <p><span class="cls0">c. the date of the transaction;&nbsp;</span></p> <p><span class="cls0">d. the net amount paid to, receivable by, or paid or payable for the account of the customer, designated as "amount financed";&nbsp;</span></p> <p><span class="cls0">e. the amount of the pawn finance charge, designated as "finance charge";&nbsp;</span></p> <p><span class="cls0">f. the rate of the pawn finance charge as applied to the amount financed, in accordance with the provisions on calculation of rate in Section 9, subsection B, of this act designated as "annual percentage rate";&nbsp;</span></p> <p><span class="cls0">g. the total amount which must be paid to redeem the pledged goods on the maturity date, designated as the "total of payments";&nbsp;</span></p> <p><span class="cls0">h. an identification of the property to which any security interest held or to be retained or acquired relates, and shall include serial numbers if reasonably available;&nbsp;</span></p> <p><span class="cls0">i. the maturity date of the pawn transaction; and&nbsp;</span></p> <p><span class="cls0">j. a statement to the effect that the customer is not obligated to redeem the pledged goods, and that the pledged goods may be forfeited to the pawnbroker thirty (30) days after the specified maturity date, provided that the pledged goods may be redeemed by the customer within thirty (30) days following the maturity date of the pawn transaction by payment of the originally agreed redemption price and the payment of an additional pawn finance charge equal to onethirtieth (1/30) of the original monthly pawn finance charge for each day following the original maturity date including the day on which the pledged goods are finally redeemed.&nbsp;</span></p> <p><span class="cls0">E. Consolidation. If the parties to a pawn transaction or consumer credit sale agree to a consolidation, the pawnbroker shall give to the customer the information required with respect to pawn transaction provisions. That portion of the pawn finance charge earned at the time of consolidation shall be no greater than onethirtieth (1/30) of the pawn finance charge for each elapsed day from the date of the transaction. The amount with respect to the previous transaction or sale to be consolidated shall be separately stated and shall be added to the net amount paid to, receivable by, or paid or payable for the account of the customer in connection with the subsequent transaction.&nbsp;</span></p> <p><span class="cls0">F. Advertising. 1. No pawnbroker shall engage in this state in false or misleading advertising concerning the terms or conditions of credit with respect to a pawn transaction.&nbsp;</span></p> <p><span class="cls0">2. Without limiting the generality of subsection 1 of this section an advertisement with respect to a pawn transaction made by the posting of a public sign, or by catalog, magazine, newspaper, radio, television or similar mass media, is misleading if:&nbsp;</span></p> <p><span class="cls0">a. it states the rate of the pawn finance charge and the rate is not stated in the form required by the provisions on calculation of rate to be disclosed; or&nbsp;</span></p> <p><span class="cls0">b. it states the dollar amounts of the pawn finance charge and does not also state the rate of any pawn finance charge.&nbsp;</span></p> <p><span class="cls0">3. In this section a catalog or other multiplepage advertisement is considered a single advertisement if it clearly and conspicuously displays a credit terms table setting forth the information required by this section.&nbsp;</span></p> <p><span class="cls0">4. This section imposes no liability on the owner or personnel, as such, of any medium in which an advertisement appears or through which it is disseminated.&nbsp;</span></p> <p><span class="cls0">5. Advertising which complies with the Federal Consumer Credit Protection Act does not violate subsection 2 of this section.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1972, c. 255, &sect; 9. &nbsp;</span></p> <p><span class="cls0">&sect;591510. Pawn finance charge.&nbsp;</span></p> <p><span class="cls0">A. Except as provided in subsection F of Section 1511 of this title, no pawnbroker may contract for, charge or receive any amount as a charge in connection with a pawn transaction other than a pawn finance charge, and no pawn finance charge calculated according to the actuarial method shall exceed an amount equal to twenty percent (20%) of the amount financed which does not exceed One Hundred Fifty Dollars ($150.00), financed for one (1) month; fifteen percent (15%) of that amount financed which is more than One Hundred Fifty Dollars ($150.00) but does not exceed Two Hundred Fifty Dollars ($250.00), financed for one (1) month; ten percent (10%) of that amount financed which is more than Two Hundred Fifty Dollars ($250.00) but does not exceed Five Hundred Dollars ($500.00), financed for one (1) month; and five percent (5%) of that amount financed which is more than Five Hundred Dollars ($500.00), but does not exceed One Thousand Dollars ($1,000.00), financed for one (1) month; three percent (3%) of that amount financed which is more than One Thousand Dollars ($1,000.00) but does not exceed Twentyfive Thousand Dollars ($25,000.00), financed for one (1) month. Provided, however, a minimum pawn finance charge not to exceed One Dollar ($1.00) may be charged in lieu of the rates stated herein without regard to the amount financed. In no case shall the amount financed exceed Twentyfive Thousand Dollars ($25,000.00).&nbsp;</span></p> <p><span class="cls0">B. Refinancing of Pawn Transaction. The maturity date of any pawn transaction may be changed to a subsequent date, one or more times, by agreement between the customer and the pawnbroker, evidenced by a writing as for a new transaction and all disclosures shall be made to the customer as in the case of a new pawn transaction in accordance with Section 1501 et seq. of this title, and in such case the pawnbroker may contract for and receive a pawn finance charge computed in accordance with this section as for a new transaction.&nbsp;</span></p> <p><span class="cls0">C. Limitation on Charges. Except as otherwise expressly provided for in this act, no pawnbroker may contract for or receive any amount as a charge in connection with a pawn transaction.&nbsp;</span></p> <p><span class="cls0">D. Additional Pawn Finance Charges. Pledged goods not redeemed by the customer on or before the date fixed as the maturity date for the transaction in the pawn agreement or disclosure statement delivered, shall be held by the pawnbroker for at least thirty (30) days following such date, and may be redeemed by the customer within such period by the payment of the originally agreed redemption price and the payment of an additional pawn finance charge equal to onethirtieth (1/30) of the original monthly pawn finance charge for each day following the original maturity date including the day on which the pledged goods are finally redeemed.&nbsp;</span></p> <p><span class="cls0">E. Refunds. The pawn finance charges authorized in this section shall be deemed to be earned at the time the pawn transaction is made and shall not be subject to refund, except as otherwise provided for in subsection E of Section 1509 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 10. Amended by Laws 1988, c. 191, &sect; 4, eff. Nov. 1, 1988; Laws 1993, c. 35, &sect; 2, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591511. Limitation on agreements and practices.&nbsp;</span></p> <p><span class="cls0">A. Multiple Agreements. No pawnbroker shall separate or divide a pawn transaction into two or more transactions for the purpose or with the effect of obtaining a total pawn finance charge in excess of that authorized for an amount equal to the total of the amounts financed in the resulting transactions.&nbsp;</span></p> <p><span class="cls0">B. Customer's Personal Liabilities Prohibited. Even though a pawn transaction subject to Section 1501 et seq. of this title creates a debtorcreditor relationship, no pawnbroker shall make any agreement requiring the personal liability of a customer in connection with a pawn transaction, and no customer shall have an obligation to redeem pledged goods or make any payment on a pawn transaction. The only recourse of a pawnbroker where the customer has pledged goods shall be to the pledged goods themselves, unless the pledged goods are found to be stolen, embezzled, mortgaged or otherwise pledged or encumbered. Upon the customer being officially notified by a peace officer that the goods he pledged or sold to a pawnbroker were stolen or embezzled, the customer shall be liable to repay the pawnbroker the full amount the customer received from the pawn or buy transaction. Any pledged goods not redeemed within thirty (30) days following the last fixed maturity date may thereafter, at the option of the pawnbroker, be forfeited and become the property of the pawnbroker.&nbsp;</span></p> <p><span class="cls0">C. Prohibited Practices. A pawnbroker shall not:&nbsp;</span></p> <p><span class="cls0">1. Accept a pledge or purchase property from a person, male or female, under the age of eighteen (18) years;&nbsp;</span></p> <p><span class="cls0">2. Accept any waiver, in writing or otherwise, of any right or protection accorded a customer under this act;&nbsp;</span></p> <p><span class="cls0">3. Fail to exercise reasonable care to protect pledged goods from loss or damage;&nbsp;</span></p> <p><span class="cls0">4. Fail to return pledged goods to a customer upon payment of the full amount due the pawnbroker on the pawn transaction, unless a hold order has been placed on the pledged goods by an authorized peace officer or the pledged goods are in the custody of law enforcement;&nbsp;</span></p> <p><span class="cls0">5. Make any charge for insurance in connection with a pawn transaction, except as provided in subsection F of this section;&nbsp;</span></p> <p><span class="cls0">6. Enter any pawn transaction which has a maturity date more than one (1) month after the date of the transaction; or&nbsp;</span></p> <p><span class="cls0">7. Accept collateral or buy merchandise from a person unable to supply verification of identity by photo I.D. by either a stateissued identification card, driver's license or federal governmentissued identification card or by readable fingerprint of right or left index finger on the back of the pawn or buy transaction copy to be retained for the pawnbroker's record.&nbsp;</span></p> <p><span class="cls0">D. Presumption. Except as otherwise provided by this act, any person properly identifying himself as the original customer in the pawn transaction or as the assignee thereof, and presenting a pawn transaction agreement to the pawnbroker shall be presumed to be entitled to redeem the pledged goods described therein.&nbsp;</span></p> <p><span class="cls0">E. Lost or Destroyed Transaction Agreement. If the pawn transaction agreement is lost, destroyed or stolen, the customer may so notify the pawnbroker in writing, and receipt of such notice shall invalidate such pawn transaction agreement, if the pledged goods have not previously been redeemed. Before delivering the pledged goods or issuing a new pawn transaction agreement, the pawnbroker may require the customer to make affidavit of the loss, destruction or theft of the agreement.&nbsp;</span></p> <p><span class="cls0">F. Insurance. 1. A pawnbroker may offer insurance to a customer at the time of the pawn transaction to provide coverage during the pawn contract period for the declared value of the items pawned. The purchase of insurance shall be at the option of the customer.&nbsp;</span></p> <p><span class="cls0">2. A pawnbroker may not offer insurance coverage unless the pawnbroker:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;is licensed as a limited insurance representative for the purpose of providing insurance coverage for pawned merchandise, as required by Section 1424 of Title 36 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;has filed with the Administrator of the Department of Consumer Credit a copy of the insurance policy which shall have been issued by an insurer authorized by the Insurance Commissioner to transact insurance in this state, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;has posted a copy of the policy in a conspicuous place which is readily available to the customer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 11. Amended by Laws 1988, c. 191, &sect; 5, eff. Nov. 1, 1988; Laws 1989, c. 217, &sect; 1, eff. Nov. 1, 1989; Laws 1992, c. 280, &sect; 4, eff. Sept. 1, 1992; Laws 1993, c. 35, &sect; 3, eff. Sept. 1, 1993.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1512. Administration and enforcement.&nbsp;</span></p> <p><span class="cls0">A. Rule Making Power. The Administrator shall have the same authority to adopt, amend and repeal rules as is conferred upon him by paragraph (e) of subsection (1), and subsections (2) and (3) of Section 6104 of Title 14A of the Oklahoma Statutes, as applicable, and such rules shall have the same effect as provided in subsection (4) of Section 6104 thereunder. In addition, the Administrator may adopt, amend and repeal such other rules as are necessary for the enforcement of the provisions of Section 1501 et seq. of this title and consistent with all its provisions.&nbsp;</span></p> <p><span class="cls0">B. Administrative Enforcement. Compliance with the provisions of this act may be enforced by the Administrator who may exercise, for such purpose, all the powers enumerated in Part 1 of Article 6, Title 14A of the Oklahoma Statutes, in the same manner as in relation to consumer credit transactions under that act, as well as those powers conferred in this act.&nbsp;</span></p> <p><span class="cls0">C. Criminal Penalties. 1. Any person who engages in the business of operating a pawn shop without first securing the license prescribed by this act shall be guilty of a misdemeanor and upon conviction thereof shall be punished by a fine not in excess of One Thousand Dollars ($1,000.00), by confinement in the county jail for not more than six (6) months or by both.&nbsp;</span></p> <p><span class="cls0">2. Any person selling or pledging property to a pawnbroker who uses false or altered identification or a false declaration of ownership as related to the provisions of Section 1515 of this title shall be guilty of a felony, and upon conviction shall be punished by imprisonment in the State Penitentiary not to exceed five (5) years or in the county jail not to exceed one (1) year, or by a fine not to exceed Five Hundred Dollars ($500.00), or by both such imprisonment and fine.&nbsp;</span></p> <p><span class="cls0">3. Any person who fails to repay a pawnbroker the full amount received from a pawn or buy transaction after being officially notified by a peace officer that the goods he pledged or sold in that transaction were stolen or embezzled shall be guilty of a misdemeanor and upon conviction shall be punished by imprisonment in the county jail for a term not to exceed six (6) months, or a fine not to exceed Five Hundred Dollars ($500.00), or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">D. Private Enforcement. 1. If any person engages in the business of operating a pawnshop without first securing the license prescribed by this act, or if any pawnbroker contracts for, charges or receives a pawn finance charge in excess of that authorized by this act, the pawn transaction shall be void and the customer is not obligated to pay either the amount financed or the pawn finance charge in connection with the transaction, and upon the customer's demand, the pawnbroker shall be obligated to return to the customer, as a refund, all amounts paid in connection with the transaction by the customer and the pledged goods delivered to the pawnbroker in connection with the pawn transaction or their value if the goods cannot be returned. If a customer is entitled to a refund under this section and a pawnbroker liable to the customer refuses to make the refund within a reasonable time after demand, the customer shall have an action against the pawnbroker and in the case of a successful action to enforce such liability, the costs of the action together with attorney's fees as determined by the court shall be awarded to the customer.&nbsp;</span></p> <p><span class="cls0">2. A pawnbroker who fails to disclose information to a customer entitled to the information under this act is liable to that person in an amount equal to the sum of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;twice the amount of the pawn finance charge in connection with the transaction, or One Hundred Dollars ($100.00), whichever is greater; and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;in the case of a successful action to enforce the liability under paragraph 1 of this subsection, the costs of the action together with reasonable attorneys' fees as determined by the court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1972, c. 255, &sect; 12. Amended by Laws 1988, c. 191, &sect; 6, eff. Nov. 1, 1988; Laws 1992, c. 280, &sect; 5, eff. Sept. 1, 1992; Laws 1997, c. 133, &sect; 512, eff. July 1, 1999; Laws 1999, 1st Ex.Sess., c. 5, &sect; 373, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 512 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591514. Municipal regulation.&nbsp;</span></p> <p><span class="cls0">Municipalities may enact ordinances which are in compliance with but not more restrictive than the provisions of the Oklahoma Pawnshop Act, Section 1501 et seq. of Title 59 of the Oklahoma Statutes. Any existing or future order, ordinance or regulation which conflicts with this provision shall be null and void.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 191, &sect; 8, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;591515. Copy or report of buy transaction or pawn transaction to be made available to local law enforcement officials Items bought to be held for specified time Written declaration of ownership required of seller or pledgor.&nbsp;</span></p> <p><span class="cls0">A. Any pawnbroker shall make available a copy or report within three (3) days of any buy transaction to the local law enforcement agency of the municipality or other political subdivision in which the pawnshop is located; provided, merchandise bought on invoice from a manufacturer or wholesaler with an established place of business is exempt from this reporting requirement. However, such invoice shall be shown upon request to the Administrator or his duly authorized representative or any authorized peace officer. The copy or report shall include:&nbsp;</span></p> <p><span class="cls0">1. The name and address of the pawnshop;&nbsp;</span></p> <p><span class="cls0">2. The name, address, race, sex, weight, height, date of birth and either identification number of the seller as verified by either a stateissued identification card, driver's license or federal governmentissued identification card or by readable fingerprint of right or left index finger on the back of the pawn or buy transaction copy to be retained for the pawnbroker's record;&nbsp;</span></p> <p><span class="cls0">3. The buy transaction number;&nbsp;</span></p> <p><span class="cls0">4. The date and time of the transaction;&nbsp;</span></p> <p><span class="cls0">5. The manufacturer of the item;&nbsp;</span></p> <p><span class="cls0">6. A description of the item; and&nbsp;</span></p> <p><span class="cls0">7. The serial number and model number where available and any other identifying markings.&nbsp;</span></p> <p><span class="cls0">B. Items bought, except on invoice from a manufacturer or wholesaler with an established place of business, shall be held for ten (10) days before being disposed of or sold.&nbsp;</span></p> <p><span class="cls0">C. Any pawnbroker shall make available a copy or report within three (3) days of any pawn transaction to the local law enforcement agency of the municipality or other political subdivision in which the pawnshop is located. The copy or report shall include:&nbsp;</span></p> <p><span class="cls0">1. The name and address of the pawnshop;&nbsp;</span></p> <p><span class="cls0">2. The name, address, race, sex, weight, height, date of birth and either identification number of the person making the pawn transaction with the pawnshop as verified by either a stateissued identification card, driver's license or federal governmentissued identification card or by readable fingerprint of right or left index finger on the back of the pawn or buy transaction copy to be retained for the pawnbroker's record;&nbsp;</span></p> <p><span class="cls0">3. The pawn transaction number;&nbsp;</span></p> <p><span class="cls0">4. The date and time of the transaction;&nbsp;</span></p> <p><span class="cls0">5. The manufacturer of the item;&nbsp;</span></p> <p><span class="cls0">6. A description of the item; and&nbsp;</span></p> <p><span class="cls0">7. The serial number and model number where available and any other identifying markings.&nbsp;</span></p> <p><span class="cls0">D. The pawnbroker shall obtain a written declaration of ownership from the seller or pledgor on all buy and pawn transactions, except refinance pawn transactions or merchandise bought from a manufacturer or wholesaler with an established place of business. The seller or pledgor shall be required to state how long he has owned the property described in the transaction. The declaration of ownership shall appear on the bill of sale or pawn ticket, to be completed by the seller or the pledgor at the time of the transaction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 191, &sect; 10, eff. Nov. 1, 1988. Amended by Laws 1989, c. 217, &sect; 2, eff. Nov. 1, 1989; Laws 1992, c. 280, &sect; 6, eff. Sept. 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591521. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Precious Metal and Gem Dealer Licensing Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 213, &sect; 1, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;591522. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in this act:&nbsp;</span></p> <p><span class="cls0">1. "Administrator" means the Administrator of the Department of Consumer Credit;&nbsp;</span></p> <p><span class="cls0">2. "Dealer" means any person, partnership, sole proprietorship, corporation or association which, in the regular course of business, takes, receives, pays for or transfers used precious metals or gems excluding any supervised financial institution as defined by the Consumer Credit Code, pawnbrokers licensed pursuant to Section 1501 et seq. of this title, and jewelers whose principal business is the sale of items purchased directly from the original manufacturer, wholesaler or their authorized representative and who in the regular course of such business, accept tradein of items defined in this act as precious metals or gems, so long as the item or items to be traded are not greater in value than the item or items to be purchased. For purposes of this exception, retail jewelers may not buy used precious metals or gems for cash consideration only;&nbsp;</span></p> <p><span class="cls0">3. "Employee" means any person working for a dealer, whether or not the person is in the direct employment of the dealer or works full time or part time, who handles used precious metals or gems for the dealer. Employee shall not mean a person employed by a bank, armored car company or other business entity acting in the sole capacity of baileeforhire relationship with a dealer;&nbsp;</span></p> <p><span class="cls0">4. "Gem" means any precious or semiprecious stone or item containing a precious or semiprecious stone customarily used in jewelry or ornamentation;&nbsp;</span></p> <p><span class="cls0">5. "Precious metal" means platinum, gold or silver, but shall not mean any ingot or bar manufactured by a commercial mint nor shall it mean any or all coins; and&nbsp;</span></p> <p><span class="cls0">6. "Used" means previously sold or traded.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1982, c. 72, &sect; 1; Laws 1988, c. 191, &sect; 9, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;591523. License required.&nbsp;</span></p> <p><span class="cls0">No person, unless exempt by this act, shall operate as a dealer or employee as defined in this act without first obtaining a license from the Administrator specifically authorizing the person to act in such capacity.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 213, &sect; 3, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59-1524. Application for license - Bond - Fingerprints and photograph - Agent for service of process.&nbsp;</span></p> <p><span class="cls0">A. An application for a license pursuant to the provisions of the Precious Metal and Gem Dealer Licensing Act shall be under oath and state:&nbsp;</span></p> <p><span class="cls0">1. If the applicant is an individual, the full name and place of residence of the applicant;&nbsp;</span></p> <p><span class="cls0">2. If the applicant is a partnership, the full name and place of residence of each member of the partnership; and&nbsp;</span></p> <p><span class="cls0">3. If the applicant is a corporation, the full name and place of residence of each officer or major stockholder of the corporation.&nbsp;</span></p> <p><span class="cls0">B. The application shall state the location where the business is to be conducted and contain such additional relevant information as the Administrator may require. The Administrator shall require documentation to verify the location where the business is to be conducted or will be utilized by the applicant, including, but not limited to, a deed, bill of sale, lease, or rental agreement. The Administrator shall also require the name, contact person and telephone number of the business location if the applicant is not the owner of the business location.&nbsp;</span></p> <p><span class="cls0">C. In addition to the application provided for in subsection A of this section, every applicant shall file with the Administrator a bond satisfactory to said Administrator and in the amount of Ten Thousand Dollars ($10,000.00) for each license sought, with a surety company qualified to do business in this state as surety. The bond shall be furnished to the state for the use of the state and of any person or persons who may have a cause of action against the obligor of the bond pursuant to the provisions of the Precious Metal and Gem Dealer Licensing Act. The bond shall be conditional that the obligor will comply with the provisions of the Precious Metal and Gem Dealer Licensing Act and all rules and regulations made pursuant to the Precious Metal and Gem Dealer Licensing Act, and will pay all amounts of money that may be due to the state or any individual from the obligor during the time such bond is in effect.&nbsp;</span></p> <p><span class="cls0">D. Each applicant shall submit a full set of fingerprints and a photograph with each application for an original license. The fingerprints may be used for a national criminal history record check as defined in Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">E. Each licensee shall maintain on file with the Administrator a written appointment of a resident of this state as his or her agent for service of all judicial or other process or legal notice, unless the licensee has appointed such an agent pursuant to the provisions of another statute of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 4, operative July 1, 1981. Amended by Laws 1984, c. 95, &sect; 1, operative July 1, 1984; Laws 2003, c. 204, &sect; 6, eff. Nov. 1, 2003; Laws 2013, c. 153, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1525. Fees - Investigations - Grant or denial of license - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. Upon the filing of an application, bond and the payment of an annual license fee and a one-time investigation fee by a dealer, the Administrator of Consumer Credit shall conduct an investigation of the applicant prior to issuance of a dealer license.&nbsp;</span></p> <p><span class="cls0">B. Upon the filing of an application, and payment of the fee as provided for in subsection A of Section 1526 of this title, and payment of a fee by an employee of a licensed dealer, the Administrator shall conduct an investigation of the applicant prior to issuance of an employee license.&nbsp;</span></p> <p><span class="cls0">C. Upon renewal of a license for either a dealer or an employee, the Administrator may conduct an investigation at the Administrator&rsquo;s discretion or at the request of a district attorney for any county in which the applicant has a permanent place of business.&nbsp;</span></p> <p><span class="cls0">D. If the Administrator finds that the financial responsibility, experience and character of the dealer are such as to warrant belief that the business will be operated lawfully and fairly, within the purposes of the Precious Metal and Gem Dealer Licensing Act, the dealer shall be issued a license.&nbsp;</span></p> <p><span class="cls0">E. A separate license shall be required for each location, place or premises used by a dealer for the conducting of business pursuant to the provisions of the Precious Metal and Gem Dealer Licensing Act and each license shall designate the location, place, or premises to which it applies. The business of the dealer shall not be conducted in any place other than that designated by the license. The license shall not be transferable.&nbsp;</span></p> <p><span class="cls0">F. If the Administrator does not find facts sufficient to warrant issuance of a license, the Administrator shall notify the applicant. If within thirty (30) days of such notification the applicant requests a hearing on the application, a hearing shall be held within sixty (60) days after the day of the request. In the event of the denial of a license, the investigation fee shall be retained by the Administrator, but the annual license fee shall be returned to the applicant.&nbsp;</span></p> <p><span class="cls0">G. The Administrator shall grant or deny an application for license within sixty (60) days from the day of filing or from the last day of a hearing as provided in subsection F of this section, unless the period is extended by written agreement between the applicant and the Administrator.&nbsp;</span></p> <p><span class="cls0">H. The Administrator may issue more than one license to any one person upon compliance with the provisions of the Precious Metal and Gem Dealer Licensing Act as to each license. When a dealer wishes to move the dealer&rsquo;s business to another location, the dealer shall give thirty (30) days' written notice to the Administrator, who shall amend the license accordingly.&nbsp;</span></p> <p><span class="cls0">I. Licensed pawnbrokers shall not be subject to any of the fees provided for in this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 5, operative July 1, 1981. Amended by Laws 1982, c. 72, &sect; 2; Laws 2009, c. 431, &sect; 5, eff. July 1, 2009; Laws 2010, c. 415, &sect; 18, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1526. Annual license renewal fee.&nbsp;</span></p> <p><span class="cls0">A. Each year, every dealer, on or before each December 1, shall pay the Administrator of Consumer Credit a fee for each license held by the dealer as the annual fee for the succeeding calendar year. If not renewed, expiration shall occur on December 31 of the year in which the annual fee has been paid.&nbsp;</span></p> <p><span class="cls0">B. Each year, every employee, on or before December 1, shall pay the Administrator a fee for the license held by the employee as the annual fee for the succeeding calendar year. If not renewed, expiration shall occur on December 31 of the year in which the annual fee has been paid.&nbsp;</span></p> <p><span class="cls0">C. There shall be a fee for a late application for renewal of a license received after December 1, which will be placed in the Consumer Credit Administrative Expenses Revolving Fund created in Section 6-301 of Title 14A of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 6, operative July 1, 1981. Amended by Laws 2009, c. 431, &sect; 6, eff. July 1, 2009; Laws 2010, c. 415, &sect; 19, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591527. Municipalities Additional license requirements or fees prohibited Ordinances.&nbsp;</span></p> <p><span class="cls0">No additional licensing requirement or license fee shall be required by any municipal corporation of this state. This act shall not annul or supersede any existing municipal ordinances, nor prevent the enactment of such ordinances, unless such ordinances specifically conflict with the provisions of this act or regulations issued by the Administrator pursuant to the provisions of this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 213, &sect; 7, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59-1528. Denial, suspension or revocation of license - Hearing.&nbsp;</span></p> <p><span class="cls0">A. The Administrator shall appoint an independent hearing examiner to conduct all administrative hearings involving alleged violations of the Precious Metal and Gem Dealer Licensing Act. The independent hearing examiner shall have authority to exercise all powers granted by Article II of the Administrative Procedures Act in conducting hearings. The independent hearing examiner shall have authority to recommend penalties authorized by the Precious Metal and Gem Dealer Licensing Act and issue proposed orders, with proposed findings of fact and proposed conclusions of law, to the Administrator pursuant to Article II of the Administrative Procedures Act. The Administrator shall review the proposed order and issue a final agency order in accordance with Article II of the Administrative Procedures Act. Any person aggrieved by a final agency order of the Administrator may obtain judicial review in accordance with the Oklahoma Administrative Procedures Act. The jurisdiction and venue of any such action shall be in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">The costs of the hearing examiner may be assessed against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">B. The Administrator may, after notice and hearing, deny, decline to renew a license, suspend or revoke any license , order a cease and desist order, impose an administrative fine in an amount not to exceed Five Thousand Dollars ($5,000.00) or impose a combination of such penalties if it is found that:&nbsp;</span></p> <p><span class="cls0">1. The applicant has been convicted of a felony or crime involving fraud, theft, receiving or possession of stolen property in the five (5) years preceding the submission of the application;&nbsp;</span></p> <p><span class="cls0">2. The licensee has failed to pay any fee or charge properly imposed by the Administrator under the authority of the Precious Metal and Gem Dealer Licensing Act;&nbsp;</span></p> <p><span class="cls0">3. The licensee or any entity or individual subject to the Precious Metal and Gem Dealer Licensing Act has violated any provision of the Precious Metal and Gem Dealer Licensing Act or any rule promulgated or order made pursuant to and within the authority of the Precious Metal and Gem Dealer Licensing Act; or&nbsp;</span></p> <p><span class="cls0">4. Any fact or condition exists which, if it had existed or had been known to exist at the time of the original application for a license, clearly would have justified the Administrator in refusing the license.&nbsp;</span></p> <p><span class="cls0">C. Any licensee may surrender any license by delivering it to the Administrator with written notice of its surrender. Such surrender shall not affect the administrative penalty or criminal liability of the licensee for acts committed prior to the surrender of the license.&nbsp;</span></p> <p><span class="cls0">D. No revocation, suspension or surrender of any license shall impair or affect the obligation of any preexisting lawful contract between the licensee and any customer.&nbsp;</span></p> <p><span class="cls0">E. The Commission on Consumer Credit shall prescribe by rule an inspection fee, fee for each license change, duplicate license, or returned check. The inspection fee shall be the same amount as the examination fee for pawnbrokers and shall be payable at the time of license application or license renewal.&nbsp;</span></p> <p><span class="cls0">F. Any entity or individual offering to engage or engaged as a precious metal and gem dealer in this state without a license shall be subject to an administrative fine in an amount not to exceed Five Thousand Dollars ($5,000.00).&nbsp;</span></p> <p><span class="cls0">G. The Administrator may impose an administrative fine as prescribed in subsections B and F of this section, after notice and hearing in accordance with Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">H. Any administrative order or settlement agreement imposing an administrative fine pursuant to this section may be enforced in the same manner as civil judgments in this state. The Administrator may file an application to enforce an administrative order or settlement agreement in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 8, operative July 1, 1981. Amended by Laws 2010, c. 415, &sect; 20, eff. July 1, 2010; Laws 2013, c. 153, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1529. Violations.&nbsp;</span></p> <p><span class="cls0">Willful violation of any of the provisions of this act shall be a misdemeanor upon first conviction punishable by not more than thirty (30) days in the county jail or by a fine not to exceed Five Hundred Dollars ($500.00) or both. Subsequent convictions of a willful violation of this act shall be a felony punishable by not more than three (3) years in the State Penitentiary.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 9, operative July 1, 1981. Amended by Laws 1997, c. 133, &sect; 513, eff. July 1, 1999; Laws 1999, 1st Ex.Sess., c. 5, &sect; 374, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 513 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1530. Records.&nbsp;</span></p> <p><span class="cls0">A. Every dealer shall keep a record of any transaction with any person involving the purchasing of any used item made, or containing in whole or in part, any precious metal, or gem, the following information:&nbsp;</span></p> <p><span class="cls0">1. An account and description of the item purchased, including, if applicable, the manufacturer's name, the model, the model number, the serial number and any engraved marking;&nbsp;</span></p> <p><span class="cls0">2. The amount of money involved in the transaction;&nbsp;</span></p> <p><span class="cls0">3. The date;&nbsp;</span></p> <p><span class="cls0">4. The name, address and driver's license number of the person involved in the transaction with the dealer; if the person has no driver's license, then the date of birth and general physical description, including hair color and approximate height and weight of that person; and&nbsp;</span></p> <p><span class="cls0">5. The signature of the seller.&nbsp;</span></p> <p><span class="cls0">B. The record required by this section shall be kept for a period of four (4) years. Such record shall be made available during regular business hours for inspection by the Department of Consumer Credit and any law enforcement officer authorized by a law enforcement agency to inspect such record.&nbsp;</span></p> <p><span class="cls0">C. No dealer shall be required to furnish the description of any new property purchased from manufacturers or wholesale dealers at an established place of business or of any goods purchased from any bankrupt stock. Such goods shall be accompanied by a bill of sale or other evidence of open and legitimate purchase. The bill of sale shall also be available for inspection during regular business hours.&nbsp;</span></p> <p><span class="cls0">D. No dealer shall be required to furnish a description of property purchased from another licensed dealer or to meet the holding period provided for in Section 1531 of this title if that dealer has met the requirements provided for in subsection A of this section and Section 1531 of this title upon the initial purchase of the property, provided, that each shall record the license number of the other dealer and the amount of the transaction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 10, operative July 1, 1981. Amended by Laws 2013, c. 153, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1531. Certain goods to be kept by dealer - Time period - Procedure.&nbsp;</span></p> <p><span class="cls0">A. Every dealer must keep at the business location designated in the license application, all used articles made, in whole or in part, of precious metals or gems, for inspection by any law enforcement officer and the Department of Consumer Credit at reasonable times for a period of ten (10) days or until the articles have been released by written authorization of any law enforcement officer authorized by the law enforcement agency or its designee, except as provided for in subsection C of Section 1525 of this title. During this period, the appearance of such articles shall not be altered in any way. A dealer is not prohibited from selling or arranging to sell such articles during the ten-day period as long as such articles remain in his or her possession as required by this section.&nbsp;</span></p> <p><span class="cls0">B. Upon approval of the Administrator, a dealer may also designate an additional location for storage of items required to be held under the provisions of the Precious Metal and Gem Dealer Industry Act. This location shall be either a vault or a bank. The address of the designated additional location shall be filed with the Administrator. The Administrator shall require documentation to verify that the additional storage location will be utilized by the dealer, including, but not limited to, a lease or rental agreement between the dealer and the owner of the additional storage location. The Administrator shall also require the name, contact person and telephone number of the additional storage location. The Administrator shall release the designated location only to law enforcement agencies. The designated additional location shall be available for inspection by the Department of Consumer Credit or any law enforcement officer of this state authorized by the law enforcement agency to inspect the same. A dealer shall provide written notice to the Administrator at least thirty (30) days prior to terminating a lease or rental agreement for an additional storage location.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1981, c. 213, &sect; 11, operative July 1, 1981. Amended by Laws 2013, c. 153, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591532. Reports of theft of precious metal.&nbsp;</span></p> <p><span class="cls0">Upon receiving a reported theft of precious metals, all law enforcement agencies shall transmit such reports to the Oklahoma State Bureau of Investigation. The reporting law enforcement agencies shall include any municipality, city, or town or county law enforcement agencies.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1981, c. 213, &sect; 12, operative July 1, 1981. &nbsp;</span></p> <p><span class="cls0">&sect;59-1533. Advertisements.&nbsp;</span></p> <p><span class="cls0">Any advertisement in which a dealer offers to engage as a precious metal and gem dealer in the State of Oklahoma shall include the precious metal and gem dealer license number of the dealer that is issued by the Administrator for the business location at which the dealer is offering to engage as a precious metal and gem dealer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 153, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1534. Implementation.&nbsp;</span></p> <p><span class="cls0">The Administrator, upon approval by the Commission on Consumer Credit, may promulgate administrative rules to implement the provisions of the Precious Metal and Gem Dealer Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 153, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1601. Short title.&nbsp;</span></p> <p><span class="cls0">Chapter 39 of this title shall be known and may be cited as the "Speech-Language Pathology and Audiology Licensing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 1, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 1, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1602. Purpose.&nbsp;</span></p> <p><span class="cls0">It is hereby declared to be a policy of this state that, in order to safeguard the public health, safety and welfare, and to protect the public from being misled by incompetent, unscrupulous and unqualified persons, it is necessary to provide regulatory authority over persons offering speech-language pathology and audiology services to the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 2, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 2, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1603. Definitions.&nbsp;</span></p> <p><span class="cls0">A. As used in the Speech-Language Pathology and Audiology Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Board&rdquo; means the Board of Examiners for Speech-Language Pathology and Audiology;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Person&rdquo; means any individual, partnership, organization or corporation, except that only individuals may be licensed under the Speech-Language Pathology and Audiology Licensing Act;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Licensed speech-language pathologist&rdquo; or &ldquo;licensed audiologist&rdquo; means an individual to whom a license has been issued pursuant to the provisions of the Speech-Language Pathology and Audiology Licensing Act, which license has not expired or has not been suspended or revoked;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Speech-language pathologist&rdquo; means any person who evaluates, examines, counsels or provides rehabilitative services for persons who have or are suspected of having a speech, voice and/or language disorder, and who meets the qualifications set forth in Section 1605 of this title. A speech-language pathologist is permitted to perform such basic audiometric tests and hearing therapy procedures as are consistent with such training;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Speech, voice or language disorders&rdquo; include, but are not limited to, any and all conditions that impede the normal process of human vocal communication;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Practice of speech-language pathology&rdquo; means the rendering or offering to render to any person or the public any speech, voice or language evaluation, examination, counseling or rehabilitation of or for persons who have or are suspected of having a speech, voice and/or language disorder, and/or representing oneself to be a speech-language pathologist;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Audiologist&rdquo; means any person who evaluates, examines, counsels or provides rehabilitative services for persons who have or are suspected of having a hearing disorder, and who meets the qualifications set forth in Section 1605 of this title. An audiologist also may provide consultation regarding noise control and hearing conservation, may conduct tests of vestibular function, may prepare ear impressions, and may provide evaluations of environment or equipment, including calibration, used in testing auditory functioning;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Hearing disorders&rdquo; include, but are not limited to, any or all conditions of decreased or impaired auditory function;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Practice of audiology&rdquo; means the rendering, or offering to render, to any person or the public, the evaluation, examination, counseling or rehabilitation of or for persons who have or are suspected of having a hearing disorder, and/or representing oneself to be an audiologist; and&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Hearing screening&rdquo; means one or more procedures used to identify individuals who may have a hearing loss. Measurements of auditory thresholds are not included in hearing screening programs.&nbsp;</span></p> <p><span class="cls0">B. A person represents himself or herself to be a speech-language pathologist when such person holds himself or herself out to the public by any title or description of services incorporating the words &ldquo;speech-language pathology&rdquo;, &ldquo;speech-language pathologist&rdquo;, &ldquo;speech pathology&rdquo;, &ldquo;speech pathologist&rdquo;, &ldquo;speech therapy&rdquo;, &ldquo;speech therapist&rdquo;, &ldquo;speech correction&rdquo;, &ldquo;speech correctionist&rdquo;, &ldquo;language therapy&rdquo;, &ldquo;language therapist&rdquo;, &ldquo;voice pathology&rdquo;, &ldquo;voice pathologist&rdquo;, &ldquo;voice therapy&rdquo;, &ldquo;voice therapist&rdquo;, &ldquo;logopedics&rdquo;, &ldquo;logopedist&rdquo;, &ldquo;communicology&rdquo;, &ldquo;communicologist&rdquo;, &ldquo;aphasiologist&rdquo;, &ldquo;phoniatrist&rdquo;, &ldquo;speech clinician&rdquo;, &ldquo;speech clinic&rdquo;, &ldquo;speech center&rdquo; or any similar or related term or terms.&nbsp;</span></p> <p><span class="cls0">C. A person represents himself or herself to be an audiologist when such person holds himself or herself out to the public by any title or description of services incorporating the terms &ldquo;audiology&rdquo;, &ldquo;audiologist&rdquo;, &ldquo;audiometry&rdquo;, &ldquo;audiometrist&rdquo;, &ldquo;hearing therapy&rdquo;, &ldquo;hearing therapist&rdquo;, &ldquo;hearing conservation&rdquo;, &ldquo;hearing conservationist&rdquo;, &ldquo;hearing clinician&rdquo;, &ldquo;hearing clinic&rdquo;, &ldquo;hearing center&rdquo;, &ldquo;audiological&rdquo;, &ldquo;audiometrics&rdquo;, or any similar or related term or terms.&nbsp;</span></p> <p><span class="cls0">D. The provision of speech-language pathology or audiology services in this state through telephonic, electronic or other means, regardless of the location of the speech-language pathologist shall constitute the practice of speech-language pathology and/or audiology and shall require licensure in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 3, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 3, eff. July 1, 1998; Laws 2004, c. 280, &sect; 1, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1604. License required - Exceptions and exemptions.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided by this section, no person shall practice speech-language pathology or audiology unless such person is licensed pursuant to the Speech-Language Pathology and Audiology Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The Speech-Language Pathology and Audiology Licensing Act shall not be construed to prevent:&nbsp;</span></p> <p><span class="cls0">1. A person licensed under any other law of this state from engaging in the profession or occupation for which such person is licensed, provided such person does not represent himself or herself to be a speech-language pathologist or audiologist;&nbsp;</span></p> <p><span class="cls0">2. An employee of the federal government, state, county or municipal government, or an agency or political subdivision thereof, from engaging in such employee&rsquo;s duties of employment;&nbsp;</span></p> <p><span class="cls0">3. The hearing testing or any other act conducted by licensed physicians within the scope of their licensed profession or by persons conducting hearing tests or other acts under the direct supervision of the physician;&nbsp;</span></p> <p><span class="cls0">4. The activities and services of a hearing-aid dealer or fitter so long as the activities and services of such dealer or fitter are limited to the selection, adaptation, distribution or sale of hearing aids, and the testing, instruction, and counseling pertaining thereto, as long as such hearing-aid dealer or fitter does not represent himself or herself to be an audiologist;&nbsp;</span></p> <p><span class="cls0">5. A teacher of the deaf and hard of hearing, certified by the Oklahoma State Department of Education, or certified nationally by the Council on Education of the Deaf, from engaging in the profession for which such teacher is trained. The services of a teacher of the deaf and hard-of-hearing shall be directed solely to those persons having or suspected of having a hearing disorder;&nbsp;</span></p> <p><span class="cls0">6. Any person not a resident of this state and who has not established offices in this state, from engaging in the practice of speech-language pathology or audiology in this state for a period that, in the aggregate, does not exceed seven (7) days in any calendar year, if such a person&rsquo;s education and experience is the substantial equivalent to that of a licensed speech-language pathologist or audiologist as described in Section 1605 of this title; and&nbsp;</span></p> <p><span class="cls0">7. The activities of hearing screening programs which are conducted by employees or trained volunteers who are providing these services under the auspices of public or private charitable agencies.&nbsp;</span></p> <p><span class="cls0">C. Notwithstanding any other provision of this section, a person licensed in this state to perform speech pathology or audiology services is hereby designated to be a practitioner of the healing art for purposes of making a referral for speech pathology or audiology services pursuant to the provisions of the Individuals with Disabilities Education Act, Public Law 105-17, as amended, and Section 504 of the Rehabilitation Act of 1973.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 4, emerg. eff. May 17, 1973. Amended by Laws 1982, c. 56, &sect; 1, operative Oct. 1, 1982; Laws 1998, c. 202, &sect; 4, eff. July 1, 1998; Laws 2004, c. 543, &sect; 8, eff. July 1, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1605. Qualifications for licensure.&nbsp;</span></p> <p><span class="cls0">A. To be eligible for licensure by the Board of Examiners for Speech-Language Pathology and Audiology as a speech-language pathologist, the applicant must:&nbsp;</span></p> <p><span class="cls0">1. Hold not less than a master&rsquo;s degree, or the equivalent, with a major emphasis in speech-language pathology or audiology from a regionally accredited academic institution offering a graduate program in speech-language pathology or audiology that meets or exceeds prevailing national standards;&nbsp;</span></p> <p><span class="cls0">2. Submit evidence of completion of supervised clinical practicum experience that meets or exceeds prevailing national standards from a regionally accredited educational institution or its cooperating programs, the content of which shall be approved by the Board and delineated in the rules;&nbsp;</span></p> <p><span class="cls0">3. Submit evidence of completion of supervised postgraduate professional experience as approved by the Board and described in the rules;&nbsp;</span></p> <p><span class="cls0">4. Pass examinations approved by the Board, whether or not administered by the Board; application for examination for a license or for a license without examination shall be upon forms prescribed by the Board; the Board may require that the application be verified; the license fee, which shall include an examination fee of not to exceed Twenty-five Dollars ($25.00), shall accompany the application; the cost of examinations administered by the Board shall be included in the examination fee; the Board shall determine the subject and scope of the examinations, and shall provide for examinations to qualified applicants at least twice a year; an applicant who fails the examination may be reexamined at a subsequent examination upon payment of another examination fee. Only the Board has the power to determine whether an applicant&rsquo;s examination has been passed or failed;&nbsp;</span></p> <p><span class="cls0">5. Attest to their status as either a United States citizen, a United States noncitizen national or a qualified alien;&nbsp;</span></p> <p><span class="cls0">6. Have not committed any acts described in Section 1619 of this title for which disciplinary action may be justified; and&nbsp;</span></p> <p><span class="cls0">7. Be of good moral character.&nbsp;</span></p> <p><span class="cls0">B. To be eligible for initial licensure by the Board as an audiologist, the applicant must:&nbsp;</span></p> <p><span class="cls0">1. Through December 31, 2006, hold not less than a master&rsquo;s degree, or the equivalent, with major emphasis in audiology from a regionally accredited academic institution offering a graduate or postbaccalaureate professional degree program in audiology that meets or exceeds prevailing national standards. After December 31, 2006, each audiology applicant shall hold not less than a postbaccalaureate residential or a post-master&rsquo;s distance education professional Doctor of Audiology degree (Au.D.), a Doctor of Philosophy degree (Ph.D.) with emphasis in audiology, or its equivalent as determined by the Board, from a regionally accredited academic institution;&nbsp;</span></p> <p><span class="cls0">2. Through December 31, 2006, submit evidence of completion of supervised clinical practicum experience that meets or exceeds prevailing national standards from a regionally accredited educational institution or its cooperating programs, the content of which shall be approved by the Board and delineated in the rules. After December 31, 2006, applicants applying with a residential Doctor of Audiology professional degree (Au.D) must demonstrate preparation that includes three years of didactic coursework and clinical education equivalent to a twelve-month, full-time clinical rotation or externship;&nbsp;</span></p> <p><span class="cls0">3. Through December 31, 2006, submit evidence of completion of supervised postgraduate professional experience, as approved by the Board and described in the rules. After December 31, 2006, applicants will be required to present to the Board only a copy of the Doctor of Audiology diploma along with a transcript demonstrating clinical experience equivalent to a twelve-month, full-time clinical rotation or externship, a copy of the Doctor of Philosophy diploma with an emphasis in audiology and a transcript reflecting a twelve&ndash;month, full-time clinical rotation or externship, or the equivalent as determined by the Board, from an accredited academic institution in order to demonstrate completion of the clinical rotation or externship requirement;&nbsp;</span></p> <p><span class="cls0">4. Pass examinations approved by the Board, whether or not administered by the Board; application for examination for a license or for a license without examination shall be upon forms prescribed by the Board; the Board may require that the application be verified; the license fee, which shall include an examination fee not to exceed Twenty-five Dollars ($25.00), shall accompany the application; the cost of examinations administered by the Board shall be included in the examination fee; the Board shall determine the subject and scope of the examinations and shall provide for examinations to qualified applicants at least twice a year; an applicant who fails the examination may be reexamined at a subsequent examination upon payment of another examination fee. Only the Board has the power to determine whether an applicant&rsquo;s examination has been passed or failed;&nbsp;</span></p> <p><span class="cls0">5. Attest to their status as either a United States citizen, a United States noncitizen national or a qualified alien;&nbsp;</span></p> <p><span class="cls0">6. Have not committed any acts described in Section 1619 of this title for which disciplinary action may be justified; and&nbsp;</span></p> <p><span class="cls0">7. Be of good moral character.&nbsp;</span></p> <p><span class="cls0">C. To be eligible for licensure by the Board as an intern, the applicant must be in the process of fulfilling the supervised clinical experience required in paragraph 2 of subsection A of this section, or be a student, intern or resident in speech-language pathology or audiology, pursuing a course of study at an accredited university or college, or working in a training center recognized by the applicant&rsquo;s accredited university or college, if these activities and services constitute a part of the applicant&rsquo;s supervised course of study, and if such person is designated by such title as &ldquo;speech-language pathology intern&rdquo;, &ldquo;speech-language pathology trainee&rdquo;, &ldquo;audiology intern&rdquo;, &ldquo;audiology trainee&rdquo; or other such title clearly indicating the training status appropriate to the applicant&rsquo;s level of training.&nbsp;</span></p> <p><span class="cls0">D. To be eligible for licensure by the Board as a speech-language pathology or audiology assistant, the applicant must be assisting in the practice of speech-language pathology or audiology while in the employ of and under the supervision of a licensed speech-language pathologist or audiologist, subject to the rules of the Board. The licensed speech-language pathologist or audiologist is legally and ethically responsible for the professional activities of such employees.&nbsp;</span></p> <p><span class="cls0">E. To be eligible for licensure by the Board as a speech-language pathology or audiology temporary license holder, the applicant must meet all the requirements specified in subsection A of this section. A temporary license will be issued following a credentials review, such temporary license being valid until the next regularly held Board meeting.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 5, emerg. eff. May 17, 1973. Amended by Laws 1982, c. 56, &sect; 2, operative Oct. 1, 1982; Laws 1994, c. 197, &sect; 1, eff. July 1, 1994; Laws 1998, c. 202, &sect; 5, eff. July 1, 1998; Laws 2004, c. 280, &sect; 2, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1606. Waiver of examination requirement.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology shall waive the examination and grant a license to applicants who present proof of current licensure in a state or country whose requirements for licensure are substantially equivalent to those of the Speech-Language Pathology and Audiology Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall waive the examination and grant a license to those who hold the Certificate of Clinical Competence of the American Speech and Hearing Association or its current equivalent in the area for which they are applying for licensure, provided the requirements for such certification are equivalent to or greater than those for licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 6, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 6, eff. July 1, 1998; Laws 2004, c. 280, &sect; 3, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1607. Board of Examiners for Speech-Language Pathology and Audiology &ndash; Members &ndash; Duties - Reimbursement.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created, to continue until July 1, 2015, in accordance with the provisions of the Oklahoma Sunset Law, the Board of Examiners for Speech-Language Pathology and Audiology whose duty it is to administer the provisions of the Speech-Language Pathology and Audiology Licensing Act. The members of the Board shall be residents of this state and shall be appointed by the Governor with the advice and consent of the Senate. The Board shall be composed of five (5) members consisting of three licensed speech-language pathologists or audiologists, provided that at least one of the three shall be a licensed speech-language pathologist and at least one a licensed audiologist; one otolaryngologist who is certified by the American Board of Otolaryngology and one lay member.&nbsp;</span></p> <p><span class="cls0">B. The members of the original Board shall serve the following terms: one member for one (1) year, two members for two (2) years, and two members for three (3) years. Thereafter, at the expiration of the term, or termination of the member&rsquo;s service for any reason, the Governor shall appoint each successor for a term of three (3) years, or for the remainder of an unexpired term. The successor for any of the three speech-language pathologists or audiologists will be selected from a list of five licensed speech-language pathologists or audiologists, furnished by the Oklahoma Speech-Language-Hearing Association. The re-creation of the Board shall not affect the staggered terms of office for Board members established with the original Board.&nbsp;</span></p> <p><span class="cls0">C. Before entering upon the duties of the member&rsquo;s office, each member of the Board shall take the Constitutional oath of office and file it with the Secretary of State.&nbsp;</span></p> <p><span class="cls0">D. Board members may be reappointed to serve one additional three-year term. Three (3) years after the termination of a previous appointment to the Board, a member may be reappointed for one additional three-year term.&nbsp;</span></p> <p><span class="cls0">E. Board members shall be reimbursed for travel expenses incurred in the performance of their duties as provided in the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 7, emerg. eff. May 17, 1973. Amended by Laws 1982, c. 56, &sect; 3, operative Oct. 1, 1982; Laws 1988, c. 225, &sect; 16; Laws 1994, c. 197, &sect; 2, eff. July 1, 1994; Laws 1998, c. 202, &sect; 7, eff. July 1, 1998; Laws 2000, c. 88, &sect; 1; Laws 2004, c. 280, &sect; 4, eff. July 1, 2004; Laws 2006, c. 49, &sect; 1; Laws 2012, c. 59, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1608. Removal of Board members.&nbsp;</span></p> <p><span class="cls0">The Governor may remove any member of the Board of Examiners for Speech-Language Pathology and Audiology for misconduct, incompetence or neglect of duty, after giving the member a written statement of charges, and opportunity for a hearing.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 8, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 8, eff. July 1, 1998; Laws 2004, c. 280, &sect; 5, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1609. Meetings - Quorum - Executive secretary - Employees - Space.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology shall hold a regular annual meeting at its last meeting of the fiscal year at which it shall elect from its membership a chairman, a vice-chairman, and a secretary. Other regular meetings shall be held at such times as the rules of the Board may provide. Special meetings may be held at such times as may be deemed necessary or advisable by a majority of the Board members. At least one (1) week's notice of all meetings shall be given in a manner prescribed by the rules of the Board.&nbsp;</span></p> <p><span class="cls0">B. All meetings of the Board shall be open and public except that the Board may hold a closed executive session:&nbsp;</span></p> <p><span class="cls0">1. To prepare, approve, grade or administer examinations; and&nbsp;</span></p> <p><span class="cls0">2. Upon request of an applicant who fails an examination to prepare a response indicating the cause of the applicant's failure.&nbsp;</span></p> <p><span class="cls0">C. Three members of the Board shall constitute a quorum.&nbsp;</span></p> <p><span class="cls0">D. An executive secretary shall be appointed by the Board, and shall hold office at the pleasure of the Board. The Board may employ such other persons and may rent or purchase such space and equipment as it deems necessary or desirable to carry out the provisions of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 9, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 9, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1610. Powers and duties of Board.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology, in addition to the other powers and duties prescribed by the Speech-Language Pathology and Audiology Licensing Act, shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Regulate the practice of speech-language pathology and audiology in this state;&nbsp;</span></p> <p><span class="cls0">2. Examine the applicants and issue the appropriate licenses pursuant to the provisions of the Speech-Language Pathology and Audiology Licensing Act to applicants qualified in the practice of speech-language pathology and audiology;&nbsp;</span></p> <p><span class="cls0">3. Continue in effect, suspend, revoke, modify or deny, pursuant to the provisions of the Speech-Language Pathology and Audiology Licensing Act and such conditions as the Board may prescribe, licenses for the practice of speech-language pathology and audiology in this state;&nbsp;</span></p> <p><span class="cls0">4. Investigate complaints and hold hearings pursuant to the provisions of the Speech-Language Pathology and Audiology Licensing Act and the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">5. Initiate prosecutions against licensees in violation of the provisions of the Speech-Language Pathology and Audiology Licensing Act;&nbsp;</span></p> <p><span class="cls0">6. Reprimand or place on probation, or both, any holder of a license pursuant to the provisions of the Speech-Language Pathology and Audiology Licensing Act;&nbsp;</span></p> <p><span class="cls0">7. Adopt and promulgate standards of conduct for speech-language pathologists and audiologists consistent with accepted national standards;&nbsp;</span></p> <p><span class="cls0">8. Develop and promulgate rules necessary to effectuate the provisions of the Speech-Language Pathology and Audiology Licensing Act;&nbsp;</span></p> <p><span class="cls0">9. Enforce rules promulgated pursuant to the provisions of the Speech-Language Pathology and Audiology Licensing Act;&nbsp;</span></p> <p><span class="cls0">10. Communicate disciplinary actions to relevant state and federal authorities, to other state speech-language pathology and audiology licensing authorities requesting such information, and to other state and national professional associations requesting such information; and&nbsp;</span></p> <p><span class="cls0">11. Exercise all incidental powers and duties which are necessary and proper to effectuate the provisions of the Speech-Language Pathology and Audiology Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The conferral or enumeration of specific powers elsewhere in the Speech-Language Pathology and Audiology Licensing Act shall not be construed as a limitation of the general functions conferred by this section.&nbsp;</span></p> <p><span class="cls0">C. No member of the Board shall be liable for civil action for any act performed in good faith in the performance of the member's duties as prescribed by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 10, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 10, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1611. Code of ethics.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology shall publish a code of ethics. The code shall take into account the professional character of speech-language and hearing services, and shall be designed to protect the interests of the client and the public.&nbsp;</span></p> <p><span class="cls0">B. In developing and revising the code of ethics, the Board shall hold hearings where interested persons may be heard on the subject. In addition, the Board will take into account the ethical standards promulgated by the American Speech-Language-Hearing Association.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 11, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 11, eff. July 1, 1998; Laws 2004, c. 280, &sect; 6, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1612. Seal - Official records as prima facie evidence.&nbsp;</span></p> <p><span class="cls0">The Board of Examiners for Speech-Language Pathology and Audiology shall adopt a seal by which it shall authenticate the Board's proceedings. Copies of the proceedings, records and acts of the Board, and certificates purporting to relate the facts concerning such proceedings, records and acts, signed by the executive secretary and authenticated by said seal, shall be prima facie evidence in all courts of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 12, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 12, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1613. Rules.&nbsp;</span></p> <p><span class="cls0">In addition to the powers and duties granted to the Board of Examiners for Speech-Language Pathology and Audiology by other provisions of the Speech-Language Pathology and Audiology Licensing Act, the Board shall promulgate rules, not inconsistent with the Constitution and laws of this state, that are reasonably necessary to the conduct of its duties and proceedings.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 13, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 13, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1614. Speech-Language Pathology and Audiology Licensing Fund.&nbsp;</span></p> <p><span class="cls0">A. The executive secretary of the Board of Examiners for Speech-Language Pathology and Audiology shall receive and account for all monies derived from the Speech-Language Pathology and Audiology Licensing Act. The executive secretary of the Board shall pay these monies monthly to the State Treasurer who shall keep them in a separate fund to be known as the &ldquo;Speech-Language Pathology and Audiology Licensing Fund&rdquo;.&nbsp;</span></p> <p><span class="cls0">B. All monies received in the fund are hereby appropriated to the Board. Monies may be paid out of the fund upon proper voucher approved by the chair of the Board, and attested by the executive secretary of the Board.&nbsp;</span></p> <p><span class="cls0">C. All monies in the Speech-Language Pathology and Audiology Licensing Fund at the end of each fiscal year, being the unexpended balance of such fund, shall be carried forward and placed to the credit of the fund for the succeeding fiscal year.&nbsp;</span></p> <p><span class="cls0">D. Only the Board shall make expenditures from the fund for any purpose that is reasonably necessary to carry out the provisions of the Speech-Language Pathology and Audiology Licensing Act.&nbsp;</span></p> <p><span class="cls0">E. No money shall ever be paid from the General Revenue Fund for the administration of the Speech-Language Pathology and Audiology Licensing Act.&nbsp;</span></p> <p><span class="cls0">F. Any expenses or liabilities incurred by the Board shall not constitute a charge on any state funds other than the Speech-Language Pathology and Audiology Licensing Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 14, emerg. eff. May 17, 1973. Amended by Laws 1980, c. 159, &sect; 16, emerg. eff. April 2, 1980; Laws 1998, c. 202, &sect; 14, eff. July 1, 1998; Laws 2004, c. 280, &sect; 7, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1615. Repealed by Laws 1998, c. 202, &sect; 24, eff. July 1, 1998.&nbsp;</span></p> <p><span class="cls0">&sect;59-1615.1. Fees.&nbsp;</span></p> <p><span class="cls0">A. All licensing fees, renewal fees, and replacement fees shall be amounts fixed by the Board of Examiners for Speech-Language Pathology and Audiology. The Board shall fix the amount of the fees so that the total fees collected will be sufficient to meet the expenses of administering the provisions of the Speech-Language Pathology and Audiology Licensing Act, and so there are no unnecessary surpluses in the Speech-Language Pathology and Audiology Licensing Fund.&nbsp;</span></p> <p><span class="cls0">B. The Board shall not fix a license fee at an amount in excess of One Hundred Dollars ($100.00), a renewal fee at an amount in excess of One Hundred Dollars ($100.00), or a fee for the issuance of a license to replace a license which was lost, destroyed, mutilated, or revoked at an amount in excess of Twenty-five Dollars ($25.00). The fees shall accompany the respective application.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1998, c. 202, &sect; 15, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1616. License certificates - Renewals - Inactive status.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology shall issue a license certificate to each person whom it registers as a speech-language pathologist and/or audiologist. Licensure shall be granted in either speech-language pathology or audiology independently. Qualified applicants may be independently licensed in both. The certificate shall show the full legal name of the licensee and shall bear a serial number. The serial number is exclusive and not transferable. The certificate shall be signed by the chair and executive secretary of the Board under the seal of the Board.&nbsp;</span></p> <p><span class="cls0">B. Licenses for independent practitioners expire on the 31st day of December following their issuance or renewal, and are invalid thereafter unless renewed. The Board shall notify every person licensed pursuant to the Speech-Language Pathology and Audiology Licensing Act of the date of expiration and the amount of the renewal fee. This notice shall be mailed at least one (1) month before the expiration of the license. Renewal may be made at any time during the months of November or December upon application therefore, and by payment of the renewal fee. Failure on the part of any licensed person to pay such person&rsquo;s renewal fee before the first day in January does not deprive the person of the person&rsquo;s right to renew the person&rsquo;s license, but the fee to be paid for renewal after December shall be increased by fifty percent (50%) for each month or fraction thereof that the payment is delayed, up to a maximum of three times the current renewal fee.&nbsp;</span></p> <p><span class="cls0">C. A licensed speech-language pathologist or audiologist may place such person&rsquo;s license on inactive status if, prior to expiration of the person&rsquo;s license, the person makes written application to the Board for such status and pays a fee of Twenty-five Dollars ($25.00). Thereafter, the person may renew such person&rsquo;s license upon payment of a renewal fee equal to one and one-half (1 1/2) times the then current license fee. During the period of time the person&rsquo;s license is in an inactive status, the person shall not engage in the practice of speech-language pathology or audiology in the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 16, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 16, eff. July 1, 1998; Laws 2004, c. 280, &sect; 8, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1616.1. Continuing education programs.&nbsp;</span></p> <p><span class="cls0">The Board of Examiners for Speech-Language Pathology and Audiology is hereby authorized to establish requirements of continuing education as a condition for the renewal of licensure of speech-language pathologists and audiologists. The Board may assess a reasonable fee to be paid by entities sponsoring continuing education programs. Rules concerning accreditation of continuing education programs and other educational experience, and the assignment of credit for participation therein must be promulgated by the Board at least one (1) year prior to implementation of continuing education.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1998, c. 202, &sect; 17, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1617. List of licensees - Publication - Distribution.&nbsp;</span></p> <p><span class="cls0">The Board of Examiners for Speech-Language Pathology and Audiology shall publish a list of all licensed speech-language pathologists and licensed audiologists, including the name and business address of each licensed person, the area in which the person is licensed, and such other information as the Board deems appropriate. This list will be published on the web site for the Board of Examiners for Speech-Language Pathology and Audiology in printable format and updated quarterly. A copy of the list will be placed on file with the Secretary of State annually. Copies will be furnished to licensees and the public upon request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 17, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 18, eff. July 1, 1998; Laws 2004, c. 280, &sect; 9, eff. July 1, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1618. Fees as exclusive.&nbsp;</span></p> <p><span class="cls0">The fees promulgated by the Board of Examiners for Speech-Language Pathology and Audiology shall be exclusive and no municipality shall have the right to require any person licensed under the provisions of the Speech-Language Pathology and Audiology Licensing Act to furnish any bond, pass any examination or pay any license fee or occupational tax.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 18, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 19, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1619. Disciplinary actions - Grounds - Notice and hearing - Appeal - Restoration.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology may impose separately, or in combination, any of the following disciplinary actions on a licensee after formal disciplinary action as provided in the Speech-Language Pathology and Audiology Licensing Act: suspend or revoke a license, issue a letter of reprimand, impose probationary conditions, impose an administrative fine not to exceed Ten Thousand Dollars ($10,000.00), and assess reasonable costs. Disciplinary actions may be taken by the Board upon proof that the licensee:&nbsp;</span></p> <p><span class="cls0">1. Has been guilty of fraud or deceit in connection with the person's services rendered as a speech-language pathologist and/or audiologist;&nbsp;</span></p> <p><span class="cls0">2. Has aided or abetted a person who is not a licensed speech-language pathologist and/or audiologist and who is not an employee of and under the supervision of a licensed speech-language pathologist or audiologist and subject to the rules of the Board, in illegally engaging in the practice of speech-language pathology or audiology within this state;&nbsp;</span></p> <p><span class="cls0">3. Has been guilty of unprofessional conduct as defined by the rules established by the Board or has violated the code of ethics made and published by the Board;&nbsp;</span></p> <p><span class="cls0">4. Has used fraud or deception in applying for a license or in passing an examination provided for in the Speech-Language Pathology and Audiology Licensing Act;&nbsp;</span></p> <p><span class="cls0">5. Has been grossly negligent in the practice of the person's profession;&nbsp;</span></p> <p><span class="cls0">6. Has willfully violated any of the provisions of the Speech-Language Pathology and Audiology Licensing Act or any rules promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">7. Has violated federal, state or local laws relating to the profession. A copy of the record of conviction, certified by the clerk of the court entering the conviction, shall be conclusive evidence of conviction; or&nbsp;</span></p> <p><span class="cls0">8. Has been convicted or has pled guilty or nolo contendere to a felony or to a crime involving moral turpitude, whether or not any appeal or other proceeding is pending to have the conviction or plea set aside. A copy of the record of conviction, certified by the clerk of the court entering the conviction, shall be conclusive evidence of conviction.&nbsp;</span></p> <p><span class="cls0">B. 1. No disciplinary action shall be imposed until after a hearing before the Board. A notice of at least thirty (30) days shall be served, either personally or by certified mail, to the licensee charged, stating the time and place of the hearing, and setting forth the ground or grounds constituting the charges against the licensee. The licensee shall be entitled to be heard in such person's defense either in person or by counsel, and may produce testimony and may testify in the person's own behalf.&nbsp;</span></p> <p><span class="cls0">2. A record of such hearing shall be taken and preserved.&nbsp;</span></p> <p><span class="cls0">3. The hearing may be adjourned from time to time. If, after due receipt of notice of a hearing, the licensee shall be unable to appear for good cause shown, then a continuance shall be granted by the Board. The time allowed shall be at the discretion of the Board, but in no instance shall it be less than two (2) weeks from the originally scheduled date of the hearing.&nbsp;</span></p> <p><span class="cls0">4. If a licensee pleads guilty, or if upon hearing the charges, a majority of the Board finds them to be true, the Board shall impose its disciplinary action against the licensee. The Board shall record its findings and order in writing.&nbsp;</span></p> <p><span class="cls0">C. 1. The Board, through its chairman or vice-chairman, may administer oaths and may compel the attendance of witnesses and the production of physical evidence before it from witnesses upon whom process is served anywhere within the state, as in civil cases in the district court, by subpoena issued over the signature of the chairman or vice-chairman and the seal of the Board.&nbsp;</span></p> <p><span class="cls0">2. Upon request by an accused speech-language pathologist and/or audiologist, and statement under oath that the testimony or evidence is reasonably necessary to the person's defense, the Board shall use this subpoena power in behalf of the accused speech-language pathologist and/or audiologist.&nbsp;</span></p> <p><span class="cls0">3. The subpoenas shall be served, and a return of service thereof made, in the same manner as a subpoena is served out of the district courts in this state, and as a return in such case is made.&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;4. If a person fails and refuses to attend in obedience to such subpoena, or refuses to be sworn or examined or answer any legally proper question propounded by any member of said Board or any attorney or licensee upon permission from said Board, such person shall be guilty of a misdemeanor, and, upon conviction, may be punished by a fine not to exceed Two Hundred Fifty Dollars ($250.00) or by confinement in the county jail not to exceed ninety (90) days, or both.&nbsp;</span></p> <p><span class="cls0">D. 1. Any person who feels aggrieved by reason of the imposition of disciplinary action may appeal to the Board for a review of the case or may seek judicial review pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">2. The suit shall be filed against the Board as defendant, and service of process shall be upon either the chairman or executive secretary of the Board.&nbsp;</span></p> <p><span class="cls0">3. The judgment of the district court may be appealed to the Supreme Court of Oklahoma in the same manner as other civil cases.&nbsp;</span></p> <p><span class="cls0">E. Upon a vote of three of its members, the Board may restore a license which has been revoked or reduce the period of suspension.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 19, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 20, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1620. Jurisdiction of district court.&nbsp;</span></p> <p><span class="cls0">A. The Board of Examiners for Speech-Language Pathology and Audiology, the Attorney General or the local district attorney may apply to the district court in the county in which a violation of the Speech-Language Pathology and Audiology Licensing Act is alleged to have occurred for an order enjoining or restraining the commission or continuance of such alleged violations. Thereupon, the court has jurisdiction over the proceedings, and may grant such temporary or permanent injunction or restraining order, without bond, as it deems just and proper.&nbsp;</span></p> <p><span class="cls0">B. The remedy provided by this section is in addition to, and independent of, any other remedies available for the enforcement of the Speech-Language Pathology and Audiology Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 20, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 21, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1621. Penalties.&nbsp;</span></p> <p><span class="cls0">Any person who represents himself or herself to be a speech-language pathologist and/or audiologist or engages in the practice of speech-language pathology and/or audiology within this state without being licensed or exempted in accordance with the provisions of the Speech-Language Pathology and Audiology Licensing Act shall be deemed guilty of a misdemeanor and, upon conviction thereof, shall be fined not more than Five Hundred Dollars ($500.00) or be confined to jail for not more than six (6) months, or both such fine or confinement. Each day of violation is a separate offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 21, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 22, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1622. Annual reports.&nbsp;</span></p> <p><span class="cls0">The Board of Examiners for Speech-Language Pathology and Audiology shall make an annual report to the Governor, not later than the fifteenth day of November of each year. The report shall contain an account of all monies received, licenses issued, suspended or revoked, and all expenditures made by the Board in the twelve (12) months prior to said date.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1973, c. 203, &sect; 22, emerg. eff. May 17, 1973. Amended by Laws 1998, c. 202, &sect; 23, eff. July 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591624. Citation.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma Welding Act."&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 1, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591625. Description and legislative intent.&nbsp;</span></p> <p><span class="cls0">A. This act describes the welding inspector's basic technical functions, the requirements by which welding personnel may become qualified, and the principles of conduct and practice by which certification may be maintained. The certification procedure shall apply to personnel who inspect weldments.&nbsp;</span></p> <p><span class="cls0">B. This act is intended to supplement any requirements of an employer, code, standard or specification and shall not be construed as a preemption of the employer's responsibility for the work or for the performance of such work.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 2, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;59-1626. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in this act:&nbsp;</span></p> <p><span class="cls0">1. "Certificate" means the document issued to an applicant upon successful examination;&nbsp;</span></p> <p><span class="cls0">2. "Certification" means the testimony of qualifications;&nbsp;</span></p> <p><span class="cls0">3. "Code" means United States of America National Standard Institute Code;&nbsp;</span></p> <p><span class="cls0">4. "Committee" means the Oklahoma State Labor Department, Boiler Inspection Department, Chief Boiler Inspector;&nbsp;</span></p> <p><span class="cls0">5. "Qualification" means the successful completion of all parts of the requirements set out by the Oklahoma Department of Labor;&nbsp;</span></p> <p><span class="cls0">6. "Welding inspector" means a person who has met the requirements of this act;&nbsp;</span></p> <p><span class="cls0">7. "Weldtesting facility" means a qualified and approved testing facility approved by the Oklahoma Department of Labor;&nbsp;</span></p> <p><span class="cls0">8. "Weldment" means a welded assembly in which the bulk of the component parts are prepared and joined by any combination of the cutting and welding processes covered by Section 1628 of this title;&nbsp;</span></p> <p><span class="cls0">9. "Work" means that portion of the product or weldment that specifically involves or affects the use of welding;&nbsp;</span></p> <p><span class="cls0">10. "Welder" means a person who has met the requirements of this act; and&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Structural steel or steel deck welding&rdquo; has the same meaning as defined in American Welding Society D1.1 and D1.3.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 104, &sect; 3, eff. Oct. 1, 1978. Amended by Laws 1979, c. 171, &sect; 1, emerg. eff. May 15, 1979; Laws 2008, c. 312, &sect; 11, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591627. Welding inspectors Powers and duties.&nbsp;</span></p> <p><span class="cls0">A welding inspector shall have the following powers and duties:&nbsp;&nbsp;1. Verify that the work which he inspects conforms to the requirements of the applicable codes, standards and job specifications;&nbsp;</span></p> <p><span class="cls0">2. Verify that the base materials and consumable welding materials conform to the specification requirements and that the specified welding filler metals are used on each base metal or combination of base metals;&nbsp;</span></p> <p><span class="cls0">3. Verify that the welding equipment to be used for the work is that which is specified in the welding procedure and has the capability to produce the specified welds;&nbsp;</span></p> <p><span class="cls0">4. Verify that the welding procedures are as specified, qualified and available to the welders for reference;&nbsp;</span></p> <p><span class="cls0">5. Verify that the welders have been properly qualified in accordance with the applicable codes and standards, and that their qualification authorizes them to use the welding procedures specified for the work. If there is evidence that the welder's work does not conform to the requirements of the applicable code, standard or specification, the welding inspector may require requalification of a welder, if that person's qualification is not current by the requirements of the applicable codes, standards or specifications;&nbsp;</span></p> <p><span class="cls0">6. When qualifying welders, the welding inspector shall observe the qualification tests;&nbsp;</span></p> <p><span class="cls0">7. Verify that only specified and properly qualified welding procedures are used for the work;&nbsp;</span></p> <p><span class="cls0">8. Verify that the joint preparation and fitup meets the requirements of the welding procedure and drawings;&nbsp;</span></p> <p><span class="cls0">9. Verify that the specified filler metals are used and that the filler metals are maintained in proper condition for use as specified;&nbsp;</span></p> <p><span class="cls0">10. Observe the technique and performance of each welder;&nbsp;</span></p> <p><span class="cls0">11. Examine the work for conformance to the requirements of the applicable codes, standards, specifications and drawings;&nbsp;</span></p> <p><span class="cls0">12. Identify the work he inspects with specified marking methods or appropriate records;&nbsp;</span></p> <p><span class="cls0">13. Perform the necessary visual inspections;&nbsp;</span></p> <p><span class="cls0">14. Verify that the required visual and other nondestructive examinations have been performed by qualified personnel in the specified manner. He shall review the resulting information to assure that the results are complete. The welding inspector may perform nondestructive examinations that are specified, providing he is qualified in accordance with the specified requirements; and&nbsp;</span></p> <p><span class="cls0">15. Prepare clear and concise reports and keep necessary records of the welding procedure, the welding procedure qualifications, the welding qualifications, the control of welding materials and the results of inspections and tests. It shall be the duty of the welding inspector to see that all test results are forwarded to the Department of Labor for issuance of welder certification cards.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 4, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591628. Applicants for certification Qualifications.&nbsp;</span></p> <p><span class="cls0">Each applicant for certification as a welding inspector shall have the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. Maintenance experience involving the detection and measurement of weld inadequacies or discontinuities in accordance with specified procedures;&nbsp;</span></p> <p><span class="cls0">2. Repair experience involving the repair or replacement of welds that were determined inadequate or defective by reference to a code, standard, specification or drawing;&nbsp;</span></p> <p><span class="cls0">3. Familiarity with and understanding of the fundamentals of the following processes:&nbsp;</span></p> <p><span class="cls0">a. shielded metal arc welding,&nbsp;</span></p> <p><span class="cls0">b. stud arc welding,&nbsp;</span></p> <p><span class="cls0">c. submerged arc welding,&nbsp;</span></p> <p><span class="cls0">d. flux cored arc welding,&nbsp;</span></p> <p><span class="cls0">e. gas metal arc welding,&nbsp;</span></p> <p><span class="cls0">f. gas tungsten arc welding,&nbsp;</span></p> <p><span class="cls0">g. electroslag welding,&nbsp;</span></p> <p><span class="cls0">h. oxyfuel gas welding,&nbsp;</span></p> <p><span class="cls0">i. brazing,&nbsp;</span></p> <p><span class="cls0">j. thermal cutting, and&nbsp;</span></p> <p><span class="cls0">k. mechanical cutting.&nbsp;</span></p> <p><span class="cls0">Cutting processes refer only to those processes that are applied to the fabrication and repair of weldments;&nbsp;</span></p> <p><span class="cls0">4. Capability in writing clear and concise reports and maintaining records; and&nbsp;</span></p> <p><span class="cls0">5. Competency in the use of tools, gauges and instruments pertaining to weld inspection.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 5, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;59-1629. Certification of applicants.&nbsp;</span></p> <p><span class="cls0">The Oklahoma State Labor Department shall issue to each applicant successfully meeting the qualifications requirements provided in Section 1628 of this title a certificate stating that the applicant has met the certification requirements. The certificate shall be valid for one (1) year unless revoked pursuant to Section 1631 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 104, &sect; 6, eff. Oct. 1, 1978. Amended by Laws 2008, c. 312, &sect; 12, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591630. Standards of skills, practice and conduct of welding inspectors.&nbsp;</span></p> <p><span class="cls0">A. In order to safeguard the public health and wellbeing and to maintain integrity and high standards of skills, practice and conduct in the occupation of welding inspection, the certified welding inspector shall be cognizant of the principles provided in this section and the scope to which they apply with the understanding that any unauthorized practice is subject to the Committee's review and may result in suspension or revocation of certification.&nbsp;</span></p> <p><span class="cls0">B. The welding inspector shall act with complete integrity in professional matters and be forthright and candid to the representatives on matters pertaining to this act.&nbsp;</span></p> <p><span class="cls0">C. The welding inspector shall preserve the health and wellbeing of the public by performing the duties required of welding inspectors in a conscientious and impartial manner to the full extent of his moral and civic responsibilities and qualifications. Accordingly, the welding inspector shall:&nbsp;</span></p> <p><span class="cls0">1. Undertake and perform assignments only when qualified by training, experience and capability; and&nbsp;</span></p> <p><span class="cls0">2. Be completely objective, thorough and factual in any written report, statement or testimony of the work and include all relevant or pertinent information in such communiques or testimonials.&nbsp;</span></p> <p><span class="cls0">D. With regard to public statements, the welding inspector shall:&nbsp;</span></p> <p><span class="cls0">1. Issue no statements, criticisms or arguments on weld inspection matters connected with public policy which are inspired or paid for by one or more interested parties without first identifying the party and speaker, and disclosing any possible pecuniary interest; and&nbsp;</span></p> <p><span class="cls0">2. Publicly express no opinion on a weld inspection subject unless it is founded upon an adequate knowledge of the facts in issue, upon a background of technical competence pertinent to the subject, and upon honest conviction of the accuracy and propriety of the statement.&nbsp;</span></p> <p><span class="cls0">E. With regard to conflicts of interest, the welding inspector shall:&nbsp;</span></p> <p><span class="cls0">1. Conscientiously avoid conflict of interest with his client and shall disclose any business association, interests or circumstances that might be so considered;&nbsp;</span></p> <p><span class="cls0">2. Not accept compensation, financial or otherwise, from more than one party for services on the same project, or for services pertaining to the same project, unless the circumstances are fully disclosed and agreed to by all interested parties or their authorized agents;&nbsp;</span></p> <p><span class="cls0">3. Not solicit or accept gratuities, directly or indirectly, from one or more parties dealing with the client or employer in connection with the welding inspector's work; and&nbsp;</span></p> <p><span class="cls0">4. Neither inspect, review nor approve any work on behalf of one or more parties, while serving in the capacity of an elected, retained or employed public official.&nbsp;</span></p> <p><span class="cls0">F. With regard to solicitation of employment, the welding inspector shall:&nbsp;</span></p> <p><span class="cls0">1. Neither pay, solicit nor offer, directly or indirectly, any bribe or commission for professional employment with the exception of the usual commission or fees required; and&nbsp;</span></p> <p><span class="cls0">2. Neither falsify, exaggerate nor indulge in the misrepresentation of personal academic and professional qualifications, past assignments, accomplishments and responsibilities, or those of his associates.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 7, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591631. Unauthorized practive Suspension, refused renewal or revocation of certification.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Commissioner of Labor shall have the power to suspend, refuse renewal of or revoke the welding inspector's certification, and the power to place on probation or to reprimand the holder, if he is found guilty of an unauthorized practice. The Commissioner of Labor may apply to any court of competent jurisdiction for an enforcement of its administrative decisions and rulings.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 8, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591632. Reinstatement.&nbsp;</span></p> <p><span class="cls0">Reinstatement of a revoked certification shall be allowed with no penalty or prejudice to the individual, provided the reason for such revocation has been rectified to the Commissioner of Labor's satisfaction.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 9, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;59-1633. Recertification.&nbsp;</span></p> <p><span class="cls0">A. The welding inspector shall be recertified upon payment of the current fee and successful reexamination of complete facilities every year. However, renewal applicants who attest to continual or uninterrupted activity in the practice of welding inspection and who recomply with the provisions of Sections 141.1 through 141.20 of Title 40 of the Oklahoma Statutes and 380:25-13-3 of the Oklahoma Administrative Code shall be recertified upon payment of the current certification fee without reexamination.&nbsp;</span></p> <p><span class="cls0">B. Application for renewal of a certification that has expired shall be considered a new application.&nbsp;</span></p> <p><span class="cls0">C. The welding inspector shall be responsible for maintaining a current address with the State Department of Labor, Boiler Inspector Department, for mailing of renewal notices.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 104, &sect; 10, eff. Oct. 1, 1978. Amended by Laws 2003, c. 101, &sect; 2, eff. Nov. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1634. Adoption of American Society of Mechanical Engineers Codes - Certification of welders - Penalties.&nbsp;</span></p> <p><span class="cls0">A. The following American Society of Mechanical Engineers Codes, based upon the latest edition, shall be the piping codes for this state:&nbsp;</span></p> <p><span class="cls0">1. The power piping code, ASME B31.1;&nbsp;</span></p> <p><span class="cls0">2. The fuel gas piping code, ASME B31.2;&nbsp;</span></p> <p><span class="cls0">3. The gas transmission and distribution piping system code, ASME B31.8;&nbsp;</span></p> <p><span class="cls0">4. The process piping code, ASME B31.3; and&nbsp;</span></p> <p><span class="cls0">5. The liquid transportation systems for hydrocarbons, liquid petroleum gas, anhydrous ammonia and alcohols code, ASME 31.4.&nbsp;</span></p> <p><span class="cls0">B. The American Welding Society D1.1 and D1.3 shall be the structural steel welding codes for this state.&nbsp;</span></p> <p><span class="cls0">C. The provisions of this act shall apply only to weldments required by the above codes.&nbsp;</span></p> <p><span class="cls0">D. All welders prior to performing weldments within this state on any piping enumerated in subsection A of this section or structural steel welding enumerated in subsection B of this section shall be tested, qualified and certified by the Commissioner of Labor pursuant to this act.&nbsp;</span></p> <p><span class="cls0">E. It shall be mandatory upon the owner, or a contractor to whom a contract is awarded and upon any welders wherein welders are to perform weldments on any piping enumerated in subsection A, upon any subcontractor under the owner or a contractor, to ensure that all welders performing weldments within this state shall be certified by the Commissioner of Labor before any weldments are fabricated.&nbsp;</span></p> <p><span class="cls0">F. Penalties:&nbsp;</span></p> <p><span class="cls0">1. Any welder who violates or omits to comply with any of the provisions of this section, and any officer, agent or representative of any owner or any contractor or subcontractor who violates or omits to comply with any of the provisions of this section shall be subjected to the penalties provided in this title.&nbsp;</span></p> <p><span class="cls0">2. The Commissioner of Labor is empowered to issue cease and desist orders against violations of this act until such time as compliance of the law is met. If an owner, welder, contractor and/or subcontractor fails to obey the orders issued by the Commissioner of Labor, the Attorney General shall review the case and initiate necessary proceedings for contempt of the Commissioner's order and/or ask for an injunction in the district court as deemed appropriate to the facts of the case.&nbsp;</span></p> <p><span class="cls0">3. No person, firm or corporation or agent thereof shall in any manner interfere with the performance of the duties of any inspector or representative of the Commissioner of Labor for the implementation of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 104, &sect; 11, eff. Oct. 1, 1978. Amended by Laws 1979, c. 171, &sect; 2, emerg. eff. May 15, 1979; Laws 2003, c. 101, &sect; 3, eff. Nov. 1, 2003; Laws 2008, c. 312, &sect; 13, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1634.1. Weldments subject to certain codes.&nbsp;</span></p> <p><span class="cls0">Notwithstanding any other provision of law, weldments subject to the provisions of Section 1624 et seq. of this title and performed on and after the effective date of this act shall meet the standards of the following codes: American Society of Mechanical Engineers (ASME) Section IX and American Petroleum Institute (API) 1104, 1107 and American Welding Society D1.1 and D1.3.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1997, c. 353, &sect; 3, eff. Nov. 1, 1997. Amended by Laws 2008, c. 312, &sect; 14, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1635. Commission of Labor - Additional power and duties.&nbsp;</span></p> <p><span class="cls0">The Commissioner of Labor shall have the following duties in addition to any other duties prescribed by law:&nbsp;</span></p> <p><span class="cls0">1. Examine, certify and renew the certification of qualified applicants and keep a record of all such proceedings;&nbsp;</span></p> <p><span class="cls0">2. Promulgate rules concerning the quality of welds and qualification of welders;&nbsp;</span></p> <p><span class="cls0">3. Designate and approve persons qualified to administer welding tests; and&nbsp;</span></p> <p><span class="cls0">4. Designate and approve shops, testing facilities or other establishments qualified for testing coupons and weldments.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 104, &sect; 12, eff. Oct. 1, 1978. Amended by Laws 1998, c. 364, &sect; 15, emerg. eff. June 8, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591636. Fees and certificates.&nbsp;</span></p> <p><span class="cls0">A. The certification fee for each welder shall be Twentyfive Dollars ($25.00). An additional fee of Ten Dollars ($10.00) shall be paid if the welder's certification has expired prior to renewal. The certification fee for each welding inspector shall be One Hundred Dollars ($100.00). The certification fee for each testing facility shall be Two Hundred Fifty Dollars ($250.00).&nbsp;</span></p> <p><span class="cls0">B. Certificates for welders and testing facilities and welding inspectors shall be issued for a period of one (1) year, and shall be renewed by January 1 of each year for testing facility applicants and welding inspectors, and on the last day of the welder applicant's birth month; provided, however, that no welder applicant shall be required to renew his license more than once during any twelvemonth period. Failure to renew the certificates within one (1) year of expiration shall require recertification.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Amended by Laws 1984, c. 296, &sect; 74, operative July 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591637. Disposition of revenues.&nbsp;</span></p> <p><span class="cls0">All revenues collected under the provisions of this act shall be paid by the Department of Labor to the State Treasurer and by him placed to the credit of the General Revenue Fund of the state, to be used for governmental functions and to be paid out only pursuant to direct appropriation by the Legislature of the State of Oklahoma.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 14, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;59-1638. Exemptions.&nbsp;</span></p> <p><span class="cls0">A. Upon the effective date of this act, owneruser inspectors following weldment procedures which conform to the applicable code for qualifying welders and testing weldments by nondestructive or destructive methods shall be exempt from this act. Any inspector who has been certified by the American Welding Society shall be exempt.&nbsp;</span></p> <p><span class="cls0">B. Any weldtest facility, which has been approved and certified under this title by the Oklahoma Department of Labor on or before January 1, 1979, to test and qualify welder operators and which has as its primary function the testing and qualifying of welder operators, shall be approved to continue as authorized and may operate using inspectors who have documentation of a minimum of seven (7) years of the last ten (10) years of experience in the inspection field.&nbsp;</span></p> <p><span class="cls0">C. The Commissioner of Labor shall, upon proper application and the payment of fees within ninety (90) days after the effective date of this act, and annually thereafter upon payment of the fees provided herein shall issue certification without examination to those persons who test and qualify welder operators, upon producing proof satisfactory to the Commissioner, that they meet the requirements of this section, and who have otherwise complied with the provisions of this act.&nbsp;</span></p> <p><span class="cls0">D. For one (1) year from the effective date of this act, structural steel welders with five (5) or more years of experience, as verified by the Department of Labor, shall not be required to pass a welding test, but must otherwise comply with the provisions of this act and the rules promulgated by the Department of Labor to implement the Oklahoma Welding Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1978, c. 104, &sect; 15, eff. Oct. 1, 1978. Amended by Laws 1979, c. 171, &sect; 3, emerg. eff. May 15, 1979; Laws 2008, c. 312, &sect; 15, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591639. Owner may require welder to qualify with appropriate code Exempt equipment.&nbsp;</span></p> <p><span class="cls0">If a welder holds a state certificate, the owner may require the welder to qualify in accordance with the appropriate code whenever deemed necessary, and reject the welder if qualifying test is failed. Any equipment fabricated in compliance with existing codes is exempt from this act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 16, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591640. Violations Misdemeanor Penalties.&nbsp;</span></p> <p><span class="cls0">Any person who violates the provisions of this act shall be guilty of a misdemeanor and upon conviction thereof shall be punished by payment of a fine of Five Hundred Dollars ($500.00).&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 17, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591641. Construction of act.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall be construed to affect or modify any unexpired welder certification issued prior to the adoption hereof. Holders of unexpired welder certifications issued by the Commissioner of Labor shall be entitled to renew said certificates as herein provided.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 104, &sect; 18, eff. Oct. 1, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;59-1680. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1680 through 1697 of this title shall be known and may be cited as the "Electrical License Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 1. Amended by Laws 2001, c. 394, &sect; 37, eff. Jan. 1, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1681. Rules.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board is hereby authorized to adopt, amend and repeal rules governing the examination and licensing of electrical contractors and journeymen electricians, the defining of categories and limitations for such licenses, the establishment of continuing education requirements and procedures as determined by the Committee of Electrical Examiners, the establishment and levying of administrative fines, the initiation of disciplinary proceedings, the requesting of prosecution of and initiation of injunctive proceedings against any person who violates any of the provisions of the Electrical License Act or any rule promulgated pursuant to the Electrical License Act, the establishment of bonding and insurance requirements precluding municipal requirements, the requirement of proof of possession of a Federal Tax ID Number and a State of Oklahoma Employment Security Board identification number, the registration of electrical apprentices and the standard of electrical installations. Provided, broiler houses will not be required to meet the electrical wiring requirements for environmentally controlled poultry houses as set out in the National Electric Code.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 2. Amended by Laws 1985, c. 256, &sect; 1, eff. Nov. 1, 1985; Laws 1987, c. 200, &sect; 1, eff. Nov. 1, 1987; Laws 1991, c. 90, &sect; 1, emerg. eff. April 22, 1991; Laws 1993, c. 236, &sect; 4, eff. Sept. 1, 1993; Laws 1994, c. 155, &sect; 1, eff. July 1, 1994; Laws 2001, c. 394, &sect; 38, eff. Jan. 1, 2002; Laws 2009, c. 439, &sect; 15, emerg. eff. June 2, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1681.1. Voluntary review of project plans and specifications.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall establish by rule a process for the formal review of the plans and specifications for a project prior to bid dates for the project to ensure that the project plans and specifications are in conformance with applicable plumbing, electrical and mechanical installation codes. The rule adopted by the Board shall provide that the review shall be completed in a timely manner, not to exceed fourteen (14) calendar days from the date of the submission of a completed application for review which shall be accompanied by the plans and specifications and a review fee not to exceed Two Hundred Dollars ($200.00) to be established by the rule. Upon completion of the review, the plans and specifications shall be returned to the applicant with documentation indicating either approval of plans and specifications when in compliance with the applicable codes, or modifications which must be made to bring the plans and specifications into conformance with applicable codes. Submission of the plans and specifications for review by the Board shall be voluntary.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 293, &sect; 4, eff. July 1, 1994. Amended by Laws 2001, c. 394, &sect; 39, eff. Jan. 1, 2002; Laws 2010, c. 338, &sect; 1, eff. July 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1682. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Electrical License Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Committee of Electrical Examiners appointed by the Board;&nbsp;</span></p> <p><span class="cls0">3. "Electrical apprentice" means any person sixteen (16) years of age or older whose principal occupation is the learning of and assisting in the installation of electrical work under the direct supervision of a licensed journeyman electrician or electrical contractor;&nbsp;</span></p> <p><span class="cls0">4. "Journeyman electrician" means any person other than an electrical contractor who engages in the actual installation, alteration, repair or renovation of electrical facilities or electrical construction work unless specifically exempted by the provisions of the Electrical License Act;&nbsp;</span></p> <p><span class="cls0">5. "Electrical contractor" means any person skilled in the planning, superintending and practical installation of electrical facilities who is familiar with the laws, rules and regulations governing such work. Electrical contractor also means any individual, firm, partnership, corporation, limited liability company, or business performing skills of an electrical contractor or an electrician or the business of contracting, or furnishing labor or labor and materials for the installation, repair, maintenance or renovation of electrical facilities or electrical construction work according to the provisions of the Electrical License Act;&nbsp;</span></p> <p><span class="cls0">6. "Electrical facilities" means all wiring, fixtures, appurtenances, and appliances for, and in connection with, a supply of electricity within or adjacent to any building, structure or conveyance on the premises but not including the connection with a power supply meter or other power supply source;&nbsp;</span></p> <p><span class="cls0">7. "Category" means the classification by which licenses and electrical work may be limited. Such categories shall include but shall not be limited to installation, maintenance, repair, alteration, residential, oilfield, and commercial;&nbsp;</span></p> <p><span class="cls0">8. "Temporary journeyman electrician" means any person other than a person permanently licensed as a journeyman electrician or electrical contractor in this state who meets the temporary licensure requirements of Section 1685.1 of this title;&nbsp;</span></p> <p><span class="cls0">9. "Variance and Appeals Board" means the Oklahoma State Electrical Installation Code Variance and Appeals Board; and&nbsp;</span></p> <p><span class="cls0">10. "Electrical construction work" means installation, fabrication or assembly of equipment or systems included in "premises wiring" as defined in the National Electrical Code (reference 158:40-1-4. Standard of Installation), and which is hereby adopted and incorporated by reference. Electrical construction work includes, but is not limited to, installation of raceway systems used for any electrical purposes, and installation of field-assembled systems such as ice and snow melting, pipe-tracing, and manufactured wiring systems. Electrical construction work shall not include in-plant work performed by employees of the company owning the plant, work performed by telecommunications employees for telecommunications companies, or installation of factory-assembled appliances or machinery which is not part of the premises wiring unless wiring interconnections external to the equipment are required in the field.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 3. Amended by Laws 1985, c. 256, &sect; 2, eff. Nov. 1, 1985; Laws 1994, c. 155, &sect; 2, eff. July 1, 1994; Laws 1994, c. 293, &sect; 5, eff. July 1, 1994; Laws 1998, c. 320, &sect; 1, emerg. eff. May 28, 1998; Laws 1999, c. 405, &sect; 5, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 40, eff. Jan. 1, 2002; Laws 2003, c. 318, &sect; 11, eff. Nov. 1, 2003; Laws 2010, c. 338, &sect; 2, eff. July 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1683. Committee of Electrical Examiners - Membership - Term - Vacancies - Rules, regulations and examinations - Compensation - Quorum.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established the Committee of Electrical Examiners which shall consist of seven (7) members. All members of the Committee shall be residents of this state.&nbsp;</span></p> <p><span class="cls0">B. Beginning January 1, 2002, as the terms of members serving on the Committee expire, six voting members of the Committee shall be appointed by the Construction Industries Board as follows:&nbsp;</span></p> <p><span class="cls0">1. One member shall be an electrical inspector selected from a list of names submitted by a statewide organization of electrical inspectors;&nbsp;</span></p> <p><span class="cls0">2. One member shall be selected from a list of names submitted by a statewide organization of electrical contractors representing union contractors;&nbsp;</span></p> <p><span class="cls0">3. One member shall be selected from a list of names submitted by a statewide organization representing builders and contractors;&nbsp;</span></p> <p><span class="cls0">4. One member shall be a journeyman wireman selected from a list of names submitted by a statewide organization of union journeymen wiremen;&nbsp;</span></p> <p><span class="cls0">5. One member shall be a journeyman wireman selected from lists of names submitted from the electrical construction industry; and&nbsp;</span></p> <p><span class="cls0">6. One member shall be selected from a list of names submitted by a statewide organization of electrical contractors representing nonunion contractors. The term of the initial appointee shall be for two (2) years.&nbsp;</span></p> <p><span class="cls0">All members shall each have at least ten (10) years of active experience as licensed electrical contractors, journeyman electricians or as an electrical inspector. No member shall be employed by the same person or firm as any other member of the Committee. The terms of members so appointed shall be staggered and shall be for two (2) years, or until their successors are appointed and qualified.&nbsp;</span></p> <p><span class="cls0">The nonvoting member shall be designated by the Board from its staff to serve on the Committee at the will of the Board.&nbsp;</span></p> <p><span class="cls0">C. Vacancies which may occur in the membership of the Committee shall be filled by appointment of the Board. Each person who has been appointed to fill a vacancy shall serve for the remainder of the term for which the member he or she succeeds was appointed and until his or her successor has been appointed and has qualified. Members of the Committee may be removed from office by the Board for cause in the manner provided by law for the removal of officers not subject to impeachment.&nbsp;</span></p> <p><span class="cls0">D. The Committee shall assist and advise the Board on all matters relating to the formulation of rules and standards in accordance with the Electrical License Act. The Committee shall administer the examinations of applicants for licenses as electrical contractors or journeyman electricians provided that such examinations shall be in accordance with the provisions of the Electrical License Act. The Committee may authorize the Board to conduct tests on their behalf as the Committee deems necessary.&nbsp;</span></p> <p><span class="cls0">E. All members of the Committee shall be reimbursed for expenses incurred while in the performance of their duties in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">F. A majority of the total membership of the Committee shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">G. The Committee shall elect from among its membership a chair, vice-chair and secretary to serve terms of not more than one (1) year ending on June 30 of the year designated as the end of the officer's term. The chair or vice-chair shall preside at all meetings. The chair, vice-chair and secretary shall perform such duties as may be directed by the Committee. The Committee shall meet at such times as the chair or presiding officer deems necessary to carry out the responsibilities of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 4. Amended by Laws 1987, c. 200, &sect; 2, eff. Nov. 1, 1987; Laws 1994, c. 155, &sect; 3, eff. July 1, 1994; Laws 1996, c. 318, &sect; 3, eff. July 1, 1996; Laws 2001, c. 394, &sect; 41, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 7, eff. July 1, 2002; Laws 2008, c. 4, &sect; 6, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591684. Examinations for licenses.&nbsp;</span></p> <p><span class="cls0">A. Examinations for licenses as electrical contractors or journeyman electricians shall be uniform and practical in nature for each respective license and shall be sufficiently strict to test the qualifications and fitness of the applicants for licenses. Examinations shall be in whole or in part in writing. The Committee shall conduct examinations twice a year and at such other times as it deems necessary.&nbsp;</span></p> <p><span class="cls0">B. Any applicant initially failing to pass the examination shall not be permitted to take another examination for a period of thirty (30) days. Any applicant subsequently failing to pass the examination shall not be permitted to take another examination for a period of ninety (90) days.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1982, c. 337, &sect; 5. &nbsp;</span></p> <p><span class="cls0">&sect;59-1685. Issuance of license - Qualification - Transferability and use.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board shall issue a license as journeyman electrician or electrical contractor to any person who:&nbsp;</span></p> <p><span class="cls0">1. Has been certified by the Committee of Electrical Examiners as either having successfully passed the appropriate examination or having a valid license issued by another governmental entity with licensing requirements similar to those provided in the Electrical License Act;&nbsp;</span></p> <p><span class="cls0">2. Has paid the license fee and otherwise complied with the provisions of the Electrical License Act; and&nbsp;</span></p> <p><span class="cls0">3. Has, when required by the Board, provided such documents, statements or other information as may be necessary to submit to a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. All licenses shall be nontransferable and it shall be a misdemeanor for any person licensed under the provisions of the Electrical License Act to loan or allow the use of such license by any other person, firm or corporation, except as specifically provided in the Electrical License Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 6. Amended by Laws 2001, c. 394, &sect; 42, eff. Jan. 1, 2002; Laws 2008, c. 4, &sect; 7, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1685.1. Temporary licenses.&nbsp;</span></p> <p><span class="cls0">A. Within one (1) year of the date the Governor of this state declares a state of emergency in response to a disaster involving the destruction of dwelling units, the Construction Industries Board shall issue a distinctively colored, nonrenewable, temporary journeyman electrician license which shall expire one (1) year after the date of declaration to any person who is currently licensed as a journeyman electrician by another state and who:&nbsp;</span></p> <p><span class="cls0">1. Submits, within ten (10) days of beginning journeyman electrician's work in this state, an application and fee for a journeyman electrician's examination;&nbsp;</span></p> <p><span class="cls0">2. Takes and passes the examination at the first opportunity thereafter offered by the Board; and&nbsp;</span></p> <p><span class="cls0">3. Pays a temporary journeyman electrician's license fee to be established by rule by the Board pursuant to Section 1000.5 of this title.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this section shall be construed as prohibiting any person from qualifying at any time for any other license by meeting the requirements for the other license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 405, &sect; 6, emerg. eff. June 10, 1999. Amended by Laws 2001, c. 394, &sect; 43, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 8, eff. July 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1686. Registration as electrical apprentice - Qualifications - Applications - Fees.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board shall, upon proper application and payment of fee, register as an electrical apprentice and issue a certificate of such registration to any person who furnishes satisfactory proof to the Board that the applicant is:&nbsp;</span></p> <p><span class="cls0">1. Sixteen (16) years of age or over;&nbsp;</span></p> <p><span class="cls0">2. Enrolled in a school or federal training program for electrical apprentices recognized by the Board, or employed as an electrical apprentice with an active licensed electrical contractor.&nbsp;</span></p> <p><span class="cls0">B. All applications for examination, license or renewal of license shall be made in writing to the Board on forms provided, if necessary, by the Board. All applications shall be accompanied by the appropriate fee.&nbsp;</span></p> <p><span class="cls0">C. Apprentices, when required by the Board, shall provide such documents, statements or other information as may be necessary to submit to a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 7. Amended by Laws 2001, c. 394, &sect; 44, eff. Jan. 1, 2002; Laws 2008, c. 4, &sect; 8, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1687. Repealed by Laws 2002, c. 457, &sect; 12, eff. July 1, 2002.&nbsp;</span></p> <p><span class="cls0">&sect;59-1688. Term of license and apprentice registration certificates - Renewal or reregistration - Late renewal penalty.&nbsp;</span></p> <p><span class="cls0">A. No license shall be issued for longer than one (1) year, and all licenses shall expire on the last day in the birth month of the licensee. A license may be renewed upon application and payment of fees thirty (30) days preceding or following the date the license is due. Licenses renewed more than thirty (30) days following the date of expiration may be renewed only upon application and payment of all required fees and payment of any penalty for late renewal established by the Board and upon compliance with any applicable continuing education requirements established by the Board and this act. No penalty for late renewal shall be charged to any holder of a license which expires while the holder is in military service, if an application for renewal is made within one (1) year following the service discharge of the holder.&nbsp;</span></p> <p><span class="cls0">B. No journeyman or contractor license shall be renewed unless the licensee has completed the required hours of continuing education, as determined and approved by the Committee of Electrical Examiners and approved by the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">C. An apprentice registration certificate shall be issued for one (1) year, at which time the apprentice may reregister upon meeting the requirements of the Construction Industries Board and paying the renewal fee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 9. Amended by Laws 1994, c. 155, &sect; 5, eff. July 1, 1994; Laws 1999, c. 405, &sect; 8, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 45, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 9, eff. July 1, 2002; Laws 2003, c. 318, &sect; 12, eff. Nov. 1, 2003; Laws 2008, c. 4, &sect; 9, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1689. Electrical Hearing Board - Investigations - Revocation or suspension of licenses - Jurisdiction of political subdivisions.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board or its designee and the Committee of Electrical Examiners shall act as the Electrical Hearing Board and shall comply with the provisions of Article II of the Administrative Procedures Act, Section 308a et seq. of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">B. Any administrative hearing on suspensions, revocations or fines shall be conducted by a hearing examiner appointed by the Board. The hearing examiner&rsquo;s decision shall be a final decision which may be appealed to a district court in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. The Electrical Hearing Board may, upon its own motion, and shall, upon written complaint filed by any person, investigate the business transactions of any electrical contractor, journeyman electrician or electrical apprentice. Upon a finding by clear and convincing evidence, the Board shall suspend or revoke any license or registration obtained by false or fraudulent representation. Upon a finding by clear and convincing evidence, the Board shall also suspend or revoke any license or registration for any of the following:&nbsp;</span></p> <p><span class="cls0">1. Making a material misstatement in the application for a license or registration, or the renewal of a license or registration;&nbsp;</span></p> <p><span class="cls0">2. Loaning or illegally using a license;&nbsp;</span></p> <p><span class="cls0">3. Demonstrating incompetence to act as a journeyman electrician or electrical contractor;&nbsp;</span></p> <p><span class="cls0">4. Violating any provisions of the Electrical License Act, or any rule or order prescribed by the Board or any ordinance for the installation of electrical facilities made or enacted by a city or town by authority of the Electrical License Act; or&nbsp;</span></p> <p><span class="cls0">5. Willfully failing to perform normal business obligations without justifiable cause.&nbsp;</span></p> <p><span class="cls0">D. Any person whose license or registration has been revoked by the Electrical Hearing Board may apply for a new license one (1) year from the date of such revocation.&nbsp;</span></p> <p><span class="cls0">E. Notwithstanding any other provision of law, a political subdivision of this state that has adopted a nationally recognized electrical code and appointed an inspector pursuant to the provisions of Section 1693 of this title or pursuant to the provisions of the Oklahoma Inspectors Act for such work shall have jurisdiction over the interpretation of the code and the installation of all electrical work done in that political subdivision, subject to the provisions of the Oklahoma Inspectors Act. Provided, a state inspector may work directly with an electrical contractor, journeyman electrician or electrical apprentice in such a locality if a violation of the code creates an immediate threat to life or health.&nbsp;</span></p> <p><span class="cls0">F. In the case of a complaint about, investigation of, or inspection of any license, registration, permit or electrical work in any political subdivision of this state which has not adopted a nationally recognized electrical code and appointed an inspector pursuant to the provisions of Section 1693 of this title or pursuant to the provisions of the Oklahoma Inspectors Act for such work, the Construction Industries Board shall have jurisdiction over such matters.&nbsp;</span></p> <p><span class="cls0">G. 1. No individual, business, company, corporation, association or other entity subject to the provisions of the Electrical License Act shall install, modify or alter electrical facilities in any incorporated area of this state which has not adopted a nationally recognized electrical code and appointed an inspector pursuant to the provisions of Section 1693 of this title or pursuant to the provisions of the Oklahoma Inspectors Act for such work without providing notice of such electrical work to the Construction Industries Board. A notice form for reproduction by an individual or entity required to make such notice shall be provided by the Construction Industries Board upon request.&nbsp;</span></p> <p><span class="cls0">2. Notice to the Construction Industries Board pursuant to this subsection shall not be required for electrical maintenance or replacement of existing electrical appliances or fixtures or of any petroleum refinery or its research facilities.&nbsp;</span></p> <p><span class="cls0">3. Enforcement of this subsection is authorized pursuant to the Electrical License Act, or under authority granted to the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 10. Amended by Laws 1993, c. 251, &sect; 2, eff. Sept. 1, 1993; Laws 1994, c. 155, &sect; 6, eff. July 1, 1994; Laws 1994, c. 293, &sect; 6, eff. July 1, 1994; Laws 1997, c. 353, &sect; 4, eff. Nov. 1, 1997; Laws 2001, c. 394, &sect; 46, eff. Jan. 1, 2002; Laws 2008, c. 4, &sect; 10, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591690. License required Violation Penalty.&nbsp;</span></p> <p><span class="cls0">A. Ninety (90) days from and after July 1, 1982, it shall be a misdemeanor for any person to perform the work of a journeyman electrician until such person has qualified and is licensed as a journeyman electrician or electrical contractor.&nbsp;</span></p> <p><span class="cls0">B. Ninety (90) days from and after July 1, 1982, it shall be a misdemeanor for any person to act as an electrical contractor or to engage in or offer to engage in, by advertisement or otherwise, the business of an electrical contractor until the person, or a member of the partnership, or an officer of the firm, association or corporation, shall have qualified and is licensed as an electrical contractor.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1982, c. 337, &sect; 11. &nbsp;</span></p> <p><span class="cls0">&sect;59-1691. Change of address - Notice.&nbsp;</span></p> <p><span class="cls0">Any holder of a license or registration issued in accordance with the provisions of the Electrical License Act shall promptly notify the Construction Industries Board of any change in address.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 12. Amended by Laws 2001, c. 394, &sect; 47, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1692. Application and construction.&nbsp;</span></p> <p><span class="cls0">A. The provisions of the Electrical License Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. Minor repairs, consisting of repairing or replacing outlets or minor working parts of electrical fixtures;&nbsp;</span></p> <p><span class="cls0">2. Maintenance work for state and federal institutions;&nbsp;</span></p> <p><span class="cls0">3. The construction, installation, maintenance, repair and renovation by a public utility regulated by the Corporation Commission;&nbsp;</span></p> <p><span class="cls0">4. Public service corporations, telephone and telegraph companies, rural electric associations or municipal utilities;&nbsp;</span></p> <p><span class="cls0">5. The construction, installation, maintenance, repair and renovation of telephone equipment or computer systems by a person, firm, or corporation engaged in the telecommunications or information systems industry when such activities involve work exclusively for communication of data, voice, or for other signaling purposes; except fire alarm systems, security systems and environmental control systems that are not an integral part of a telecommunications system; or&nbsp;</span></p> <p><span class="cls0">6. The installation, maintenance, repair or replacement of water supply pumps, provided such work is performed from the output side of a fused disconnect or breaker box.&nbsp;</span></p> <p><span class="cls0">B. Nothing in the Electrical License Act shall be construed to require:&nbsp;</span></p> <p><span class="cls0">1. Employment of a licensed electrical contractor, journeyman electrician or electrical apprentice except as required by local ordinances and resolutions;&nbsp;</span></p> <p><span class="cls0">2. Any regular employee of any firm or corporation to hold a license before doing any electrical work on the property of the firm or corporation whether or not the property is owned, leased or rented except as may be required by local ordinances and resolutions; or&nbsp;</span></p> <p><span class="cls0">3. An individual to hold a license before doing electrical work on his own property or residence except as may be required by local ordinances and resolutions.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 13. Amended by Laws 1984, c. 145, &sect; 2, emerg. eff. April 17, 1984; Laws 1997, c. 67, &sect; 1, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591693. Municipal regulation of electrical work Electrical inspector - Combined electrical and plumbing inspector.&nbsp;</span></p> <p><span class="cls0">A. Any city or town in this state may prescribe rules, regulations and standards for the materials used and the construction, installation and inspection of all electrical work in connection with any building, structure or conveyance in such city or town provided that no electrical work shall be done without a permit first being obtained from such city or town. This permit may be issued upon such terms and conditions as the city or town may prescribe.&nbsp;</span></p> <p><span class="cls0">B. Any city or town in this state may create an office of electrical inspector whose duty it shall be to inspect all electrical installations under the jurisdiction of such city or town and to issue a certificate upon the completion of each inspection. This inspector shall have at least three (3) years of active experience in the electrical industry and shall have no interest, direct or indirect, in any firm or corporation engaged in the electrical industry.&nbsp;</span></p> <p><span class="cls0">C. Any city or town in this state, with a population in excess of four thousand (4,000) but not exceeding thirty thousand (30,000), may create an office which combines the powers and duties of the plumbing inspector and the electrical inspector. Except as otherwise provided in this subsection, the holder of such office must have at least three (3) years' practical experience in the plumbing industry and three (3) years' practical experience in the electrical industry. Any such city or town may, in its discretion, appoint some other person deemed qualified for such office if such person, within two (2) years after the date of appointment, successfully passes the examination for a license as a plumbing inspector and the examination for a license as an electrical inspector conducted by a recognized national building code or standard service.&nbsp;</span></p> <p><span class="cls0">D. Any city or town with a population of four thousand (4,000) or less may, in its discretion, appoint some other person deemed qualified for this office.&nbsp;</span></p> <p><span class="cls0">E. The electrical inspector may hold more than one office in the city or town appointing such person and the salary of the person shall be as determined by such city or town.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 14. Amended by Laws 1991, c. 324, &sect; 2, emerg. eff. June 14, 1991; Laws 1995, c. 9, &sect; 3, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1694. Electrical Revolving Fund.&nbsp;</span></p> <p><span class="cls0">All monies received by the Construction Industries Board under the Electrical License Act, including the administrative fines authorized by Section 1695 of this title, shall be deposited with the State Treasurer and credited to the "Electrical Revolving Fund". The revolving fund shall be a continuing fund not subject to fiscal year limitations and may be budgeted and expended by the Construction Industries Board. Expenditures from this fund shall be made pursuant to the purposes of the Electrical License Act and shall include, but not be limited to, payment of operating costs and the costs of programs designed to promote public awareness of the electrical industry, and expenditures for the preparation and printing of regulations, bulletins or other documents and the furnishing of copies of such documents to those persons engaged in the electrical industry or the public. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 15. Amended by Laws 1993, c. 236, &sect; 5, eff. Sept. 1, 1993; Laws 1994, c. 155, &sect; 7, eff. July 1, 1994; Laws 2001, c. 394, &sect; 48, eff. Jan. 1, 2002; Laws 2004, c. 163, &sect; 6, emerg. eff. April 26, 2004; Laws 2010, c. 413, &sect; 21, eff. July 1, 2010; Laws 2012, c. 304, &sect; 281.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1695. Violations - Fines - Injunctions.&nbsp;</span></p> <p><span class="cls0">A. Any person who violates any of the provisions of the Electrical License Act or any provision of an ordinance or regulation enacted by a city or town by authority of the Electrical License Act, in addition to suffering possible suspension or revocation of a license or registration, shall, upon conviction, be guilty of a misdemeanor and shall be punished by a fine of not less than Two Hundred Dollars ($200.00) nor more than One Thousand Dollars ($1,000.00), together with the costs of prosecution.&nbsp;</span></p> <p><span class="cls0">B. In addition to other penalties provided by law, if after a hearing in accordance with the provisions of Section 1689 of this title, the Electrical Hearing Board shall find any person to be in violation of any of the provisions of this act, such person may be subject to an administrative fine of not more than Five Hundred Dollars ($500.00) for each violation. Each day a person is in violation of this act may constitute a separate violation. The maximum fine will not exceed One Thousand Dollars ($1,000.00). All administrative fines collected pursuant to the provisions of this subsection shall be deposited in the Electrical Revolving Fund. Administrative fines imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">C. The Electrical Hearing Board may make application to the appropriate court for an order enjoining the acts or practices prohibited by this act, and upon a showing by the Electrical Hearing Board that the person has engaged in any of the prohibited acts or practices, an injunction, restraining order, or other order as may be appropriate shall be granted by the court.&nbsp;</span></p> <p><span class="cls0">D. If any electrical facilities as defined in the Electrical License Act are in violation of the National Electrical Code set forth in the National Fire Code (Electrical) issued by the National Fire Protection Association, NFPA number 70, current edition, as amended, or any ordinance or other regulation of a city or town, the proper authorities of the state or political subdivision of the state, in addition to other remedies, may institute appropriate action or proceedings to prevent any illegal installation or use of such facilities, to restrain, correct or abate any violation, or to prevent illegal occupancy of a building or structure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 16. Amended by Laws 1993, c. 236, &sect; 6, eff. Sept 1, 1993; Laws 1994, c. 155, &sect; 8, eff. July 1, 1994; Laws 2008, c. 142, &sect; 2, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1696. Municipal supervision and inspection of electrical facilities.&nbsp;</span></p> <p><span class="cls0">Nothing in the Electrical License Act shall prohibit cities and towns from having full authority to provide supervision and inspection of electrical facilities by the enactment of codes, ordinances, bylaws, and rules in such form as they may determine and prescribe for their jurisdiction; provided, that no such codes, ordinances, bylaws, and rules shall be inconsistent with the Electrical License Act, or any rule adopted or prescribed by the Construction Industries Board as authorized by the Electrical License Act. Each state licensed electrical contractor shall be required to register with any city or town in whose jurisdiction the licensee operates. Each such city or town is authorized to register such electrical contractor, to revoke the registration, to charge fees for the registration and for permits and inspections of electrical work. No electrical contractor shall be permitted to do business or work in any city or town where the local registration of the electrical contractor has been revoked.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1982, c. 337, &sect; 17. Amended by Laws 1994, c. 155, &sect; 9, eff. July 1, 1994; Laws 2001, c. 394, &sect; 49, eff. Jan. 1, 2002; Laws 2003, c. 318, &sect; 13, eff. Nov. 1, 2003.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1697. Oklahoma State Electrical Installation Code Variance and Appeals Board.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created the Oklahoma State Electrical Installation Code Variance and Appeals Board. The Variance and Appeals Board shall hear testimony and shall review sufficient technical data submitted by an applicant to substantiate the proposed installation of any material, assembly or manufacturer-engineered components, equipment or system that is not specifically prescribed by an appropriate installation code, an industry consensus standard or fabricated or installed according to recognized and generally accepted good engineering practices, where no ordinance or regulation of a governmental subdivision applies. If it is determined that the evidence submitted is satisfactory proof of performance for the proposed installation, the Variance and Appeals Board shall approve such alternative, subject to the requirements of the appropriate installation code. Applications for the use of an alternative material or method of construction shall be submitted in writing to the Construction Industries Board for approval prior to use. Applications shall be accompanied by a filing fee, not to exceed Fifty Dollars ($50.00), as set by rule of the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">2. The Variance and Appeals Board shall also hear appeals from contractors licensed by the Construction Industries Board, and any party who has an ownership interest in or is in responsible charge of the design of or work on the installation, who contest the Construction Industries Board's interpretation of the state's model electrical installation code as applied to a particular installation. Such appeals shall be based on a claim that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the true intent of the installation code has been incorrectly interpreted,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the provisions of the code do not fully apply, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an equal or better form of installation is proposed.&nbsp;</span></p> <p><span class="cls0">Such appeals to the Variance and Appeals Board shall be made in writing to the Construction Industries Board within fourteen (14) days after a code interpretation or receipt of written notice of the alleged code violation by the licensed contractor.&nbsp;</span></p> <p><span class="cls0">B. The Variance and Appeals Board shall consist of the designated representative of the Construction Industries Board and the following members who, except for the State Fire Marshal or designee, shall be appointed by the Construction Industries Board from a list of names submitted by the professional organizations of the professions represented on the Variance and Appeals Board and who shall serve at the pleasure of the Construction Industries Board:&nbsp;</span></p> <p><span class="cls0">1. Two members shall be appointed from the Committee of Electrical Examiners; one shall be a contractor with five (5) years of experience and one shall be a journeyman with five (5) years of experience;&nbsp;</span></p> <p><span class="cls0">2. One member shall be a registered design professional who is a registered architect with at least ten (10) years of experience, five (5) of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">3. One member shall be a registered design professional with at least ten (10) years of structural engineering or architectural experience, five (5) of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">4. One member shall be a registered design professional with mechanical or plumbing engineering experience; provided, such member shall have at least ten (10) years of experience, five (5) of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">5. One member shall be a registered design professional with electrical engineering experience; provided, such member shall have at least ten (10) years of experience, five (5) of which shall have been in responsible charge of work; and&nbsp;</span></p> <p><span class="cls0">6. One member shall be the State Fire Marshal or a designee of the State Fire Marshal.&nbsp;</span></p> <p><span class="cls0">Any member serving on the Variance and Appeals Board on January 1, 2002, may continue to serve on the Variance and Appeals Board until a replacement is appointed by the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">C. Members, except the designee of the Construction Industries Board and the State Fire Marshal or the designated representative of the State Fire Marshal, and employees of the Construction Industries Board, shall be reimbursed for travel expenses pursuant to the State Travel Reimbursement Act from the revolving fund created pursuant to Section 1694 of this title.&nbsp;</span></p> <p><span class="cls0">D. The Variance and Appeals Board shall meet after the Construction Industries Board receives proper application for a variance, accompanied by the filing fee, or proper notice of an appeal, as provided in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">E. The designated representative of the Construction Industries Board shall serve as chair of the Variance and Appeals Board. A majority of the members of the Variance and Appeals Board shall constitute a quorum for the transaction of the business.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 293, &sect; 7, eff. July 1, 1994. Amended by Laws 2001, c. 394, &sect; 50, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591701. Minimum prices and fess Establishing.&nbsp;</span></p> <p><span class="cls0">No profession or occupation, other than the cleaning, dyeing and/or pressing business, regulated or licensed under the provisions of the Oklahoma Statutes shall set, impose, suggest or in any other manner provide for the charging of minimum prices or fees for any services or products provided for by any such profession or occupation.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1978, c. 237, &sect; 2, emerg. eff. April 26, 1978. &nbsp;</span></p> <p><span class="cls0">&sect;591721. Short title.&nbsp;</span></p> <p><span class="cls0">The provisions of Sections 1 through 19 of this act shall be known and may be cited as the "Licensed Dietitian Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 1, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591722. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Licensed Dietitian Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Advisory Committee on Dietetic Registration of the State Board of Medical Examiners.&nbsp;</span></p> <p><span class="cls0">3. "Dietetics" means the professional discipline of applying and integrating scientific principles of nutrition pursuant to different health, social, cultural, physical, psychological, and economic conditions to the proper nourishment, care, and education of individuals or groups throughout the life cycle. The term includes the development, management, and provision of nutritional services.&nbsp;</span></p> <p><span class="cls0">4. "Licensed dietitian" means a person licensed pursuant to the provisions of the Licensed Dietitian Act.&nbsp;</span></p> <p><span class="cls0">5. "Provisional licensed dietitian" means a person who has a limited license pursuant to the provisions of the Licensed Dietitian Act.&nbsp;</span></p> <p><span class="cls0">6. "Degree" means a degree from an accredited college or university.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 2, eff. Nov. 1, 1984. Amended by Laws 1987, c. 118, &sect; 48, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;591723. Advisory Committee on Dietetic Registration.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the Advisory Committee on Dietetic Registration of the State Board of Medical Licensure and Supervision. The Committee shall assist the Board in conducting examinations for applicants and shall advise the Board on all matters pertaining to the licensure of dietitians.&nbsp;</span></p> <p><span class="cls0">B. The Committee shall be composed of three members, who are licensed dietitians. A fourth member shall be an ex officio member of the Board designated from their membership. A fifth member shall be a health care consumer appointed by the Governor. Committee members shall serve staggered terms of three (3) years with two terms beginning September 1 of each oddnumbered year.&nbsp;</span></p> <p><span class="cls0">C. The Board shall appoint the Committee members from a list of five persons submitted by the Oklahoma Dietetic Association. All members shall be residents of this state.&nbsp;</span></p> <p><span class="cls0">D. The Board shall attempt to accomplish a continuing balance of representation among the primary areas of expertise of the professional discipline of dietetics in making the three appointments to the Committee. These areas of expertise are: clinical, educational, management, consultation, and community. On and after November 1, 1988, a licensee eligible for appointment as a Committee member shall have been a licensed dietitian for a least three (3) years prior to appointment to the Committee.&nbsp;</span></p> <p><span class="cls0">E. Appointments to the Committee shall be made without discrimination based on race, creed, sex, religion, national origin, or geographical distribution of the appointees.&nbsp;</span></p> <p><span class="cls0">F. A member or employee of the Committee may not be an officer, employee, or paid consultant of a trade association in the field of health care.&nbsp;</span></p> <p><span class="cls0">G. A person who is required to register as a lobbyist pursuant to the laws of this state in a healthrelated area shall not serve as a member of the Committee.&nbsp;</span></p> <p><span class="cls0">H. A majority of the members of the Committee constitutes a quorum.&nbsp;</span></p> <p><span class="cls0">I. Each member of the Committee shall receive Thirtyfive Dollars ($35.00) for every day actually spent in the performance of their duties and in addition thereto shall be reimbursed for their reasonable and necessary expenses as provided for in the State Travel Reimbursement Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 3, eff. Nov. 1, 1984. Amended by Laws 1987, c. 118, &sect; 49, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;591724. Initial appointments to Committee.&nbsp;</span></p> <p><span class="cls0">A. In making the initial appointments to the Committee, the Board shall designate two members for terms expiring August 31, 1987, one member for a term expiring August 31, 1986.&nbsp;</span></p> <p><span class="cls0">B. In making the initial appointments to the Committee, the Board shall appoint three persons otherwise qualified pursuant to the provisions of the Licensed Dietitian Act who also have been for sixty (60) months immediately preceding their appointment and who presently are registered as registered dietitians by the Commission on Dietetic Registration.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 4, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591725. Removal from Committee Grounds.&nbsp;</span></p> <p><span class="cls0">A. It shall be a ground for removal from the Committee if a member:&nbsp;</span></p> <p><span class="cls0">1. does not have at the time of appointment the qualifications required for appointment to the Committee;&nbsp;</span></p> <p><span class="cls0">2. does not maintain during service on the Committee the qualifications required for appointment to the Committee; or&nbsp;</span></p> <p><span class="cls0">3. violates any provision of the Licensed Dietitian Act.&nbsp;</span></p> <p><span class="cls0">B. If a ground for removal of a member from the Committee exists, the Committee's actions taken during the existence of the ground for removal are valid.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 5, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591726. Committee Chairman Meetings.&nbsp;</span></p> <p><span class="cls0">A. Within thirty (30) days after the members of the Committee are appointed by the Board, the Committee shall meet to elect a chairman who shall hold office according to rules adopted by the Board.&nbsp;</span></p> <p><span class="cls0">B. The Committee shall hold at least two regular meetings each year. The rules may not be inconsistent with present rules of the Board relating to meetings of the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 6, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591727. Board Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. The Board may adopt rules which may be necessary for the performance of its duties pursuant to the provisions of the Licensed Dietitian Act.&nbsp;</span></p> <p><span class="cls0">B. It shall be the duty of the Board, aided by the Committee, to pass upon the qualifications of applicants for licensure, to conduct all examinations and to determine which applicants successfully pass such examinations.&nbsp;</span></p> <p><span class="cls0">C. The Board shall:&nbsp;</span></p> <p><span class="cls0">1. adopt an official seal;&nbsp;</span></p> <p><span class="cls0">2. establish the qualifications and fitness of applicants for licenses, renewal of licenses, and reciprocal licenses;&nbsp;</span></p> <p><span class="cls0">3. revoke, suspend, or deny a license, probate a license suspension, or reprimand a licensee for a violation of the Licensed Dietitian Act, or the rules of the Board;&nbsp;</span></p> <p><span class="cls0">4. spend funds necessary for the proper administration of its assigned duties;&nbsp;</span></p> <p><span class="cls0">5. establish reasonable and necessary fees for the administration and implementation of the Licensed Dietitian Act;&nbsp;</span></p> <p><span class="cls0">6. maintain a record listing the name of every licensed dietitian in this state, his or her lastknown place of business and lastknown place of residence, and the date and number of his or her license. The Board shall compile a list of dietitians licensed to practice in this state and such list shall be available to any person upon application to the Board and the payment of such charge as may be fixed by the Board for such list;&nbsp;</span></p> <p><span class="cls0">7. comply with the Oklahoma Open Meeting Law.&nbsp;</span></p> <p><span class="cls0">D. The Board shall not adopt rules restricting competitive bidding or advertising by a person regulated by the Board except to prohibit false, misleading, or deceptive practices. The Board shall not include in its rules to prohibit false, misleading, or deceptive practices by a person regulated by the Board a rule that:&nbsp;</span></p> <p><span class="cls0">1. restricts the person's use of any medium for advertising; or&nbsp;</span></p> <p><span class="cls0">2. restricts the person's personal appearance or use of his personal voice in an advertisement; or&nbsp;</span></p> <p><span class="cls0">3. relates to the size or duration of any advertisement by the person; or&nbsp;</span></p> <p><span class="cls0">4. restricts the person's advertisement under a trade name.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 7, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591728. Personnel and facilities Executive secretary.&nbsp;</span></p> <p><span class="cls0">A. The basic personnel and necessary facilities that are required to administer the Licensed Dietitian Act shall be the personnel and facilities of the Board. The Board personnel shall act as the agents of the Board. If necessary for the administration or implementation of the Licensed Dietitian Act, the Board by agreement may secure and provide for compensation for services that the Board considers necessary and may employ and compensate within available appropriations professional consultants, technical assistants, and employees on a fulltime or parttime basis.&nbsp;</span></p> <p><span class="cls0">B. The chairman of the Board shall designate an employee to serve as executive secretary of the Committee. The executive secretary must be an employee of the Board. The executive secretary shall be the administrator of the dietitian licensing activities for the Board.&nbsp;</span></p> <p><span class="cls0">C. In addition to other duties prescribed by law and by the Board, the executive secretary shall:&nbsp;</span></p> <p><span class="cls0">1. keep full accurate minutes of the transactions and proceedings of the Committee;&nbsp;</span></p> <p><span class="cls0">2. be the custodian of the files and records of the Committee;&nbsp;&nbsp;3. prepare and recommend to the Board plans and procedures necessary to implement the purposes and objectives of this act, including rules and proposals on administrative procedures consistent with this act;&nbsp;</span></p> <p><span class="cls0">4. exercise general supervision over persons employed by the Board in the administration of this act;&nbsp;</span></p> <p><span class="cls0">5. be responsible for the investigation of complaints and for the presentation of formal complaints;&nbsp;</span></p> <p><span class="cls0">6. attend all meetings of the Committee as a nonvoting participant;&nbsp;</span></p> <p><span class="cls0">7. handle the correspondence of the Committee and obtain, assemble, or prepare the reports and information that the Board may direct or authorize.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 8, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591729. Fees.&nbsp;</span></p> <p><span class="cls0">After consultation with the Committee, the Board shall set the fees imposed by the provisions of the Licensed Dietitian Act in amounts that are adequate to collect sufficient revenue to meet the expenses necessary to perform their duties without accumulating an unnecessary surplus.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 9, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591730. Application for license Fee Form Filing date Qualifications for licensing examination Notice of receipt.&nbsp;</span></p> <p><span class="cls0">A. An applicant for a dietitian license shall submit a sworn application, accompanied by the application fee.&nbsp;</span></p> <p><span class="cls0">B. The Committee shall prescribe the form of the application and may by rule establish dates by which applications and fees shall be received. These rules shall not be inconsistent with rules of the Board related to application dates of other licenses.&nbsp;</span></p> <p><span class="cls0">C. To qualify for the licensing examination the applicant shall:&nbsp;</span></p> <p><span class="cls0">1. possess a baccalaureate or post baccalaureate degree with a major course of study in human nutrition, food and nutrition, dietetics, or food systems management or an equivalent major course of study approved by the Committee; and&nbsp;</span></p> <p><span class="cls0">2. have completed an internship or preplanned professional experience program approved by the Committee.&nbsp;</span></p> <p><span class="cls0">D. Not later than the 45th day after the receipt of a properly submitted and timely application and not later than the 30th day before the next examination date, the Board shall notify an applicant in writing that his or her application and any other relevant evidence pertaining to applicant qualifications established by the Board by rule has been received and investigated. The notice shall state whether the application and other evidence submitted have qualified the applicant for examination. If the applicant has not qualified for examination, the notice shall state the reasons for the lack of qualifications.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 10, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591731. Examinations.&nbsp;</span></p> <p><span class="cls0">A. To qualify for a license, an applicant shall pass a competency examination. Examinations shall be prepared or approved by the Board and administered to qualified applicants at least once each calendar year.&nbsp;</span></p> <p><span class="cls0">B. An examination prescribed by the Board may be or may include an examination given by the Commission on Dietetic Registration of the American Dietetic Association or by a national or state testing service in lieu of examination prepared by the Board.&nbsp;</span></p> <p><span class="cls0">C. If requested in writing by a person who fails the licensing examination, the Board shall furnish the person with an analysis of the person's performance on the examination.&nbsp;</span></p> <p><span class="cls0">D. If an applicant fails the examination three times, the applicant shall furnish evidence to the Board of completed course work taken for credit with a passing grade in the areas of weakness before the applicant may again apply for examination.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 11, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591732. Issuance of license Duties of licensee Surrender of license.&nbsp;</span></p> <p><span class="cls0">A. A person who meets the licensing qualifications is entitled to receive a license certificate as a licensed dietitian.&nbsp;</span></p> <p><span class="cls0">B. The licensee shall:&nbsp;</span></p> <p><span class="cls0">1. display the license certificate in an appropriate and public manner; and&nbsp;</span></p> <p><span class="cls0">2. keep the Board informed of his or her current address.&nbsp;</span></p> <p><span class="cls0">C. A license certificate issued by the Board is the property of the Board and must be surrendered on demand.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 12, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;59-1733. Renewal of license.&nbsp;</span></p> <p><span class="cls0">A. Licenses shall be renewed annually by paying the required renewal fee to the State Board of Medical Licensure and Supervision on or before the renewal date specified by the Board. The Board shall promulgate rules setting forth fees for initial licensure and license renewal and may adopt a renewal system requiring all renewals to occur in a specified month of the year regardless of the date of initial licensure.&nbsp;</span></p> <p><span class="cls0">B. If a person's license has been expired for not more than ninety (90) days, the person may renew the license by paying to the Board the required renewal fee and a penalty fee that is onehalf (1/2) the renewal fee.&nbsp;</span></p> <p><span class="cls0">C. If a license has been expired for more than ninety (90) days but less than one (1) year, the person may renew the license by paying to the Board all unpaid renewal fees and a penalty fee that is equal to the renewal fee.&nbsp;</span></p> <p><span class="cls0">D. If a license has been expired one (1) year or more, the license may not be renewed. A new license may be obtained by submitting to reexamination and complying with the current requirements and procedures for obtaining a license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1984, c. 144, &sect; 13, eff. Nov. 1, 1984. Amended by Laws 1999, c. 103, &sect; 1, emerg. eff. April 19, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591734. Provisional license.&nbsp;</span></p> <p><span class="cls0">A. A license to use the title of provisional licensed dietitian may be issued by the Board on the filing of an application, payment of an application fee, and the submission of evidence of the successful completion of the educational requirement pursuant to the provisions of Section 10 of the Licensed Dietitian Act. The initial application shall be signed by the supervising licensed dietitian.&nbsp;</span></p> <p><span class="cls0">B. A provisional licensed dietitian shall be subject to the personal and direct supervision of a licensed dietitian.&nbsp;</span></p> <p><span class="cls0">C. A person qualified for a provisional license is entitled to receive a license certificate as a provisional licensed dietitian. A provisional licensed dietitian shall comply with the provisions of subsections B and C of Section 12 of the Licensed Dietitian Act.&nbsp;</span></p> <p><span class="cls0">D. A provisional license is valid for one (1) year from the date it is issued and may be renewed annually not to exceed two (2) additional years by the same procedures established for renewal pursuant to the provisions of Section 13 of the Licensed Dietitian Act if the application for renewal is signed by the supervising licensed dietitian.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Laws 1965, c. 347, &sect; 24, emerg. eff. June 28, 1965. &nbsp;</span></p> <p><span class="cls0">&sect;591735. Waiver of examination requirement.&nbsp;</span></p> <p><span class="cls0">On receipt of an application and application fee, the Board may upon the recommendation of the Committee waive the examination requirement for an applicant who, at the time of application:&nbsp;</span></p> <p><span class="cls0">1. is registered by the Commission on Dietetic Registration as a registered dietitian; or&nbsp;</span></p> <p><span class="cls0">2. holds a valid license or certificate as a licensed or registered dietitian issued by another state with which this state has a reciprocity agreement.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 15, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591736. Titles and abbreviations.&nbsp;</span></p> <p><span class="cls0">A. A person may not use the title or represent or imply that he or she has the title of licensed dietitian or provisional licensed dietitian or use the letters LD or PLD and may not use any facsimile of those titles in any manner to indicate or imply that the person is a licensed dietitian or provisional licensed dietitian, unless that person holds an appropriate license.&nbsp;</span></p> <p><span class="cls0">B. A person shall not use the title or represent or imply that he has the title of registered dietitian or the letters RD and shall not use any facsimile of the title in any manner to indicate or imply that the person is registered as a registered dietitian by the Commission on Dietetic Registration, unless the person is registered as a registered dietitian by the Commission on Dietetic Registration.&nbsp;</span></p> <p><span class="cls0">C. Any person convicted of knowingly or intentionally violating the provisions of subsection A or B of this section shall be guilty of a misdemeanor.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 16, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591737. Complaints Information file Notice of status.&nbsp;</span></p> <p><span class="cls0">A. The Board shall keep an information file about each complaint filed with the Board related to a licensee.&nbsp;</span></p> <p><span class="cls0">B. If a written complaint is filed with the Board relating to a licensee, the Board, at least as frequently as quarterly, shall notify the parties to the complaint of the status of the complaint until final disposition of the complaint.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 17, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591738. Probation, reprimand, suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">A. The Board shall revoke or suspend a license, probate a license suspension, or reprimand a licensee on proof of:&nbsp;</span></p> <p><span class="cls0">1. any violation of the provisions of the Licensed Dietitian Act; or&nbsp;</span></p> <p><span class="cls0">2. any violation of a rule adopted by the Committee.&nbsp;</span></p> <p><span class="cls0">B. If the Board proposes to suspend or revoke a person's license, the person is entitled to a hearing before the Board.&nbsp;</span></p> <p><span class="cls0">C. Proceedings for the suspension or revocation of a license are governed by rules and regulations of the Board.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 18, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591739. Currently registered dietitions exempted from examination requirement.&nbsp;</span></p> <p><span class="cls0">For one (1) year beginning on November 1, 1984, the Board shall waive the examination requirement and grant a license to any person who is registered by the Commission on Dietetic Registration as a registered dietitian on November 1, 1984, or who becomes so registered before November 1, 1985.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1984, c. 144, &sect; 19, eff. Nov. 1, 1984. &nbsp;</span></p> <p><span class="cls0">&sect;591750.1. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma Security Guard and Private Investigator Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1986, c. 224, &sect; 1, operative July 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1750.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Security Guard and Private Investigator Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Client&rdquo; means any person or legal entity having a contract with a person or entity licensed pursuant to the Oklahoma Security Guard and Private Investigator Act, which contract authorizes services to be performed in return for financial or other considerations;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Council&rdquo; means the Council on Law Enforcement Education and Training;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;License&rdquo; means authorization issued by the Council pursuant to the Oklahoma Security Guard and Private Investigator Act permitting the holder to perform the functions of a security guard, armed security guard, private investigator, investigative agency, or security agency;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Private investigator&rdquo; means a person who is self-employed, or contracts with, or is employed by an investigative agency for the purpose of conducting a private investigation and reporting the results to the employer or client of the employer relating to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;potential or pending litigation, civil, or criminal,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;divorce or other domestic investigations, &nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;missing persons or missing property, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;other lawful investigations, but shall not include:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;a person authorized or employed by the United States Government, any state government, or any agency, department, or political subdivision thereof while engaged in the performance of official duties,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;a person or employee of a firm, corporation or other legal entity engaged exclusively in a profession licensed by any board, commission, department or court of this state, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;a bona fide, salaried, full-time employee of a firm, corporation or other legal entity not in the primary business of soliciting and providing private investigations, who conducts investigations that are exclusive to and incidental to the primary business of said firm, corporation or entity, and when the costs of such investigations are not charged directly back to the particular client or customer who directly benefits from the investigation;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Armed private investigator&rdquo; means a private investigator authorized to carry a firearm;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Security agency&rdquo; means a person, firm, corporation, or other private legal entity in the business of security guard services or armed security guards for hire;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Security guard&rdquo; means an individual contracting with or employed by a security agency, private business or person to prevent trespass, theft, misappropriation, wrongful concealment of merchandise, goods, money or other tangible items, or engaged as a bodyguard or as a private watchman to protect persons or property, but shall not include:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;for individuals operating unarmed, any person employed as a private watchman or security guard by one employer only in connection with the affairs of such employer where there exists an employer-employee relationship,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a full-time certified peace officer of the United States, this state, or any political subdivision of either,&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;while such peace officer is engaged in the performance of his or her official duties within the course and scope of his or her employment with the United States, this state, or any political subdivision of either, &nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;while such peace officer is engaged in the performance of his or her duties as a railroad police officer,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;who receives compensation for private employment on an individual or an individual independent contractual basis as a patrolman, guard, or watchman if such person is employed in an employer-employee relationship or is employed on an individual contractual basis, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;who receives compensation from an employer-employee relationship or an individual independent contractor basis with any licensed security agency as defined in this section or any private business or person to perform security or investigative services,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any person whose terms of employment as a security guard are governed by a collective bargaining agreement on May 9, 1989, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;any person who is employed as a full-time security guard by a financial institution on May 9, 1989;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Armed security guard&rdquo; means a security guard authorized to carry a firearm;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Investigative agency&rdquo; means a self-employed private investigator, a firm, a corporation, or other private legal entity in the business of soliciting the business of private investigation and/or providing private investigations and investigators;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Special event&rdquo; means a public activity in the form of an athletic contest, charity event, exposition or similar event that occurs only on an annual or noncontinuing basis; and&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Special event license&rdquo; means a temporary license issued pursuant to the Oklahoma Security Guard and Private Investigator Act which restricts the license holder to employment as a security guard only for the duration of a particular event.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 2, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 1, eff. July 1, 1987; Laws 1988, c. 200, &sect; 1, eff. July 1, 1988; Laws 1989, c. 225, &sect; 1, emerg. eff. May 9, 1989; Laws 1998, c. 35, &sect; 1, eff. Nov. 1, 1998; Laws 1999, c. 68, &sect; 4, eff. Nov. 1, 1999; Laws 2005, c. 155, &sect; 1, eff. Nov. 1, 2005; Laws 2007, c. 360, &sect; 1, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1750.2A. Noncompliance with act &ndash; Injunction and enforcement.&nbsp;</span></p> <p><span class="cls0">Any person violating or failing to comply with the provisions of the Oklahoma Security Guard and Private Investigator Act or the Bail Enforcement and Licensing Act may be enjoined from such violations or required to comply with such provisions by any district court of competent jurisdiction. The Council on Law Enforcement Education and Training or the Attorney General may apply for an order enjoining such violation or enforcing compliance with law and rule. Upon the filing of a verified petition with the court, the court, if satisfied by the affidavit or otherwise that the person has violated any provisions of the Oklahoma Security Guard and Private Investigator Act or the Bail Enforcement and Licensing Act, may issue a temporary injunction enjoining such continued violation. In case of violation of any order or decree issued by court, the offender may be held in contempt of court. Proceedings under this section shall be in addition to all other remedies and penalties provided by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 68, &sect; 2, eff. Nov. 1, 1999. Amended by Laws 2013, c. 407, &sect; 28, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1750.3. Council on Law Enforcement Education and Training - Powers and Duties.&nbsp;</span></p> <p><span class="cls0">A. The director of the Council on Law Enforcement Education and Training, and any staff member designated by the director, shall have all the powers and authority of peace officers of this state for the purposes of enforcing the provisions of the Oklahoma Security Guard and Private Investigator Act, and all other duties which are or may be conferred upon the Council by the Oklahoma Security Guard and Private Investigator Act. The powers and duties conferred on the director or any staff member appointed by the director as a peace officer shall not limit the powers and duties of other peace officers of this state or any political subdivision thereof. The director, or any staff member appointed by the director as a peace officer shall, upon request, assist any federal, state, county, or municipal law enforcement agency.&nbsp;</span></p> <p><span class="cls0">B. The Council on Law Enforcement Education and Training shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To promulgate rules to carry out the purposes of the Oklahoma Security Guard and Private Investigator Act;&nbsp;</span></p> <p><span class="cls0">2. To establish and enforce standards governing the training of persons required to be licensed pursuant to the Oklahoma Security Guard and Private Investigator Act with respect to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;issuing, denying, or revoking certificates of approval to security training schools, and programs administered by the state, a county, a municipality, a private corporation, or an individual,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;certifying instructors at approved security training schools,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;establishing minimum requirements for security training schools and periodically reviewing these standards, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;providing for periodic inspection of all security training schools or programs;&nbsp;</span></p> <p><span class="cls0">3. To establish minimum curriculum requirements for training as the Council may require for security guards, armed security guards, and private investigators. Training requirements for unarmed security guards shall not exceed forty (40) hours of instruction;&nbsp;</span></p> <p><span class="cls0">4. To establish minimum requirements for a mandatory continuing education program for all licensed private investigators and security guards which shall include, but not be limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;establishing a designated minimum number of clock hours of required attendance, not to exceed twenty-four (24) clock hours during the licensing period, at accredited educational functions,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;establishing the penalties to be imposed upon a licensee for failure to comply with the continuing education requirements,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;designating the Private Security Advisory Committee to assist the Council in establishing the criteria for determining the qualifications of proposed continuing education programs that would be submitted to the Council for accreditation to meet this requirement, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;providing that the expense of such continuing education shall be paid by the licensee participating therein;&nbsp;</span></p> <p><span class="cls0">5. To grant a waiver of any training requirement, except firearms training which shall be required for an armed security guard license, if the applicant has completed not less than one (1) year of full-time employment as a security guard, armed security guard, private investigator, or law enforcement officer within a three-year period immediately preceding the date of application and the applicant provides sufficient documentation thereof as may be required by the Council;&nbsp;</span></p> <p><span class="cls0">6. To grant an applicant credit for fulfilling any prescribed course or courses of training, including firearms training, upon submission of acceptable documentation of comparable training. The Council may grant or refuse any such credit at its discretion;&nbsp;</span></p> <p><span class="cls0">7. To issue the licenses and identification cards provided for in the Oklahoma Security Guard and Private Investigator Act;&nbsp;</span></p> <p><span class="cls0">8. To investigate alleged violations of the Oklahoma Security Guard and Private Investigator Act or rules relating thereto and to deny, suspend, or revoke licenses and identification cards if necessary, or to issue notices of reprimand to licensees with or without probation under rules to be prescribed by the Council;&nbsp;</span></p> <p><span class="cls0">9. To investigate alleged violations of the Oklahoma Security Guard and Private Investigator Act by persons not licensed pursuant to such act and to impose administrative sanctions pursuant to rules or to seek an injunction pursuant to Section 1750.2A of this title;&nbsp;</span></p> <p><span class="cls0">10. To provide all forms for applications, identification cards, and licenses required by the Oklahoma Security Guard and Private Investigator Act;&nbsp;</span></p> <p><span class="cls0">11. To enter into reciprocal agreements with officials of other states;&nbsp;</span></p> <p><span class="cls0">12. To immediately suspend a license if a licensee's actions present a danger to the licensee or to the public; and&nbsp;</span></p> <p><span class="cls0">13. To require additional testing for continuation or reinstatement of a license if a licensee exhibits an inability to exercise reasonable judgment, skill, or safety.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 3, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 2, eff. July 1, 1987; Laws 1988, c. 200, &sect; 2, eff. July 1, 1988; Laws 1992, c. 199, &sect; 2, emerg. eff. May 13, 1992; Laws 1997, c. 226, &sect; 1, eff. Nov. 1, 1997; Laws 1999, c. 68, &sect; 3, eff. Nov. 1, 1999; Laws 2005, c. 155, &sect; 2, eff. Nov. 1, 2005; Laws 2007, c. 360, &sect; 2, eff. Nov. 1, 2007; Laws 2011, c. 22, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1750.3A. Psychological evaluation of applicants for armed security guard license - Exemption.&nbsp;</span></p> <p><span class="cls0">A. Each applicant for an armed security guard license shall be administered any current standard form of the Minnesota Multiphasic Personality Inventory (MMPI), or other psychological evaluation instrument approved by the Council on Law Enforcement Education and Training, which shall be administered during the firearms training phase required by Section 1750.3 of this title. The security training school administering such instrument shall forward the response data to a psychologist licensed by the State Board of Examiners of Psychologists for evaluation. The licensed psychologist shall be of the applicant's choice. Applicants with comparable training shall complete the psychological test and evaluation requirements prior to licensing. It shall be the responsibility of the applicant to bear the cost of the psychological evaluation.&nbsp;</span></p> <p><span class="cls0">B. If the licensed psychologist is unable to certify the applicant's psychological capability to exercise appropriate judgment, restraint, and self-control, after evaluating the data, the psychologist shall employ whatever other psychological measuring instruments or techniques deemed necessary to form a professional opinion. The use of any psychological measuring instruments or techniques shall require a full and complete written explanation to the Council on Law Enforcement Education and Training.&nbsp;</span></p> <p><span class="cls0">C. The psychologist shall forward a written psychological evaluation, on a form prescribed by the Council, to the Council within fifteen (15) days of the evaluation, even if the applicant is found to be psychologically at risk. The Council may utilize the results of the psychological evaluation for up to six (6) months from the date of the evaluation after which the applicant shall be reexamined. No person who has been found psychologically at risk in the exercise of appropriate judgment, restraint, or self-control shall reapply for certification until one (1) year from the date of being found psychologically at risk.&nbsp;</span></p> <p><span class="cls0">D. 1. Active peace officers who have been certified by the Council on Law Enforcement Education and Training shall be exempt from the provisions of this section.&nbsp;</span></p> <p><span class="cls0">2. Retired peace officers who have been certified by the Council on Law Enforcement Education and Training shall be exempt from the provisions of this section for a period of one year from retirement.&nbsp;</span></p> <p><span class="cls0">3. Retired peace officers who are not exempt from this section and who have previously undergone treatment for a mental illness, condition, or disorder which required medication or supervision, as defined by paragraph 7 of Section 1290.10 of Title 21 of the Oklahoma Statutes may apply for an armed security guard license only after three (3) years from the last date of treatment or upon presentation of a certified statement from a licensed physician stating that the person is either no longer disabled by any mental or psychiatric illness, condition, or disorder or that the person has been stabilized on medication for ten (10) years or more.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 193, &sect; 3, eff. July 1, 1987. Amended by Laws 1997, c. 226, &sect; 2, eff. Nov. 1, 1997; Laws 2005, c. 155, &sect; 3, eff. Nov. 1, 2005.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591750.4. License required.&nbsp;</span></p> <p><span class="cls0">On and after January 1, 1988, no person may be employed or operate as a security guard, private investigator, security agency, or investigative agency until a license therefor has been issued by the Council on Law Enforcement Education and Training pursuant to the Oklahoma Security Guard and Private Investigator Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1986, c. 224, &sect; 4, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 4, eff. July 1, 1987; Laws 1988, S.J.R. No. 27, &sect; 1, emerg. eff. Feb. 24, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;591750.4a. License required Armed Security Guard.&nbsp;</span></p> <p><span class="cls0">On and after July 1, 1988, no person may be employed or operate as an armed security guard until a license therefor has been issued by the Council on Law Enforcement Education and Training pursuant to the Oklahoma Security Guard and Private Investigator Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, S.J.R. No. 27, &sect; 2, emerg. eff. Feb. 24, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-1750.5. Licenses authorized - Combination license - Firearms - Identification cards - Conditional license - Qualifications for issuance - Agency license - Insurance coverage.&nbsp;</span></p> <p><span class="cls0">A. Licenses authorized to be issued by the Council on Law Enforcement Education and Training (CLEET) shall be as follows:&nbsp;</span></p> <p><span class="cls0">1. Security Agency License;&nbsp;</span></p> <p><span class="cls0">2. Investigative Agency License;&nbsp;</span></p> <p><span class="cls0">3. Private Investigator License (unarmed);&nbsp;</span></p> <p><span class="cls0">4. Security Guard License (unarmed);&nbsp;</span></p> <p><span class="cls0">5. Armed Security Guard License;&nbsp;</span></p> <p><span class="cls0">6. Special Event License (unarmed);&nbsp;</span></p> <p><span class="cls0">7. Armed Private Investigator License;&nbsp;</span></p> <p class="cls7"><span class="cls0">8. Bail Enforcer License; and&nbsp;</span></p> <p class="cls7"><span class="cls0">9. Armed Bail Enforcer License.&nbsp;</span></p> <p><span class="cls0">B. Any qualified applicant meeting the requirements for more than one of the positions of private investigator, security guard, , armed security guard, bail enforcer, or armed bail enforcer may be issued a separate license for each position for which qualified, or in the discretion of the Council, a combination license provided the required license fees are paid.&nbsp;</span></p> <p><span class="cls0">C. 1. A private investigator may carry a firearm, if the private investigator also performs the functions of an armed security guard, under the authority of the armed security guard license.&nbsp;</span></p> <p><span class="cls0">2. If the private investigator performs no functions of an armed security guard, the Council may issue an armed private investigator license. If a person has been issued an armed private investigator license, the Council may issue an armed bail enforcer license if the applicant is otherwise eligible and qualified. The applicant for an armed private investigator license must complete Phase I, III and IV training and pass the psychological examination and state test; provided however, active certified peace officers and retired certified peace officers shall be exempt from the psychological examination as provided in Section 1750.3A of this title, and active certified peace officers of any state, county or municipal law enforcement agency in this state shall be exempt from the Phase I, III and IV training and state test for an armed private investigator. The Council will charge the same fee for the armed private investigators license as the cost of the armed security guard license; provided however, an active certified peace officer who is an applicant for an armed private investigator or armed security guard license shall be charged only twenty percent (20%) of the required fee.&nbsp;</span></p> <p><span class="cls0">3. Any person issued an armed private investigator license may carry a concealed or unconcealed firearm when on and off duty, provided the person is in possession of a valid driver license and a valid armed private investigator license.&nbsp;</span></p> <p><span class="cls0">4. Any person issued an armed bail enforcer license may carry a concealed approved pistol, or may open-carry an approved pistol with a visible bail enforcer badge affixed to the holster or belt immediately next to the firearm while wearing clearly marked apparel designating the person as a "Bail Enforcer" when actively engaged in the recovery of a defendant, subject to all rules for use and conduct of firearms promulgated by the Council. An armed bail enforcer shall be permitted to carry a concealed firearm when not actively engaged in the recovery of a defendant provided the bail enforcer badge authorized or issued by CLEET and a state-issued driver license or identification card are in the possession of the person while carrying the firearm.&nbsp;</span></p> <p><span class="cls0">D. Any identification card or badge issued to a person meeting the license requirements for an armed security guard , an armed private investigator or armed bail enforcer shall be distinct and shall explicitly state that the person is authorized to carry a firearm pursuant to the provisions of the Oklahoma Security Guard and Private Investigator Act or the Bail Enforcement and Licensing Act. Upon receipt of the license and identification card, the armed security guard, armed private investigator or armed bail enforcer is authorized to carry a firearm subject to the respective provisions of the Oklahoma Security Guard and Private Investigator Act or the Bail Enforcement and Licensing Act and the rules promulgated by the Council.&nbsp;</span></p> <p><span class="cls0">E. The Council may issue a conditional license to a person employed by a security or investigative agency as a trainee for a security guard, armed security guard, or private investigator position, when the person has submitted a properly completed application, made under oath, subject to the following conditions:&nbsp;</span></p> <p><span class="cls0">1. A conditional license shall authorize employees to perform the same functions that regular licensees perform, but subject to supervision by the employing agency as the Council may prescribe;&nbsp;</span></p> <p><span class="cls0">2. The holder of a conditional license shall complete the necessary training requirements within one hundred eighty (180) days from the effective date of the conditional license, after which the conditional license shall expire;&nbsp;</span></p> <p><span class="cls0">3. The holder of a conditional license as an armed security guard shall not carry a firearm in the performance of duties until after completing a course of firearms training as prescribed by the Council, and having been issued a regular license by the Council;&nbsp;</span></p> <p><span class="cls0">4. A conditional license may be renewed at the discretion of the Council, if necessary to allow an applicant to complete any training required for a regular license;&nbsp;</span></p> <p><span class="cls0">5. When the Council finds that a conditional license holder has completed the required training and is otherwise qualified for a license pursuant to the provisions of the Oklahoma Security Guard and Private Investigator Act, the Council shall issue a regular license; and&nbsp;</span></p> <p><span class="cls0">6. The Council shall be prohibited from issuing a conditional license to a bail enforcer under the Bail Enforcement and Licensing Act.&nbsp;</span></p> <p><span class="cls0">F. A Security Agency License may be issued to an individual, corporation, or other legal entity meeting the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. If the license is to be issued in the name of a legal entity other than a natural person, the applicant must furnish proof that the entity is legally recognized, such as the issuance of a corporate charter; and&nbsp;</span></p> <p><span class="cls0">2. The executive officer, manager, or other person in charge of supervising security guards in the performance of their duties shall be a licensed security guard.&nbsp;</span></p> <p><span class="cls0">G. An Investigative Agency License may be issued to an individual, corporation, or other legal entity meeting the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. If the license is to be issued in the name of a legal entity other than a natural person, the applicant must furnish proof that the entity is legally recognized, such as the issuance of a corporate charter;&nbsp;</span></p> <p><span class="cls0">2. Any person, otherwise qualified, may own a private investigation agency; and&nbsp;</span></p> <p><span class="cls0">3. A self-employed private investigator who employs no other investigators shall also be licensed as an investigative agency, but shall only be required to be insured or bonded as a self-employed private investigator.&nbsp;</span></p> <p><span class="cls0">H. A Security Guard License, Armed Security Guard License, Private Investigator License, Armed Private Investigator License, or combination thereof may be issued to an applicant meeting the following qualifications. The applicant shall:&nbsp;</span></p> <p><span class="cls0">1. Be a citizen of the United States or an alien legally residing in the United States;&nbsp;</span></p> <p><span class="cls0">2. Be at least eighteen (18) years of age, except that an applicant for an Armed Security Guard License shall be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">3. Have successfully completed training requirements for the license applied for, as prescribed by the Council;&nbsp;</span></p> <p><span class="cls0">4. Be of good moral character;&nbsp;</span></p> <p><span class="cls0">5. Not have a record of a felony conviction;&nbsp;</span></p> <p><span class="cls0">6. Not have a record of conviction for larceny, theft, false pretense, fraud, embezzlement, false personation of an officer, any offense involving moral turpitude, any offense involving a minor as a victim, any nonconsensual sex offense, any offense involving the possession, use, distribution, or sale of a controlled dangerous substance, any offense involving a firearm, or any other offense as prescribed by the Council, as provided herein.&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;If any conviction which disqualifies an applicant occurred more than five (5) years prior to the application date and the Council is convinced the offense constituted an isolated incident and the applicant has been rehabilitated, the Council may, in its discretion, waive the conviction disqualification as provided for in this paragraph and issue an unarmed security guard license or a private investigator license, but shall not issue an armed guard license to the applicant if the felony involved the use of a firearm or was violent in nature.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;If an Oklahoma State Bureau of Investigation records check and a local records check reveal that there are no felony convictions, criminal convictions involving moral turpitude, or any other disqualifying convictions as specified in the Oklahoma Security Guard and Private Investigator Act or prescribed by the Council, then the Council may conditionally issue an armed security guard license pending completion of the criminal history and background check.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Under oath, the applicant shall certify that he or she has no disqualifying convictions as specified in the Oklahoma Security Guard and Private Investigator Act or by the Council.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;The applicant shall further meet all other qualifications.&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;If upon completion of the required background investigation it is discovered that a disqualifying conviction exists, the Council shall immediately revoke the armed guard license of the applicant;&nbsp;</span></p> <p><span class="cls0">7. Make a statement that the applicant is not currently undergoing treatment for a mental illness, condition, or disorder, make a statement whether the applicant has ever been adjudicated incompetent or committed to a mental institution, and make a statement regarding any history of illegal drug use or alcohol abuse. Upon presentation by the Council on Law Enforcement Education and Training of the name, gender, date of birth, and address of the applicant to the Department of Mental Health and Substance Abuse Services, the Department of Mental Health and Substance Abuse Services shall notify the Council within ten (10) days whether the computerized records of the Department indicate the applicant has ever been involuntarily committed to an Oklahoma state mental institution. For purposes of this subsection, "currently undergoing treatment for a mental illness, condition, or disorder" means the person has been diagnosed by a licensed physician or psychologist as being afflicted with a substantial disorder of thought, mood, perception, psychological orientation, or memory that significantly impairs judgment, behavior, capacity to recognize reality, or ability to meet the ordinary demands of life and such condition continues to exist; and&nbsp;</span></p> <p><span class="cls0">8. Make a statement regarding misdemeanor domestic violence charges.&nbsp;</span></p> <p><span class="cls0">I. A special event license may be issued to an employee of a security agency who is hired on a temporary basis as an unarmed security guard for a particular event. An application for a special event license shall be made by the agency employing the applicant. The agency shall certify to the Council that the applicant meets the qualifications for security guards, pursuant to subsection H of this section.&nbsp;</span></p> <p><span class="cls0">J. 1. All persons and agencies shall obtain and maintain liability coverage in accordance with the following minimum standards:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;general liability insurance coverage for bodily injury, personal injury, and property damage, with endorsements for personal injury including false arrest, libel, slander, and invasion of privacy, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a surety bond that allows persons to recover for actionable injuries, loss, or damage as a result of the willful, or wrongful acts or omissions of the principal and protects this state, its agents, officers and employees from judgments against the principal or insured licensee, and is further conditioned upon the faithful and honest conduct of the principal's business.&nbsp;</span></p> <p><span class="cls0">2. Liability coverages and bonds outlined in this section shall be in the minimum amounts of One Hundred Thousand Dollars ($100,000.00) for agencies, Ten Thousand Dollars ($10,000.00) for armed security guards and armed private investigators, or combination armed license; and Five Thousand Dollars ($5,000.00) for unarmed security guards and self-employed unarmed private investigators who employ no other investigators.&nbsp;</span></p> <p><span class="cls0">3. Security agencies and investigative agencies shall ensure that all employees of these agencies have met the minimum liability coverages as prescribed in this section.&nbsp;</span></p> <p><span class="cls0">4. Insurance policies and bonds issued pursuant to this section shall not be modified or canceled unless ten (10) days' prior written notice is given to the Council. All persons and agencies insured or bonded pursuant to this section shall be insured or bonded by an insurance carrier or a surety company licensed in the state in which the insurance or bond was purchased, or in this state.&nbsp;</span></p> <p><span class="cls0">5. In lieu of the requirements of this subsection, the Council may accept a written statement from a corporation which is registered with the Oklahoma Secretary of State attesting that the corporation self-insures the general operation of business for the types of liability set out in paragraphs 1 and 2 of this subsection.&nbsp;</span></p> <p><span class="cls0">K. Upon written notice, any license may be placed on inactive status.&nbsp;</span></p> <p><span class="cls0">L. Similar or duplicate agency names will not be issued. Each agency name must be distinguishably different.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 5, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 5, eff. July 1, 1987; Laws 1988, c. 200, &sect; 3, eff. July 1, 1988; Laws 1989, c. 225, &sect; 2, emerg. eff. May 9, 1989; Laws 1993, c. 63, &sect; 1, eff. July 1, 1993; Laws 1995, c. 357, &sect; 6, eff. Nov. 1, 1995; Laws 1997, c. 226, &sect; 3, eff. Nov. 1, 1997; Laws 1998, c. 286, &sect; 8, eff. July 1, 1998; Laws 1999, c. 415, &sect; 8, eff. July 1, 1999; Laws 2000, c. 6, &sect; 13, emerg. eff. March 20, 2000; Laws 2001, c. 312, &sect; 1, eff. Nov. 1, 2001; Laws 2005, c. 155, &sect; 4, eff. Nov. 1, 2005; Laws 2007, c. 360, &sect; 3, eff. Nov. 1, 2007; Laws 2013, c. 121, &sect; 1, eff. Nov. 1, 2013; Laws 2013, c. 407, &sect; 29, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1999, c. 68, &sect; 1 repealed by Laws 2000, c. 6, &sect; 33, emerg. eff. March 20, 2000.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1750.6. Application for license, renewal of license and reinstatement of license - Forms - Information required - Criminal history data - Fees - Term of license - Special event licenses - System for issuance - Duplicate licenses.&nbsp;</span></p> <p><span class="cls0">A. 1. Application for a license shall be made on forms provided by the Council on Law Enforcement Education and Training and shall be submitted in writing by the applicant under oath. The application shall require the applicant to furnish information reasonably required by the Council to implement the provisions of the Oklahoma Security Guard and Private Investigator Act, including classifiable fingerprints to enable the search of criminal indices for evidence of a prior criminal record, including, but not limited to, a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">2. Upon request of the Council, the Oklahoma State Bureau of Investigation and other state and local law enforcement agencies shall furnish a copy of any existent criminal history data relating to an applicant, including investigation reports which are otherwise required by law to be deemed confidential, to enable the Council to determine the qualifications and fitness of such applicant for a license.&nbsp;</span></p> <p class="cls2"><span class="cls0">B. 1. a.&nbsp;&nbsp;Beginning November 1, 2010, the original application and any license renewal shall be accompanied by a fee of Fifty Dollars ($50.00) for each original application and renewal of a private investigator or an unarmed security guard, One Hundred Dollars ($100.00) for each original application and renewal of an armed security guard or an armed private investigator; provided however, an active certified peace officer upon application or renewal of an armed security guard or armed private investigator shall be charged only twenty percent (20%) of the required fee, Seven Dollars ($7.00) for each special event license, and Three Hundred Dollars ($300.00) for either the original application or each renewal for a security agency or investigative agency. If an individual or agency does not qualify for the type of license or renewal license requested, CLEET shall retain twenty percent (20%) of the licensing fee as a processing fee and refund the remaining amount, if any, to the individual or agency submitting payment. The individual license fee paid by a licensed agency will be refunded to the agency.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;In addition to the fees provided in this subsection, the original application of an unarmed private investigator, unarmed security guard, armed security guard or armed private investigator shall be accompanied by a nonrefundable fee for a national criminal history record with fingerprint analysis, as provided in Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">2. A licensee whose license has been suspended may apply for reinstatement of license after the term of the suspension has passed. Any application for reinstatement following a suspension of licensure shall be accompanied by a nonrefundable fee of Twenty-five Dollars ($25.00) for the reinstatement of a private investigator or unarmed security guard, Fifty Dollars ($50.00) for the reinstatement of an armed security guard or armed private investigator, and Two Hundred Dollars ($200.00) for reinstatement of a security or investigative agency.&nbsp;</span></p> <p><span class="cls0">3. A licensee who fails to file a renewal application on or before the expiration of a license shall pay a late fee of Twenty-five Dollars ($25.00) for an individual license and a late fee of One Hundred Dollars ($100.00) for an agency license.&nbsp;</span></p> <p><span class="cls0">4. The fees charged and collected pursuant to the provisions of paragraph 1 of this subsection shall be apportioned and deposited to the credit of the CLEET Private Security Revolving Fund created pursuant to Section 2 of this act, as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;Twenty-five Dollars ($25.00) of the fee charged for an original application or license renewal of a private investigator or an unarmed security guard,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Fifty Dollars ($50.00) of the fee charged for an original application or license renewal of an armed security guard or an armed private investigator, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;One Hundred Dollars ($100.00) of the fee charged for an original or renewal application for a security agency or investigative agency.&nbsp;</span></p> <p><span class="cls0">Unless otherwise specified in this subsection, all remaining fees, penalties, and fines shall be deposited in the General Revenue Fund. The prevailing fingerprint processing fee for the original application for a private investigator, an unarmed security guard, an armed security guard or an armed private investigator shall be deposited in the OSBI Revolving Fund.&nbsp;</span></p> <p><span class="cls0">C. Beginning November 1, 2010, a Security Guard License, Armed Security Guard License, Private Investigator License, or Armed Private Investigator License shall be valid for a period of three (3) years and may be renewed for additional three-year terms. A Security Agency License or Investigative Agency License shall be valid for a period of five (5) years and may be renewed for additional five-year terms. A special event license shall be valid only for the duration of the event for which it is expressly issued. Any individual may be issued up to two special event licenses during any calendar year.&nbsp;</span></p> <p><span class="cls0">D. The Council shall devise a system for issuance of licenses for the purpose of evenly distributing the expiration dates of the licenses.&nbsp;</span></p> <p><span class="cls0">E. Pursuant to its rules, the Council may issue a duplicate license to a person licensed pursuant to the provisions of the Oklahoma Security Guard and Private Investigator Act. Beginning November 1, 2010, the Council may assess a fee of Eight Dollars ($8.00) for the issuance of a duplicate license. The fee must accompany the request for a duplicate license. Four Dollars ($4.00) of the fee collected for the issuance of a duplicate license shall be deposited to the credit of the CLEET Private Security Revolving Fund created pursuant to Section 2 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 6, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 6, eff. July 1, 1987; Laws 1988, c. 200, &sect; 4, eff. July 1, 1988; Laws 1989, c. 225, &sect; 3, emerg. eff. May 9, 1989; Laws 1993, c. 63, &sect; 2, eff. July 1, 1993; Laws 1997, c. 226, &sect; 4, eff. Nov. 1, 1997; Laws 2003, c. 204, &sect; 7, eff. Nov. 1, 2003; Laws 2004, c. 151, &sect; 1, eff. Nov. 1, 2004; Laws 2007, c. 360, &sect; 4, eff. Nov. 1, 2007; Laws 2010, c. 380, &sect; 1, eff. Nov. 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591750.7. Denial, suspension or revocation of license and/or disciplinary penalty or fine.&nbsp;</span></p> <p><span class="cls0">A. A Security Guard License, Armed Security Guard License, Private Investigator License, and any conditional license shall be subject to denial, suspension, or revocation and/or disciplinary penalty or fine by the Council on Law Enforcement Education and Training subject to the Administrative Procedures Act for, but not limited to, the following reasons by clear and convincing evidence:&nbsp;</span></p> <p><span class="cls0">1. Any erroneous or false statement in an application for a license submitted pursuant to Section 1750.1 et seq. of this title;&nbsp;</span></p> <p><span class="cls0">2. Failure to successfully complete any prescribed course of training as required by the Council;&nbsp;</span></p> <p><span class="cls0">3. Violation of a provision of the Oklahoma Security Guard and Private Investigator Act or a rule promulgated pursuant to the act;&nbsp;</span></p> <p><span class="cls0">4. A conviction for larceny, theft, embezzlement, false pretense, fraud, an offense involving moral turpitude, any nonconsensual sex offense, any offense involving a minor as a victim, any offense involving the possession, use, distribution or sale of a controlled dangerous substance, any offense involving a firearm, or any felony;&nbsp;</span></p> <p><span class="cls0">5. Use of beverages containing alcohol while armed with a firearm;&nbsp;</span></p> <p><span class="cls0">6. Knowingly impersonating a law enforcement officer; or&nbsp;</span></p> <p><span class="cls0">7. Failure to obtain or maintain liability insurance coverage or a surety bond pursuant to subsection J of Section 1750.5 of this title.&nbsp;</span></p> <p><span class="cls0">B. A Security Agency License or Investigative Agency License shall be subject to denial, suspension, or revocation and/or disciplinary penalty or fine by the Council subject to the Administrative Procedures Act for, but not limited to, the following reasons by clear and convincing evidence:&nbsp;</span></p> <p><span class="cls0">1. A false statement in a license application;&nbsp;</span></p> <p><span class="cls0">2. Violation of any provision of the Oklahoma Security Guard and Private Investigator Act or a rule adopted pursuant thereto;&nbsp;</span></p> <p><span class="cls0">3. Employing, authorizing, or permitting an unlicensed, uninsured or unbonded person to perform a security guard, armed security guard or private investigator function; or&nbsp;</span></p> <p><span class="cls0">4. Permitting a person to perform a security guard, armed security guard or private investigator function, knowing the person has committed any offense enumerated in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">C. Upon the effective date of suspension or revocation of any license, the licensee shall have the duty to surrender the license and any identification card issued pursuant thereto to the Council.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 7, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 7, eff. July 1, 1987; Laws 1988, c. 200, &sect; 5, eff. July 1, 1988; Laws 1993, c. 63, &sect; 3, eff. July 1, 1993; Laws 1997, c. 226, &sect; 5, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591750.8. Prohibited acts Penalties Disclosure of application information.&nbsp;</span></p> <p><span class="cls0">A. No person who is exempt from the provisions of Section 1750.1 et seq. of this title shall display any badge or identification card bearing the words "private investigator" or "private detective", or use any words or phrases that imply that such person is a private investigator or private detective.&nbsp;</span></p> <p><span class="cls0">B. No person licensed as a private investigator shall:&nbsp;</span></p> <p><span class="cls0">1. Divulge any information gained by him in his employment except as his employer may direct or as he may be required by law to divulge; or&nbsp;</span></p> <p><span class="cls0">2. Willfully make a false report to his employer or to a client.&nbsp;</span></p> <p><span class="cls0">Any violation of this subsection, upon conviction, shall be punishable by a fine of not more than Five Hundred Dollars ($500.00) or by imprisonment for not more than one (1) year, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">C. The Council on Law Enforcement Education and Training or its employees shall not disclose application information pertaining to persons licensed pursuant to this act, except:&nbsp;</span></p> <p><span class="cls0">1. To verify the current license status of any applicant or licensee to the public;&nbsp;</span></p> <p><span class="cls0">2. To perform duties pursuant to this act;&nbsp;</span></p> <p><span class="cls0">3. To a bona fide law enforcement agency;&nbsp;</span></p> <p><span class="cls0">4. To a licensing authority in another jurisdiction; or&nbsp;</span></p> <p><span class="cls0">5. As required by court order.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1986, c. 224, &sect; 8, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 8, eff. July 1, 1987; Laws 1988, c. 200, &sect; 6, eff. July 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;591750.9. Carrying driver license and identification card - Display of license Misrepresentation as state or federal agent - Discharge of firearm.&nbsp;</span></p> <p><span class="cls0">A. Each security guard, armed security guard, or private investigator licensed pursuant to this act shall carry a valid driver license or state-issued photo identification card and an identification card issued by the Council on Law Enforcement Education and Training at all times while on duty as a security guard, armed security guard or private investigator, and each security agency and investigative agency shall display in its primary office in this state a valid license therefor issued by the Council.&nbsp;</span></p> <p><span class="cls0">B. No licensee or officer, director, partner, or employee of a licensee, may wear a uniform, or use a title, an insignia, badge, or an identification card, or make any statements that would lead a person to believe that he is connected in any way with the federal government, a state government, or any political subdivision of a state government, unless he is authorized by proper authorities to do so.&nbsp;</span></p> <p><span class="cls0">C. Each discharge of a firearm in the performance of his employment by any licensee authorized by this act to carry a firearm, other than for training purposes, shall be reported immediately to the Council by said licensee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 9, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 9, eff. July 1, 1987; Laws 2001, c. 312, &sect; 2, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1750.10. Display or use of certain words on badges, vehicles and uniforms prohibited.&nbsp;</span></p> <p><span class="cls0">A. The words "police", "deputy", or "patrolman" shall not be displayed upon any security guard badge, or uniform, or security vehicle. The words "Security", "Security Officer", or "Security Guard" in conjunction with the agencies' name shall be displayed on any badge or uniform in bold letters.&nbsp;</span></p> <p><span class="cls0">B. Vehicles used by security guards, armed security guards, or security agencies shall display the words "Security", or "Guard", if marked, or both, and the agencies' name in conspicuous letters. No such vehicle shall be equipped with a siren, a lamp with a red or blue lens, nor an overhead light or lights with red or blue lens.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 10, operative July 1, 1986. Amended by Laws 1996, c. 22, &sect; 5, eff. July 1, 1996; Laws 1997, c. 226, &sect; 6, eff. Nov. 1, 1997.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591750.10A. Firearm training.&nbsp;</span></p> <p><span class="cls0">The firearm training for armed security guards may include the reduction targets for weapons fired at fifty (50) feet to simulate weapons fired at seventyfive (75) feet in indoor ranges. All indoor ranges for this training shall have a minimum of three firing lanes and be approved by the Council on Law Enforcement Education and Training.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 53, &sect; 1, operative April 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-1750.10B. Private security training schools - Certificate of approval - Application - Renewal - Fee.&nbsp;</span></p> <p><span class="cls0">Beginning July 1, 1990, private schools desiring to conduct any or all phases of private security training shall submit an application for a certificate of approval to the Council on Law Enforcement Education and Training. The application shall be accompanied by a fee of Three Hundred Dollars ($300.00). The certificate shall be renewed annually by July 1. The renewal fee shall be Three Hundred Dollars ($300.00). If the school does not qualify for a certificate or renewal certificate, CLEET shall retain twenty percent (20%) of the fee as a processing fee and refund the balance to the school.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 258, &sect; 25, operative July 1, 1990. Amended by Laws 2007, c. 360, &sect; 5, eff. Nov. 1, 2007.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1750.11. Violations - Penalty.&nbsp;</span></p> <p><span class="cls0">A. Unless otherwise prescribed by law, any person convicted of violating any provision of the Oklahoma Security Guard and Private Investigator Act or a rule or regulation promulgated pursuant to the Oklahoma Security Guard and Private Investigator Act shall be guilty of a misdemeanor punishable by imprisonment for not more than sixty (60) days, or by a fine of not more than Two Thousand Dollars ($2,000.00), or by both such imprisonment and fine.&nbsp;</span></p> <p><span class="cls0">B. Any person who willfully makes a false statement, knowing such statement is false, in any application to the Council on Law Enforcement Education and Training for a license pursuant to the Oklahoma Security Guard and Private Investigator Act, or who otherwise commits a fraud in connection with such application, shall be guilty of a felony punishable by a term of imprisonment for not less than two (2) years nor more than five (5) years, or by a fine of not more than Two Thousand Dollars ($2,000.00), or by both such imprisonment and fine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1986, c. 224, &sect; 11, operative July 1, 1987. Amended by Laws 1987, c. 193, &sect; 10, eff. July 1, 1987; Laws 1997, c. 133, &sect; 514, eff. July 1, 1999; Laws 1999, 1st Ex.Sess., c. 5, &sect; 375, eff. July 1, 1999.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 1998, 1st Ex.Sess., c. 2, &sect; 23 amended the effective date of Laws 1997, c. 133, &sect; 514 from July 1, 1998, to July 1, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1750.13. Repealed by Laws 1997, c. 226, &sect; 7, eff. Nov. 1, 1997.&nbsp;</span></p> <p><span class="cls0">&sect;59-1750.14. Nonresidents apprehending persons who have forfeited bail to be accompanied by peace officer or bail bondsman.&nbsp;</span></p> <p><span class="cls0">A. Except as provided in subsection C of this section, any person who is not a resident of this state who intends to apprehend in this state, or attempts to apprehend, a defendant who has failed to appear before any court of this state or another state or any federal court as required by law and has forfeited bail or for purposes of apprehending a defendant prior to breach of an undertaking or bail contract, shall be required to have a client contract with a bail enforcer licensed in this state or to be licensed bail enforcer in this state prior to such apprehension or to be accompanied at the time of the apprehension by a peace officer.&nbsp;</span></p> <p><span class="cls0">B. Any person who violates the provisions of this section shall be guilty of a violation of the Bail Enforcement and Licensing Act and shall be punished as provided in Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">C. The provisions of this section shall not apply to law enforcement officers of any jurisdiction or to licensed bondsmen in this state appointed by an insurer with regard to a defendant on a bond posted by that insurer.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1993, c. 43, &sect; 1, eff. Sept. 1, 1993. Amended by Laws 2013, c. 407, &sect; 30, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.1. Short title.&nbsp;</span></p> <p><span class="cls0">Section 1800.1 et seq. of this title shall be known and may be cited as the "Alarm and Locksmith Industry Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 1, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 1, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 2, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Alarm and Locksmith Industry Act:&nbsp;</span></p> <p><span class="cls0">1. "Alarm industry" means the sale, except as provided in Section 1800.3 of this title, installation, alteration, repair, replacement, service, inspection, or maintenance of alarm systems or service involving receipt of alarm signals for the purpose of employee response and investigation of such signals or any combination of the foregoing activities except inspections on one- and two-family dwellings are exempt;&nbsp;</span></p> <p><span class="cls0">2. "Alarm system" means one or more devices designed either to detect and signal an unauthorized intrusion or entry or to signal a fire or other emergency condition, which signals are responded to by public law enforcement officers, fire department personnel, private guards or security officers;&nbsp;</span></p> <p><span class="cls0">3. "Committee" means the Alarm and Locksmith Industry Committee;&nbsp;</span></p> <p><span class="cls0">4. "Commissioner" means the Commissioner of Labor;&nbsp;</span></p> <p><span class="cls0">5. "Licensee" means any person licensed pursuant to the Alarm and Locksmith Industry Act;&nbsp;</span></p> <p><span class="cls0">6. "Lock" means mechanical or electronic devices consisting entirely of Class 2 or Class 3 circuits and power source requirements as established by the National Electrical Code and designed to control use of a device or control ingress or egress of a structure or automobile, including, but not limited to, peripheral devices to alarm systems, safes, vaults, safe deposit boxes, bio-metric/retina readers and mechanical or electronic key systems;&nbsp;</span></p> <p><span class="cls0">7. "Locksmith industry" means the sale, servicing or installing, repairing, rebuilding, readying, rekeying, repinning, adjusting or installing locks, mechanical or electronic security devices, annunciation devices not designed to require a response by law enforcement or opening or bypassing a lock by a means other than those intended by the manufacturer of such devices. For the purposes of the Alarm and Locksmith Industry Act, "mechanical or electronic security devices" includes, but is not limited to, access control systems including peripheral devices to alarm systems, fiber optic security systems, closed circuit television and nurse call systems; and&nbsp;</span></p> <p><span class="cls0">8. "Person" means an individual, sole proprietorship, firm, partnership, association, limited liability company, corporation, or other similar entity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 2, eff. Nov. 1, 1985. Amended by Laws 1993, c. 295, &sect; 1, eff. Sept. 1, 1993; Laws 1998, c. 174, &sect; 1, emerg. eff. April 28, 1998; Laws 2001, c. 394, &sect; 51, eff. Jan. 1, 2002; Laws 2006, c. 110, &sect; 2, eff. Jan. 1, 2007; Laws 2010, c. 299, &sect; 1, eff. Nov. 1, 2010; Laws 2012, c. 368, &sect; 3, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.3. Exemptions.&nbsp;</span></p> <p><span class="cls0">The Alarm and Locksmith Industry Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. An officer or employee of this state, the United States or a political subdivision of either, while the employee or officer is engaged in the performance of official duties;&nbsp;</span></p> <p><span class="cls0">2. An individual who owns and installs alarm devices, mechanical or electronic security devices and locks on the individual's own property or, if the individual does not charge for the device or its installation, installs it for the protection of the individual's personal property located on another's property, and does not install the alarm devices, mechanical or electronic security devices and locks as a normal business practice on the property of another;&nbsp;</span></p> <p><span class="cls0">3. The sale of alarm or lock systems designed or intended for customer or user installation;&nbsp;</span></p> <p><span class="cls0">4. The sale, installation, service, or repair of alarm systems or electronic security devices such as electronic access control, closed circuit television, nurse call systems and the like by individuals licensed pursuant to the Electrical License Act;&nbsp;</span></p> <p><span class="cls0">5. The locksmith industry activities of tow truck operators from their towing vehicles or repossession agents within the execution of their duties;&nbsp;</span></p> <p><span class="cls0">6. Locksmith industry activities of persons primarily engaged in selling lumber and other building materials who hold a sales tax permit as a Group One vendor authorized to engage in business within this state pursuant to Sections 1363 and 1364 of the Oklahoma Sales Tax Code; or&nbsp;</span></p> <p><span class="cls0">7. The solicitation of a potential alarm system customer by a person via telephone or electronic device on behalf of an Oklahoma licensed alarm company for the sale of an alarm system.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 3, eff. Nov. 1, 1985. Amended by Laws 1992, c. 199, &sect; 1, emerg. eff. May 13, 1992; Laws 2006, c. 110, &sect; 3, eff. Jan. 1, 2007; Laws 2008, c. 4, &sect; 11, eff. Nov. 1, 2008; Laws 2010, c. 299, &sect; 2, eff. Nov. 1, 2010; Laws 2012, c. 368, &sect; 4, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 1, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.3a. Installation or repair of certain electrical circuits - Exemption from Electrical Licensing Act.&nbsp;</span></p> <p><span class="cls0">Any person engaged in any activity regulated by the Alarm and Locksmith Industry Act, when installing or repairing electrical circuits consisting entirely of Class 2 or Class 3 circuits and power source requirements as established by the National Electrical Code shall not be required to obtain any license as required by the Electrical Licensing Act, if such person is licensed pursuant to the provisions of the Alarm and Locksmith Industry Act; provided, however, persons performing installations, repairs or other work on any electrical circuits other than Class 2 or Class 3 circuits shall be required to be properly licensed or registered pursuant to the Electrical Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1989, c. 304, &sect; 3, eff. Nov. 1, 1989. Amended by Laws 2006, c. 110, &sect; 4, eff. Jan. 1, 2007; Laws 2010, c. 299, &sect; 3, eff. Nov. 1, 2010; Laws 2012, c. 368, &sect; 5, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.4. Alarm and Locksmith Industry Committee.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the Alarm and Locksmith Industry Committee, which shall consist of nine (9) members. One member shall be the Commissioner of Labor or the Commissioner&rsquo;s designated representative and eight members shall be appointed by the Governor with the consent of the Senate. Seven of the appointed members shall have at least five (5) years of experience in the alarm or locksmith industry or in a closely related field with broad knowledge of the alarm or locksmith industry. No more than two of the appointed members shall be from each working field or closely related industries of burglar alarm, fire alarm, electronic access control, locksmith, closed circuit television, and nurse call system. One of the appointed members shall be a lay member. No member shall be employed by the same person as any other member of the Committee. On the effective date of the transfer of alarm and locksmith industry as provided in this act, the State Commissioner of Health then serving on the Alarm and Locksmith Industry Committee shall be replaced by the Commissioner of Labor, and all other committee members shall continue to serve until their term has expired or is otherwise vacated. Nothing shall prohibit the reappointment of any member provided the reappointment does not exceed term limits.&nbsp;</span></p> <p><span class="cls0">B. The term of office of each appointed member shall be a staggered term of four (4) years with a limit of two full terms. All appointees must qualify under the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">C. Members of the Committee may be removed from office by the Governor for cause.&nbsp;</span></p> <p><span class="cls0">D. Vacancies shall be filled by appointment by the Governor with the consent of the Senate for the unexpired term of the vacancy.&nbsp;</span></p> <p><span class="cls0">E. The members of the Committee shall serve without pay but may be reimbursed for actual expenses pursuant to the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">F. The Committee shall elect from among its membership a chair, vice-chair and secretary to serve terms of not more than two (2) years ending on May 31 of the year designated by the Committee. The chair or vice-chair shall preside at all meetings. The chair, vice-chair and secretary shall perform such duties as may be decided by the Committee in order to effectively administer the Alarm and Locksmith Industry Act or as directed by the Commissioner of Labor.&nbsp;</span></p> <p><span class="cls0">G. A majority of Committee members shall constitute a quorum to transact official business.&nbsp;</span></p> <p><span class="cls0">H. The Committee shall meet at such times as the Committee deems necessary to implement the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">I. The Committee shall assist and advise the Commissioner on all matters relating to the formulation of rules, regulations and standards in accordance with the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 4, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 5, eff. Jan. 1, 2007; Laws 2010, c. 299, &sect; 4, eff. Nov. 1, 2010; Laws 2012, c. 368, &sect; 6, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.5. Powers and duties of Committee.&nbsp;</span></p> <p><span class="cls0">The Alarm and Locksmith Industry Committee shall have the following duties and powers:&nbsp;</span></p> <p><span class="cls0">1. To assist the Commissioner of Labor in licensing and otherwise regulating persons engaged in an alarm or locksmith industry business;&nbsp;</span></p> <p><span class="cls0">2. To determine qualifications of applicants pursuant to the Alarm and Locksmith Industry Act;&nbsp;</span></p> <p><span class="cls0">3. To assist the Commissioner in prescribing and adopting forms for license applications and initiate mailing of such application forms to all persons requesting such applications;&nbsp;</span></p> <p><span class="cls0">4. To assist the Commissioner in disciplinary actions, including the denial, suspension or revocation of licenses as provided by the Alarm and Locksmith Industry Act;&nbsp;</span></p> <p><span class="cls0">5. To assist the Commissioner with charging and collecting such fees as are prescribed by the Alarm and Locksmith Industry Act;&nbsp;</span></p> <p><span class="cls0">6. To assist the Commissioner in establishing and enforcing standards governing the materials, services and conduct of the licensees and their employees in regard to the alarm and locksmith industry;&nbsp;</span></p> <p><span class="cls0">7. To assist the Commissioner in promulgating rules necessary to carry out the administration of the Alarm and Locksmith Industry Act;&nbsp;</span></p> <p><span class="cls0">8. To investigate or assist in investigating alleged violations of the provisions of the Alarm and Locksmith Industry Act and any rules and regulations promulgated thereto;&nbsp;</span></p> <p><span class="cls0">9. To assist the Commissioner in establishing categories of licenses for the Alarm and Locksmith Industry Act and application requirements for each category including but not limited to individual license, experience requirements, educational requirements, fingerprints, photographs, examinations, and fees;&nbsp;</span></p> <p><span class="cls0">10. To assist the Commissioner in providing for grievance and appeal procedures pursuant to the Administrative Procedures Act for any person whose license is denied, revoked or suspended; and&nbsp;</span></p> <p><span class="cls0">11. To exercise such other powers and duties as are necessary to implement the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 5, eff. Nov. 1, 1985. Amended by Laws 1989, c. 304, &sect; 4, eff. Nov. 1, 1989; Laws 1993, c. 295, &sect; 2, eff. Sept. 1, 1993; Laws 2006, c. 110, &sect; 6, eff. Jan. 1, 2007; Laws 2010, c. 299, &sect; 5, eff. Nov. 1, 2010; Laws 2012, c. 368, &sect; 7, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 2, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.6. License required.&nbsp;</span></p> <p><span class="cls0">No person shall engage in an alarm or locksmith industry business in this state without first having obtained a license pursuant to the provisions of the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 6, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 7, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 8, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.7. Qualifications of applicants - Information concerning felonies or crimes involving moral turpitude - Photographs - Fingerprints.&nbsp;</span></p> <p><span class="cls0">A. Any person applying for a license to engage in an alarm or locksmith industry business pursuant to the Alarm and Locksmith Industry Act shall provide evidence to the Alarm and Locksmith Industry Committee that the individual within this state having direct supervision over the function and local operations of such alarm or locksmith industry business or a branch thereof has the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. Is at least eighteen (18) years of age;&nbsp;</span></p> <p><span class="cls0">2. Has not been declared by any court of competent jurisdiction incompetent by reason of mental defect or disease, and has not been restored to competency;&nbsp;</span></p> <p><span class="cls0">3. Is not a habitual user of intoxicating liquors or a user of any illegal or illicit drug or controlled substance, including, but not limited to, the non-medical use of any prescription drug or other intoxicating substance;&nbsp;</span></p> <p><span class="cls0">4. Has not been discharged from the Armed Services of the United States under dishonorable conditions;&nbsp;</span></p> <p><span class="cls0">5. Is of good moral character; and&nbsp;</span></p> <p><span class="cls0">6. Meets such other standards as may be established by the Commissioner of Labor relating to experience or knowledge of the alarm or locksmith industry.&nbsp;</span></p> <p><span class="cls0">B. The applicant shall advise the Committee and furnish full information on each individual described in subsection A of this section of any conviction of a felony or any crime involving moral turpitude for which a full pardon has not been granted and furnish a recent photograph of a type prescribed by the Commissioner and two classifiable sets of fingerprints of such individual.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 7, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 8, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 9, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 3, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.8. Application for company or individual license - Fees.&nbsp;</span></p> <p><span class="cls0">A. An application for a company license shall include:&nbsp;</span></p> <p><span class="cls0">1. The address of the principal office of the applicant and the address of each branch office of the applicant located within this state;&nbsp;</span></p> <p><span class="cls0">2. The name per business location under which the applicant intends to do business as a licensee;&nbsp;</span></p> <p><span class="cls0">3. A statement explaining the extent and scope of the applicant's alarm or locksmith industry business;&nbsp;</span></p> <p><span class="cls0">4. A photograph taken by the Department of Labor or an entity approved by the Department in accordance with the licensing procedures adopted by the Department. If the applicant is a sole proprietor, the photo shall be of the applicant, or if the applicant is an entity, the photo shall be of each officer and of each partner or shareholder who owns an interest in the entity of twenty-five percent (25%) or greater;&nbsp;</span></p> <p><span class="cls0">5. Two classifiable sets of fingerprints of the applicant, if the applicant is a sole proprietor, or of each officer and of each partner or shareholder who owns a twenty-five percent (25%) or greater interest in the applicant, if the applicant is an entity; and&nbsp;</span></p> <p><span class="cls0">6. Such other information, statements or documents as may be required by the Commissioner.&nbsp;</span></p> <p><span class="cls0">B. An applicant for an individual license shall provide such documents, statements or other information as may be required by the Commissioner, including two classifiable sets of fingerprints of the applicant. The fingerprints may be used for a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. Fees for license and renewal issued pursuant to the Alarm and Locksmith Industry Act shall be adopted by the Department of Labor. Provided, the fees provided for in this subsection shall not exceed Two Hundred Fifty Dollars ($250.00). An applicant shall pay the license fee at the time the applicant makes application. All fees shall be nonrefundable.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 8, eff. Nov. 1, 1985. Amended by Laws 1993, c. 295, &sect; 3, eff. Sept. 1, 1993; Laws 2003, c. 204, &sect; 8, eff. Nov. 1, 2003; Laws 2006, c. 110, &sect; 9, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 10, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 4, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.9. Issuance of license - Term - Renewal and disciplinary proceedings - Expiration dates.&nbsp;</span></p> <p><span class="cls0">A. Upon receiving proper application, payment of the proper license fee, and certification of recommendation by the Alarm and Locksmith Industry Committee, the Commissioner of Labor shall issue a license to the applicant. The license shall be valid for a one-year term.&nbsp;</span></p> <p><span class="cls0">B. Renewal of a license shall not prohibit disciplinary proceedings for an act committed prior to the renewal.&nbsp;</span></p> <p><span class="cls0">C. The Commissioner may adopt a system under which licenses expire on various dates throughout the year. For any change in such expiration dates, license fees shall be prorated on an appropriate periodic basis.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 9, eff. Nov. 1, 1985. Amended by Laws 2012, c. 368, &sect; 11, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 5, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.10. Alteration or assignment of license - Posting - Change of information - False representation as licensee violation - Records.&nbsp;</span></p> <p><span class="cls0">A. A license shall not be altered or assigned.&nbsp;</span></p> <p><span class="cls0">B. A company license shall be posted in a conspicuous place in each alarm or locksmith industry business location of the licensee.&nbsp;</span></p> <p><span class="cls0">C. A company licensee shall notify the Commissioner of Labor within fourteen (14) days of any change of information furnished on the licensee's application for license or on the licensee's license including, but not limited to, change of ownership, address, business activities, or any developments related to the qualifications of the licensee or the individual described in Section 1800.7 of this title. If the licensee for any reason ceases to engage in an alarm or locksmith industry business in this state, the licensee shall notify the Committee within fourteen (14) days of such cessation. If the required notice of cessation is not given to the Committee within fourteen (14) days, the license may be suspended or revoked by the Commissioner on recommendation of the Committee.&nbsp;</span></p> <p><span class="cls0">D. No person shall represent falsely that the person is licensed or employed by a licensee. Any such action shall constitute a violation of the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">E. Each company licensee shall maintain, update and provide a record containing such information relative to the licensee's employees as may be required by the Commissioner.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 10, eff. Nov. 1, 1985. Amended by Laws 1993, c. 295, &sect; 4, eff. Sept. 1, 1993; Laws 2006, c. 110, &sect; 10, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 12, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 6, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.11. Responsibility for business activities and actions of employees.&nbsp;</span></p> <p><span class="cls0">The licensee shall be responsible to the Alarm and Locksmith Industry Committee in matters of conduct of business activities covered by the Alarm and Locksmith Industry Act. The licensee shall be responsible for the activities on the part of the licensee's employees. For purposes of the Alarm and Locksmith Industry Act, improper conduct on the part of any employees which occurs within the scope of employment may be considered by the Committee as acts of the licensee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 11, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 11, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 13, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 7, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.12. Municipalities or counties may levy charges for alarm installation connections - Disconnection of faulty systems - Ordinances prohibited.&nbsp;</span></p> <p><span class="cls0">A. Any municipality or county may levy and collect reasonable charges for alarm installation connections located in or at a police or fire department which is owned, operated or monitored by the municipality or county. Any municipality or county may require discontinuance of service of any alarm signal device which, due to mechanical malfunction or faulty equipment, causes excessive false alarms and, in the opinion of the appropriate county or municipal official, becomes a detriment to the functions of the department involved. The municipality or county may cause the disconnection of the device until the same is repaired to the satisfaction of the appropriate official; however the municipality or county shall advise the owner or user of the device of the disconnection in advance or as soon as reasonably practicable. The municipality or county may levy and collect reasonable reconnection fees. Mechanical malfunction and faulty equipment shall not include, for the purpose of the Alarm and Locksmith Industry Act, false alarms caused by human error or an act of God.&nbsp;</span></p> <p><span class="cls0">B. No municipality may adopt any ordinance concerning the licensing of any alarm or locksmith industry business or individual which is or may be licensed pursuant to the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 12, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 12, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 14, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 8, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.13. Suspension or revocation of license.&nbsp;</span></p> <p><span class="cls0">A. The Commissioner of Labor on recommendation of the Alarm and Locksmith Industry Committee may suspend any license, upon the conviction of any individual named on the license or on the application for license of a felony, for a period not to exceed thirty (30) days pending a full investigation by the Committee. Such investigation shall be initiated within the thirty-day period of the suspension. A final determination by the Committee shall result in either removal of the suspension or such sanction as the Commissioner considers appropriate, as provided by the Alarm and Locksmith Industry Act.&nbsp;</span></p> <p><span class="cls0">B. The Commissioner may revoke or suspend any license, reprimand any licensee or deny any application for license or renewal if, in the judgment of the Committee:&nbsp;</span></p> <p><span class="cls0">1. The applicant or licensee has violated any provision of the Alarm and Locksmith Industry Act or any rule or regulation promulgated thereto;&nbsp;</span></p> <p><span class="cls0">2. The applicant or licensee has committed any offense resulting in the applicant's or licensee's conviction of a felony or crime involving moral turpitude. Provided, however, if the applicant has had no felony convictions at least ten (10) years prior to making application for a license and the applicant has shown the Committee that the applicant has been rehabilitated, the Committee may recommend the applicant for a license;&nbsp;</span></p> <p><span class="cls0">3. The applicant or licensee has practiced fraud, deceit, theft, larceny, arson, or misrepresentation;&nbsp;</span></p> <p><span class="cls0">4. The applicant or licensee has made a material misstatement in any information required by the Committee; or&nbsp;</span></p> <p><span class="cls0">5. The applicant or licensee has demonstrated incompetence or untrustworthiness in the applicant's or licensee's actions.&nbsp;</span></p> <p><span class="cls0">C. The Committee shall, before final action under subsection B of this section, provide thirty (30) days of written notice to the applicant or licensee involved, of the action intended and give sufficient opportunity for such person to request an administrative hearing and to be represented by an attorney. A hearing shall be scheduled by the Commissioner if so requested as provided in the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. In the event the Commissioner denies the application for, or revokes or suspends, any license or imposes any reprimand, a record of such action shall be in writing and officially signed by the Commissioner. The original copy shall be filed with the Department of Labor and a copy mailed to the affected applicant or licensee within two (2) days of the final action taken by the Commissioner.&nbsp;</span></p> <p><span class="cls0">E. Notice of the suspension or revocation of any license shall be made public record.&nbsp;</span></p> <p><span class="cls0">F. A suspended license shall be subject to expiration and may be renewed as provided by the Alarm and Locksmith Industry Act, regardless of the term of suspension; provided, a renewal shall not remove the suspension term.&nbsp;</span></p> <p><span class="cls0">G. A revoked license terminates on the date of revocation and cannot be reinstated; provided, the Commissioner may reverse the revocation action. Any licensee whose license is revoked shall apply for a new license and meet all requirements for a license as stated in the Alarm and Locksmith Industry Act prior to engaging in any alarm or locksmith industry business activities. The Committee and the Commissioner shall take action on the new application and may require additional safeguards against such acts by the applicant as may have been the cause of the revocation of the prior license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 13, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 13, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 15, eff. Nov. 1, 2012; Laws 2013, c. 22, &sect; 9, eff. July 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.14. Alarm and Locksmith Industry Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Department of Labor, to be designated the "Alarm and Locksmith Industry Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Alarm and Locksmith Industry Committee or the Department of Labor pursuant to the Alarm and Locksmith Industry Act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Commissioner of Labor for the purpose of administration, implementing, and enforcement of the Alarm and Locksmith Industry Act, including, but not limited to, office administration and personnel expense, licensing and training, reimbursements in accordance with the State Travel Reimbursement Act, and other necessary expenses relating to the Alarm and Locksmith Industry Act. The Commissioner shall not expend or transfer any monies from this fund for any purpose not relating to the Alarm and Locksmith Industry Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 14, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 14, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 16, eff. Nov. 1, 2012; Laws 2013, c. 15, &sect; 44, emerg. eff. April 8, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2012, c. 304, &sect; 282 repealed by Laws 2013, c. 15, &sect; 45, emerg. eff. April 8, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.15. Costs of administration of act - Claims for payment.&nbsp;</span></p> <p><span class="cls0">The Commissioner of Labor shall pay all costs of administration of the Alarm and Locksmith Industry Act from fees, monies and other revenue collected pursuant to the provisions of the Alarm and Locksmith Industry Act. At no time shall a claim for payment be submitted to the Director of the Office of Management and Enterprise Services or the State Treasurer if the revenue deposited in the Alarm and Locksmith Industry Revolving Fund to the current date does not equal or exceed the total claims for payments made to that date.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 15, eff. Nov. 1, 1985. Amended by Laws 2006, c. 110, &sect; 15, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 17, eff. Nov. 1, 2012; Laws 2013, c. 15, &sect; 46, emerg. eff. April 8, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2012, c. 304, &sect; 283 repealed by Laws 2013, c. 15, &sect; 47, emerg. eff. April 8, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.16. Violations - Penalties.&nbsp;</span></p> <p><span class="cls0">A. Any person violating any of the provisions of the Alarm and Locksmith Industry Act, upon conviction, shall be guilty of a misdemeanor punishable by confinement in the county jail for a period not to exceed one (1) year or by the imposition of a fine not to exceed Five Hundred Dollars ($500.00), or by both such imprisonment and fine.&nbsp;</span></p> <p><span class="cls0">B. 1. In addition to any other penalties provided by law, if after a hearing in accordance with Article II of the Administrative Procedures Act, the Commissioner of Labor finds any person to be in violation of any of the provisions of the Alarm and Locksmith Industry Act or the rules promulgated pursuant thereto, the person may be subject to an administrative fine of not more than Two Hundred Dollars ($200.00) for each violation. Each day a person is in violation may constitute a separate violation. The maximum fine shall not exceed One Thousand Dollars ($1,000.00).&nbsp;</span></p> <p><span class="cls0">2. All administrative fines collected pursuant to the provisions of this subsection shall be deposited in the Alarm and Locksmith Industry Revolving Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 217, &sect; 16, eff. Nov. 1, 1985. Amended by Laws 1996, c. 330, &sect; 1, eff. Nov. 1, 1996; Laws 2006, c. 110, &sect; 16, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 18, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1800.17. Rules.&nbsp;</span></p> <p><span class="cls0">The Commissioner of Labor is hereby authorized to promulgate, adopt, amend, and repeal rules consistent with the provisions of the Alarm and Locksmith Industry Act for the purpose of governing the establishment and levying of administrative fines and the examination and licensure of alarm or locksmith companies, managers, technicians, and salespersons.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 330, &sect; 2, eff. Nov. 1, 1996. Amended by Laws 2006, c. 110, &sect; 17, eff. Jan. 1, 2007; Laws 2012, c. 368, &sect; 19, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.1. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Fire Extinguisher Licensing Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 1, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.2. Purpose of act - Certain actions exempted.&nbsp;</span></p> <p><span class="cls0">The purpose of the Fire Extinguisher Licensing Act is to regulate the sale, installation, and servicing of portable fire extinguishers, including both engineered and preengineered systems, in the interest of safeguarding lives and property. The filling or charging of either engineered or preengineered system bottles for portable fire extinguishers, prior to their initial sale by the manufacturer, shall not be subject to the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 2, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.3. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Fire Extinguisher Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. "Committee" means the Fire Extinguisher Industry Committee;&nbsp;</span></p> <p><span class="cls0">2. "Fire extinguisher industry" means the sale, installation, maintenance, inspection, certification, alteration, repair, replacement, or service of portable fire extinguishers or fire suppression systems or any combination of the foregoing activities;&nbsp;</span></p> <p><span class="cls0">3. "Fire suppression systems" and "handheld portable fire extinguisher" means any listed or approved fire extinguisher systems installed in compliance with the installation manuals of the manufacturer or the applicable National Fire Protection Association Standard and its reference as outlined in the rules established by the State Department of Health;&nbsp;</span></p> <p><span class="cls0">4. "Licensee" means any person licensed pursuant to the Fire Extinguisher Licensing Act; and&nbsp;</span></p> <p><span class="cls0">5. "Person" means a sole proprietorship, fire partnership, association, corporation, or other similar entity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 3, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.4. Exemptions.&nbsp;</span></p> <p><span class="cls0">The Fire Extinguisher Licensing Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. An officer or employee of this state, the United States, or a political subdivision, while the employee or officer is engaged in the performance of his or her official duties;&nbsp;</span></p> <p><span class="cls0">2. A person who owns and installs fire extinguishing equipment in his or her own single-family dwelling or, if the person does not charge for the device or its installation, installs the fire extinguishing equipment for the protection of his or her personal property and does not install the fire extinguishing equipment as a normal business practice in a single-family dwelling of another; or&nbsp;</span></p> <p><span class="cls0">3. The sale of fire extinguishers designed or intended for customer or user installation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 4, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.5. Applicability.&nbsp;</span></p> <p><span class="cls0">The Fire Extinguisher Licensing Act shall apply to all persons servicing, installing, inspecting, certifying, charging, or testing any portable fire extinguisher or fire suppression system.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 5, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.6. Fire Extinguisher Industry Committee.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created the Fire Extinguisher Industry Committee which shall consist of the following seven (7) members:&nbsp;</span></p> <p><span class="cls0">1. One member shall be the State Fire Marshal, or a designated representative; and&nbsp;</span></p> <p><span class="cls0">2. Six (6) members shall be appointed by the State Fire Marshal Commission. Five (5) of the appointed members shall have at least five (5) years of experience in the fire extinguisher industry. One of the appointed members shall be a fire service representative. No member of the Committee shall have any kind of employment relationship with any other member.&nbsp;</span></p> <p><span class="cls0">B. The term of each appointed member shall be four (4) years staggered.&nbsp;</span></p> <p><span class="cls0">Each appointed member shall hold office until his or her successor is appointed and has qualified under the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">C. Appointed members may be removed from office by the State Fire Marshal Commission.&nbsp;</span></p> <p><span class="cls0">D. Vacancies shall be filled by appointment by the State Fire Marshal Commission for the unexpired term of the vacancy.&nbsp;</span></p> <p><span class="cls0">E. Members of the Committee shall serve without pay but may be reimbursed for actual expenses pursuant to the provisions of the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">F. The Committee shall elect from among its membership a chair, vice-chair, and secretary to serve terms of not more than two (2) years ending on May 31 of the year designated by the Committee. The chair or vice-chair shall preside at all meetings. The chair, vice-chair, and secretary shall perform such duties as may be decided by the Committee in order to effectively administer the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">G. A majority of Committee members shall constitute a quorum to transact official business.&nbsp;</span></p> <p><span class="cls0">H. The Committee shall meet within thirty (30) days after the effective date of this act and shall meet thereafter at such times as the Committee deems necessary to implement the provisions of the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">I. The Committee shall assist and advise the State Fire Marshal on all matters relating to the formulation of rules and standards in accordance with the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 6, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.7. Powers and duties of committee.&nbsp;</span></p> <p><span class="cls0">The Fire Extinguisher Industry Committee shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. To assist the State Fire Marshal in licensing and otherwise regulating persons engaged in a fire extinguisher industry business;&nbsp;</span></p> <p><span class="cls0">2. To determine qualifications of applicants pursuant to the Fire Extinguisher Licensing Act;&nbsp;</span></p> <p><span class="cls0">3. To prescribe and adopt forms for license applications and initiate the mailing of the application forms to all persons requesting the applications;&nbsp;</span></p> <p><span class="cls0">4. To assist the State Fire Marshal in the denial, suspension or revocation of licenses as provided by the Fire Extinguisher Licensing Act;&nbsp;</span></p> <p><span class="cls0">5. To charge and collect such fees as are prescribed by the Fire Extinguisher Licensing Act;&nbsp;</span></p> <p><span class="cls0">6. To assist the State Fire Marshal Commission in establishing and enforcing standards governing the materials, services, and conduct of the licensees and the employees of licensees in regard to the fire extinguisher industry;&nbsp;</span></p> <p><span class="cls0">7. To assist the State Fire Marshal Commission in promulgating rules necessary to carry out the administration of the Fire Extinguisher Licensing Act;&nbsp;</span></p> <p><span class="cls0">8. To investigate alleged violations of the provisions of the Fire Extinguisher Licensing Act and of any rules promulgated by the State Fire Marshal Commission;&nbsp;</span></p> <p><span class="cls0">9. To assist the State Fire Marshal Commission in establishing categories of licenses for the Fire Extinguisher Licensing Act and application requirements for each category including, but not limited to, individual licenses, experience requirements, fingerprints, photographs, written examinations, and fees;&nbsp;</span></p> <p><span class="cls0">10. To assist the State Fire Marshal in providing for grievance and appeal procedures pursuant to the Administrative Procedures Act for any person whose license is denied, revoked, or suspended; and&nbsp;</span></p> <p><span class="cls0">11. To have such other powers and duties as are necessary to implement the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 7, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.8. License required - Time limit for applications for persons currently engaged in business.&nbsp;</span></p> <p><span class="cls0">No person shall engage in a fire extinguisher industry business in this state without first having obtained a license pursuant to the provisions of the Fire Extinguisher Licensing Act. Provided, every person engaged in a fire extinguisher industry business in this state on the effective date of the Fire Extinguisher Licensing Act shall have ninety (90) days in which to apply to the State Fire Marshal for a license. A person applying for a license within this ninety-day period may continue business pending a final determination by the State Fire Marshal of the application. Additional time beyond the ninety-day period may be granted by the State Fire Marshal.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 8, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.9. Marketing, distribution or sale of portable fire extinguisher or fire suppression systems - Requirements - Exceptions.&nbsp;</span></p> <p><span class="cls0">A. No person shall market, distribute, or sell any portable fire extinguisher or fire suppression system in this state unless the following requirements are met:&nbsp;</span></p> <p><span class="cls0">1. The portable fire extinguisher or fire suppression system complies with standards adopted by the State Fire Marshal Commission; and&nbsp;</span></p> <p><span class="cls0">2. The portable fire extinguisher or fire suppression system has been examined by and bears the label of a nationally recognized testing laboratory approved by the State Fire Marshal Commission as qualified to test portable fire extinguishers and fire suppression systems.&nbsp;</span></p> <p><span class="cls0">B. The State Fire Marshal Commission may grant reasonable exceptions to the provisions of this section when the portable fire extinguisher or fire suppression system is intended for industrial use in places to which the public is not invited or admitted. The provisions of this section apply to the state and any political subdivision thereof.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 9, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.10. Service work tag required.&nbsp;</span></p> <p><span class="cls0">Any person who services, installs, inspects, certifies, charges or tests any portable fire extinguisher or fire suppression system shall affix a tag to the service unit. The tag shall indicate the date upon which the service work was performed, and it shall bear the legible signature and state license number of the person and other information specified by the State Fire Marshal Commission.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 10, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.11. License application - Evidence of qualifications for business supervisor - Required criminal history, photograph and fingerprints.&nbsp;</span></p> <p><span class="cls0">A. Any person applying for a license to engage in a fire extinguisher industry business pursuant to the Fire Extinguisher Licensing Act shall provide evidence to the Fire Extinguisher Industry Committee that the individual within this state having direct supervision over the function and local operations of the fire extinguisher industry business or a branch thereof has the following qualifications:&nbsp;</span></p> <p><span class="cls0">1. The individual is at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">2. The individual has not been declared by any court of competent jurisdiction incompetent by reason of mental defect or disease;&nbsp;</span></p> <p><span class="cls0">3. The individual is not a habitual user of intoxicating liquors or habit-forming drugs;&nbsp;</span></p> <p><span class="cls0">4. The individual has not been discharged from the Armed Services of the United States under other than honorable conditions;&nbsp;</span></p> <p><span class="cls0">5. The individual is of good moral character; and&nbsp;</span></p> <p><span class="cls0">6. The individual meets such other standards as may be established by the State Fire Marshal Commission relating to experience or knowledge of the fire extinguisher industry.&nbsp;</span></p> <p><span class="cls0">B. The applicant shall advise the Committee and furnish full information on each individual described in subsection A of this section of any conviction of a felony offense or any crime involving moral turpitude for which a full pardon has not been granted. The applicant shall furnish a recent photograph of a type prescribed by the Committee and two classifiable sets of fingerprints of such individual.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 11, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.12. Requirements for licenses application - Fees.&nbsp;</span></p> <p><span class="cls0">A. An application for a license shall include:&nbsp;</span></p> <p><span class="cls0">1. The address of the principal office of the applicant and the address of each branch office located within this state;&nbsp;</span></p> <p><span class="cls0">2. The name of each business location under which the applicant intends to do business as a licensee;&nbsp;</span></p> <p><span class="cls0">3. A statement as to the extent and scope of the fire extinguisher industry business of the applicant and all other businesses in which the applicant is engaged in this state;&nbsp;</span></p> <p><span class="cls0">4. A recent photograph of the applicant of a type prescribed by the State Fire Marshal Commission if the applicant is a sole proprietor, or a photograph of each officer and of each partner or shareholder who owns a twenty-five percent (25%) or greater interest in the applicant, if the applicant is an entity; and&nbsp;</span></p> <p><span class="cls0">5. Such other information, statements, or documents as may be required by the State Fire Marshal Commission.&nbsp;</span></p> <p><span class="cls0">B. An applicant for an individual license shall provide such documents, statements or other information as may be required by the State Fire Marshal Commission, including two classifiable sets of fingerprints of the applicant. The fingerprints may be used for a national criminal history record check as defined by Section 150.9 of Title 74 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">C. Fees for license and license renewal issued pursuant to the Fire Extinguisher Licensing Act shall be adopted by the State Fire Marshal Commission pursuant to Section 1820.19 of Title 59 of the Oklahoma Statutes. An applicant shall pay the license fee at the time the applicant makes application.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 12, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.13. Issuance and term of license - Disciplinary proceedings - Expiration of license.&nbsp;</span></p> <p><span class="cls0">A. Upon making proper application, payment of the proper license fee and certification of approval by the Fire Extinguisher Industry Committee, the State Fire Marshal shall issue a license to the applicant. The license shall be valid for a one-year term.&nbsp;</span></p> <p><span class="cls0">B. Renewal of a license shall not prohibit disciplinary proceedings for an act committed prior to the renewal.&nbsp;</span></p> <p><span class="cls0">C. The State Fire Marshal Commission may adopt a system under which licenses expire on various dates throughout the year. For any change in such expiration dates, license fees shall be prorated on an appropriate periodic basis.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 13, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 10, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.14. Prohibited acts - Duties of licensee.&nbsp;</span></p> <p><span class="cls0">A. A license shall not be altered or assigned.&nbsp;</span></p> <p><span class="cls0">B. A license shall be posted in a conspicuous place in each fire extinguisher industry business location of the licensee.&nbsp;</span></p> <p><span class="cls0">C. A licensee shall notify the Fire Extinguisher Industry Committee within fourteen (14) days of any change of information furnished on the application for license or on the license including, but not limited to, change of ownership, address, business activities, or any developments related to the qualifications of the licensee or the individual described in Section 11 of this act. If the licensee for any reason ceases to engage in a fire extinguisher industry business in this state, the licensee shall notify the Committee within fourteen (14) days of such cessation. If the required notice of cessation is not given to the Committee within fourteen (14) days, the license may be suspended or revoked by the State Fire Marshal on recommendation of the Committee.&nbsp;</span></p> <p><span class="cls0">D. No person shall represent falsely that he or she is licensed or employed by a licensee.&nbsp;</span></p> <p><span class="cls0">E. Each licensee shall maintain a record containing such information relative to his or her employees as may be required by the State Fire Marshal Commission.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 14, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 11, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.15. Conduct of business activities.&nbsp;</span></p> <p><span class="cls0">The licensee shall be responsible to the Fire Extinguisher Industry Committee in matters of conduct of business activities covered by the Fire Extinguisher Licensing Act. The licensee shall be responsible for the activities on the part of the employees of the licensee. For purposes of the Fire Extinguisher Licensing Act, improper conduct on the part of such employees which occurs within the scope of employment shall be considered by the Committee as acts of the licensee.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 15, eff. Nov. 1, 2007.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.16. Suspension, revocation, denial or nonrenewal of license - Reprimand of licensee.&nbsp;</span></p> <p><span class="cls0">A. The State Fire Marshal, on recommendation of the Fire Extinguisher Industry Committee, may suspend any license, upon the conviction of any individual named on the license or on the application for license of a felony, for a period not to exceed thirty (30) days pending a full investigation by the Committee. The investigation shall be initiated within the thirty-day period of suspension. A final determination by the Committee shall result in either removal of the suspension or such sanction as the State Fire Marshal considers appropriate, as provided by the Fire Extinguisher Licensing Act.&nbsp;</span></p> <p><span class="cls0">B. The State Fire Marshal may revoke or suspend any license, reprimand any licensee or deny any application for license or renewal if, in the judgment of the Committee:&nbsp;</span></p> <p><span class="cls0">1. The applicant or licensee has violated any provision of the Fire Extinguisher Licensing Act or any rule promulgated under the Fire Extinguisher Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. The applicant or licensee has practiced fraud, deceit, or misrepresentation;&nbsp;</span></p> <p><span class="cls0">3. The applicant or licensee has made a material misstatement in any information required by the State Fire Marshal Commission; or&nbsp;</span></p> <p><span class="cls0">4. The applicant or licensee has demonstrated incompetence or untrustworthiness in his or her actions.&nbsp;</span></p> <p><span class="cls0">C. The Committee shall, before final action under subsection B of this section, provide thirty (30) days of written notice to the applicant or licensee involved in the action intended and give sufficient opportunity for the person to request a hearing before the Committee and the State Fire Marshal and to be represented by an attorney. A hearing shall be scheduled by the Committee upon request by the applicant or licensee.&nbsp;</span></p> <p><span class="cls0">D. In the event the State Fire Marshal denies the application for, or revokes or suspends, any license or imposes any reprimand, a record of such action shall be in writing and officially signed by the State Fire Marshal. The original copy shall be filed with the State Fire Marshal Commission and a copy mailed to the affected applicant or licensee within two (2) days of the final action taken by the State Fire Marshal.&nbsp;</span></p> <p><span class="cls0">E. Notice of the suspension or revocation of any license by the State Fire Marshal shall be sent by the Committee to law enforcement agencies and fire departments in the principal areas of operation of the licensee.&nbsp;</span></p> <p><span class="cls0">F. A suspended license shall be subject to expiration and may be renewed as provided by the Fire Extinguisher Licensing Act, regardless of suspension; provided, the renewal shall not remove the suspension.&nbsp;</span></p> <p><span class="cls0">G. A revoked license terminates on the date of revocation and cannot be reinstated; provided, the State Fire Marshal may reverse the revocation action. Any licensee whose license is revoked shall apply for a new license and meet all requirements for a license as stated in the Fire Extinguisher Licensing Act prior to engaging in any fire extinguisher industry business activities. The Committee and the State Fire Marshal shall take action on the new application and may require additional safeguards against such acts by the applicant as may have been the cause of the revocation of the prior license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 16, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 12, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.17. Fire Extinguisher Industry Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Office of the State Fire Marshal, to be designated the "Fire Extinguisher Industry Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Office of the State Fire Marshal pursuant to the Fire Extinguisher Licensing Act. All monies accruing to the credit of such fund are hereby appropriated and may be budgeted and expended by the Office of the State Fire Marshal for the purpose of implementing the Fire Extinguisher Licensing Act. Expenditures from such fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 17, eff. Nov. 1, 2007. Amended by Laws 2012, c. 304, &sect; 284; Laws 2013, c. 111, &sect; 13, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.18. Payment of costs of administration of act.&nbsp;</span></p> <p><span class="cls0">All costs of administration of the Fire Extinguisher Licensing Act shall be paid from fees, monies and other revenue collected pursuant to the provisions of the Fire Extinguisher Licensing Act. At no time shall a claim for payment be submitted to the Director of the Office of Management and Enterprise Services if the revenue deposited in the Fire Extinguisher Industry Revolving Fund to the current date does not equal or exceed the total claims for payments made to that date.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 18, eff. Nov. 1, 2007. Amended by Laws 2012, c. 304, &sect; 285.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.19. Administrative fines, examination and licensure - Rules authorized.&nbsp;</span></p> <p><span class="cls0">The State Fire Marshal Commission is hereby authorized to promulgate, adopt, amend, and repeal rules consistent with the provisions of the Fire Extinguisher Licensing Act for the purpose of governing the establishment and levying of administrative fines, establishing a fee schedule and the examination and licensure of fire extinguisher companies, managers, technicians, and salespersons.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 19, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 14, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1820.20. Violation and penalties - Administrative fine.&nbsp;</span></p> <p><span class="cls0">A. Any individual or person who is found to be in violation of the provisions of the Fire Extinguisher Licensing Act or any rules adopted by the State Fire Marshal Commission in the administration of the Fire Extinguisher Licensing Act shall, upon conviction, be guilty of a misdemeanor punishable by imprisonment in the county jail for a period of not more than one (1) year, or by the imposition of a fine of not more than Five Hundred Dollars ($500.00), or by both such imprisonment and fine.&nbsp;</span></p> <p><span class="cls0">B. 1. In addition to any other penalties provided by law, if after a hearing in accordance with Article II of the Administrative Procedures Act, the State Fire Marshal finds any person to be in violation of any of the provisions of the Fire Extinguisher Licensing Act or the rules promulgated pursuant thereto, the person may be subject to an administrative fine of not more than Two Hundred Dollars ($200.00) for each violation. Each day a person is in violation may constitute a separate violation.&nbsp;</span></p> <p><span class="cls0">2. All administrative fines collected pursuant to the provisions of this subsection shall be deposited in the Fire Extinguisher Industry Revolving Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2007, c. 188, &sect; 20, eff. Nov. 1, 2007. Amended by Laws 2013, c. 111, &sect; 15, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.1. Mechanical Licensing Act.&nbsp;</span></p> <p><span class="cls0">Sections 1850.1 through 1860 of this title shall be known and may be cited as the "Mechanical Licensing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 1, eff. Nov. 1, 1987. Amended by Laws 2001, c. 394, &sect; 52, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Mechanical Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. "Air conditioning system" means the process of treating air by controlling its temperature, humidity, and cleanliness, to meet the requirements of a designated area;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Committee of Mechanical Examiners;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Board&rdquo; means the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">4. "Gas piping" means and includes all natural gas piping within or adjacent to any building, structure, or conveyance, on the premises and to the connection with a natural gas meter, regulator, or other source of supply;&nbsp;</span></p> <p><span class="cls0">5. "Heating systems" means and includes systems consisting of air heating appliances from which the heated air is distributed and shall include any accessory apparatus and equipment installed in connection therewith;&nbsp;</span></p> <p><span class="cls0">6. "Mechanical contractor" or "contractor" means any person engaged in the business of planning, contracting, supervising or furnishing labor or labor and materials for mechanical work;&nbsp;</span></p> <p><span class="cls0">7. "Mechanical journeyman" or "journeyman" means any person other than a contractor or apprentice who engages in mechanical work;&nbsp;</span></p> <p><span class="cls0">8. "Mechanical apprentice" or "apprentice" means any person sixteen (16) years of age or older whose principal occupation is learning mechanical work on the job under the direct supervision of a journeyman or contractor;&nbsp;</span></p> <p><span class="cls0">9. "Mechanical firm" means any corporation, partnership, association, proprietorship, limited liability company, or other business entity which plans or engages, or offers to engage, in mechanical work for another within this state;&nbsp;</span></p> <p><span class="cls0">10. "Mechanical work" means the installation, maintenance, repair, or renovation, in whole or in part, of any heating system, exhaust system, cooling system, mechanical refrigeration system or ventilation system or any equipment or piping carrying chilled water, air for ventilation purposes, or natural gas, or the installation, maintenance, repair, or renovation of process piping used to carry any liquid, substance, or material, including steam and hot water used for space heating purposes not under the jurisdiction of the Department of Labor other than minor repairs to such systems;&nbsp;</span></p> <p><span class="cls0">11. "Refrigeration system" means the installation, repairing and servicing of a system employing a fluid which normally is vaporized and liquefied in an air conditioning system, food preservation measure or manufacturing process;&nbsp;</span></p> <p><span class="cls0">12. "Sheet metal" means the erection, installation and repairing of all ferrous or nonferrous duct work and all other materials used in all air conditioning and exhaust systems;&nbsp;</span></p> <p><span class="cls0">13. "Temporary mechanical journeyman" means any person other than a person permanently licensed as a mechanical journeyman or contractor in this state who meets the temporary licensure requirements of Section 1850.8A of this title; and&nbsp;</span></p> <p><span class="cls0">14. "Variance and Appeals Board" means the Oklahoma State Mechanical Installation Code Variance and Appeals Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 2, eff. Nov. 1, 1987. Amended by Laws 1992, c. 137, &sect; 1, eff. Sept. 1, 1992; Laws 1994, c. 293, &sect; 8, eff. July 1, 1994; Laws 1999, c. 405, &sect; 10, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 53, eff. Jan. 1, 2002; Laws 2002, c. 83, &sect; 1, emerg. eff. April 17, 2002; Laws 2009, c. 219, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.3. Construction Industries Board - Rulemaking authority.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Promulgate, prescribe, amend, and repeal rules necessary to implement the provisions of the Mechanical Licensing Act including, but not limited to, defining categories and limitations for such licenses and for registration of apprentices, and establishing bonding and insurance requirements precluding municipal requirements; and&nbsp;</span></p> <p><span class="cls0">2. Establish minimum standards of mechanical installations in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 3, eff. Nov. 1, 1987. Amended by Laws 2001, c. 394, &sect; 54, eff. Jan. 1, 2002; Laws 2009, c. 439, &sect; 16, emerg. eff. June 2, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.3a. Voluntary review of project plans and specifications.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall establish by rule a process for the formal review of the plans and specifications for a project prior to bid dates for the project to ensure that the project plans and specifications are in conformance with applicable plumbing, electrical and mechanical installation codes. The rule shall provide that the review shall be completed in a timely manner, not to exceed fourteen (14) calendar days from the date of the submission of a completed application for review which is accompanied by the review fee not to exceed Two Hundred Dollars ($200.00) to be established by the rule. Upon completion of the review, the plans and specifications shall be returned to the applicant with documentation indicating either approval of plans and specifications which are in compliance with the applicable codes, or modifications which must be made to bring the plans and specifications into conformance. Submission of such plans and specifications for review by the Board shall be voluntary.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 293, &sect; 9, eff. July 1, 1994. Amended by Laws 2001, c. 394, &sect; 55, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.4. Committee of Mechanical Examiners - Membership - Terms - Removal - Vacancies - Quorum - Duties.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established the Committee of Mechanical Examiners, which shall consist of five (5) members. All members shall be citizens of the United States and shall be residents of this state. Members shall hold office for terms of two (2) years or until their successors have been appointed and qualified.&nbsp;</span></p> <p><span class="cls0">B. Members of the Committee shall be appointed as follows:&nbsp;</span></p> <p><span class="cls0">1. Two members shall be appointed by the President Pro Tempore of the Senate and shall be mechanical journeymen with five (5) years' actual experience in mechanical work as journeymen. Beginning January 1, 2003, as the terms of the members serving on the Committee pursuant to this paragraph expire, subsequent members shall be appointed by the President Pro Tempore of the Senate, unless after thirty (30) days from expiration an appointment is not made, then the member shall be appointed by the Construction Industries Board;&nbsp;</span></p> <p><span class="cls0">2. Two members shall be appointed by the Speaker of the House of Representatives and shall be mechanical contractors with five (5) years' actual experience in mechanical work as contractors. Beginning January 1, 2003, as the terms of the members serving on the Committee pursuant to this paragraph expire, subsequent members shall be appointed by the Speaker of the House of Representatives, unless after thirty (30) days from expiration an appointment is not made, then the member shall be appointed by the Construction Industries Board; and&nbsp;</span></p> <p><span class="cls0">3. One member shall be a lay member appointed by the Construction Industries Board; provided, the person serving in this position on January 1, 2002, may elect to continue to serve until the end of the term of office and until a successor has been appointed and qualified.&nbsp;</span></p> <p><span class="cls0">C. Any vacancy on the Committee shall be filled for the unexpired term within thirty (30) days in the manner in which that position was originally filled. Members may be removed for misconduct, incompetence, or neglect of duty.&nbsp;</span></p> <p><span class="cls0">D. A majority of the Committee shall constitute a quorum for the transaction of business, and the Committee shall elect a chair from its number. Each member shall receive travel expenses in accordance with the provisions of the State Travel Reimbursement Act. The Committee shall meet at least quarterly to conduct examinations, and special meetings may be called by the chair or the Board.&nbsp;</span></p> <p><span class="cls0">E. The Committee shall:&nbsp;</span></p> <p><span class="cls0">1. Assist and advise the Board on all matters pertaining to the formation of rules pursuant to the provisions of the Mechanical Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. Assist and advise the Board on the examinations for applicants for licenses as a mechanical contractor or journeyman and on all matters relating to the licensing of mechanical contractors and mechanical journeymen and the registering of mechanical apprentices; and&nbsp;</span></p> <p><span class="cls0">3. Assist and advise the Board in such other matters as requested thereby.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 4, eff. Nov. 1, 1987. Amended by Laws 1993, c. 249, &sect; 2, emerg. eff. May 26, 1993; Laws 1994, c. 293, &sect; 10, eff. July 1, 1994; Laws 2001, c. 394, &sect; 56, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 10, eff. July 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.5. Construction Industries Board - Powers and duties.&nbsp;</span></p> <p><span class="cls0">The Construction Industries Board shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Issue, renew, suspend, revoke, modify or deny licenses to engage in mechanical work pursuant to the Mechanical Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. Register apprentices;&nbsp;</span></p> <p><span class="cls0">3. Enter upon public and private property for the purpose of inspecting workers' licenses and mechanical work for compliance with the provisions of the Mechanical Licensing Act and of the rules of the Board promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">4. Employ personnel to conduct investigations and inspections;&nbsp;</span></p> <p><span class="cls0">5. Enforce the standards and rules promulgated pursuant to the Mechanical Licensing Act;&nbsp;</span></p> <p><span class="cls0">6. Reprimand or place on probation, or both, any holder of a license or registration pursuant to the Mechanical Licensing Act;&nbsp;</span></p> <p><span class="cls0">7. Investigate complaints and hold hearings;&nbsp;</span></p> <p><span class="cls0">8. Initiate disciplinary proceedings, request prosecution of and initiate injunctive proceedings against any person who violates any of the provisions of the Mechanical Licensing Act or any rule promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">9. Establish and levy administrative fines against any person who violates any of the provisions of the Mechanical Licensing Act or any rule promulgated pursuant thereto;&nbsp;</span></p> <p><span class="cls0">10. Conduct investigations into the qualifications of applicants for licensure and registration on the request of the Board;&nbsp;</span></p> <p><span class="cls0">11. Develop and administer the examinations approved by the Committee of Mechanical Examiners for applicants for licenses as a mechanical contractor or journeyman; and&nbsp;</span></p> <p><span class="cls0">12. Exercise all incidental powers as necessary and proper to implement and enforce the provisions of the Mechanical Licensing Act and the rules promulgated pursuant thereto.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 5, eff. Nov. 1, 1987. Amended by Laws 1993, c. 236, &sect; 7, eff. Sept. 1, 1993; Laws 1994, c. 293, &sect; 11, eff. July 1, 1994; Laws 2001, c. 394, &sect; 57, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591850.6. Examinations.&nbsp;</span></p> <p><span class="cls0">A. Examinations for licenses as mechanical contractors or mechanical journeymen shall be uniform and practical in nature for each respective license and shall be sufficiently strict to test the qualifications and fitness of the applicants for licenses. Examinations shall be in whole or in part in writing. The Committee shall conduct examinations quarterly and at such other times as it deems necessary.&nbsp;</span></p> <p><span class="cls0">B. Any applicant initially failing to pass the examination shall not be permitted to take another examination for a period of thirty (30) days. Any applicant subsequently failing to pass the examination shall not be permitted to take another examination for a period of ninety (90) days.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 93, &sect; 6, eff. Nov. 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1850.7. License required - Contractor required for mechanical work.&nbsp;</span></p> <p><span class="cls0">No person shall engage or offer to engage in, by advertisement or otherwise, any mechanical work as a journeyman or contractor who does not possess a valid and appropriate license from the Construction Industries Board. No business entity shall act as a mechanical firm unless a contractor is associated with and responsible for all mechanical work of such entity.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 7, eff. Nov. 1, 1987. Amended by Laws 2001, c. 394, &sect; 58, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.8. Qualifications for licensure as mechanical journeyman or mechanical contractor - Licenses - Limited license.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board shall issue a license as a mechanical journeyman or mechanical contractor to any person who:&nbsp;</span></p> <p><span class="cls0">1. Has been certified by the Committee of Mechanical Examiners as having successfully passed the appropriate examination; and&nbsp;</span></p> <p><span class="cls0">2. Has paid the license fee and has otherwise complied with the provisions of the Mechanical Licensing Act. The license fees shall be established by rule by the Board pursuant to Section 1000.5 of this title.&nbsp;</span></p> <p><span class="cls0">B. All licenses shall be nontransferable. No license shall be issued for longer than one (1) year and all licenses shall expire on the last day in the birth month of the licensee. Licenses renewed more than thirty (30) days following the date of expiration may only be renewed upon application and payment of the required fees and payment of any penalty for late renewal, as shall be established by the Board. No journeyman or contractor license shall be renewed unless the licensee has completed the required hours of continuing education as determined by the Committee. Persons who are licensed as contractors under the Mechanical Licensing Act may have their license placed on inactive status by paying the annual renewal fee and eliminating the bonding and insurance requirements. No late fee shall be charged to renew a license which expired while the applicant was in military service, if application is made within one (1) year of discharge from the military service.&nbsp;</span></p> <p><span class="cls0">C. The Board is authorized to establish and issue, subject to the provisions of the Mechanical Licensing Act, limited licenses in each area of mechanical work based on the experience, ability, examination scores and the education of the applicant. The limited licenses shall authorize the licensee to engage in only those activities and within the limits specified in the license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 8, eff. Nov. 1, 1987. Amended by Laws 1993, c. 249, &sect; 3, emerg. eff. May 26, 1993; Laws 1994, c. 293, &sect; 12, eff. July 1, 1994; Laws 1999, c. 405, &sect; 11, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 59, eff. Jan. 1, 2002; Laws 2002, c. 457, &sect; 11, eff. July 1, 2002; Laws 2003, c. 318, &sect; 14, eff. Nov. 1, 2003; Laws 2004, c. 163, &sect; 7, emerg. eff. April 26, 2004; Laws 2008, c. 4, &sect; 12, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.8A. Temporary licenses.&nbsp;</span></p> <p><span class="cls0">A. Within (1) one year of the date the Governor of this state declares a state of emergency in response to a disaster involving the destruction of dwelling units, the Construction Industries Board shall issue a distinctively colored, nonrenewable, temporary mechanical journeyman license which shall expire one (1) year after the date of declaration to any person who is currently licensed as a mechanical journeyman by another state and who:&nbsp;</span></p> <p><span class="cls0">1. Submits, within ten (10) days of beginning mechanical journeyman's work in this state, an application and fee for a mechanical journeyman's examination;&nbsp;</span></p> <p><span class="cls0">2. Takes and passes the examination at the first opportunity thereafter offered by the Board; and&nbsp;</span></p> <p><span class="cls0">3. Pays a temporary mechanical journeyman's license fee to be established by rule by the Board pursuant to Section 1000.5 of this title.&nbsp;</span></p> <p><span class="cls0">B. Nothing in this section shall be construed as prohibiting any person from qualifying at any time for any other license by meeting the requirements for the other license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 405, &sect; 12, emerg. eff. June 10, 1999. Amended by Laws 2008, c. 4, &sect; 13, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1850.9. Apprentice registration.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board, upon proper application and payment of an apprentice registration fee, shall register as a mechanical apprentice and issue a certificate of such registration to any person who furnishes satisfactory proof to the Board that the applicant is:&nbsp;</span></p> <p><span class="cls0">1. Sixteen (16) years of age or older; and&nbsp;</span></p> <p><span class="cls0">2. Enrolled in a school or training course for mechanical apprentices recognized by the Board or has arranged for employment as a mechanical apprentice with a licensed mechanical contractor.&nbsp;</span></p> <p><span class="cls0">B. Apprentice registration certificates shall expire one (1) year after date of registration, at which time the apprentice may reregister and receive, upon payment of the apprentice registration renewal fee, a renewal certificate.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 9, eff. Nov. 1, 1987. Amended by Laws 1999, c. 405, &sect; 13, emerg. eff. June 10, 1999; Laws 2001, c. 394, &sect; 60, eff. Jan. 1, 2002.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.10. Application of act - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. 1. No person shall install, replace or repair gas piping unless such person is licensed under the Mechanical Licensing Act or is licensed as a plumbing contractor or journeyman plumber pursuant to the laws of this state.&nbsp;</span></p> <p><span class="cls0">2. No person shall install, replace or repair floor furnaces or wall heaters unless such person is licensed under the Mechanical Licensing Act or is licensed as a plumbing contractor or journeyman plumber pursuant to the laws of this state.&nbsp;</span></p> <p><span class="cls0">3. No person shall install, replace or repair any radiant-floor heating systems unless such person is licensed under the Mechanical Licensing Act or is licensed as a plumbing contractor or journeyman plumber pursuant to the laws of this state.&nbsp;</span></p> <p><span class="cls0">B. The Mechanical Licensing Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. A person who is the property owner of record, or his or her authorized representative, when performing minor repair which shall include, but not be limited to, cleaning, adjusting, calibrating and repair of mechanical system parts and the replacement of fuses and room thermostats, and other minor repairs which shall not include any repair which could violate the safe operation of the equipment;&nbsp;</span></p> <p><span class="cls0">2. The installation of portable, selfcontained, ductless air conditioners or heaters;&nbsp;</span></p> <p><span class="cls0">3. The setting or connecting of detached air conditioning units which utilize flexible ductwork on a manufactured home. The term manufactured home shall have the same definition as such term is defined in Section 1102 of Title 47 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">4. Any permanent employee of a manufacturing facility, whether owned or leased, while performing mechanical work on the premises of such facility. The performance of such mechanical work authorized by this paragraph shall not violate any manufacturer specification or compromise any health or safety standards and practices in accordance with state and federal regulations;&nbsp;</span></p> <p><span class="cls0">5. The service, repair and installation of boilers, pressure vessels and welded steam lines which are subject to the jurisdiction of the Commissioner of Labor pursuant to the provisions of Sections 141.1 through 141.18 of Title 40 of the Oklahoma Statutes; or&nbsp;</span></p> <p><span class="cls0">6. Employees of stateowned institutions doing maintenance to stateowned facilities which does not violate manufacturer specifications nor compromise health or safety standards and practices.&nbsp;</span></p> <p><span class="cls0">C. The licensing requirements of the Mechanical Licensing Act shall not apply to public utilities, public service corporations, intrastate gas pipeline companies, gas gathering pipeline companies, gas processing companies, rural electric associations, or municipal utilities and their subsidiaries during work on their own facilities or during the performance of energy audits, operational inspections, minor maintenance, or minor repairs for their customers or on their own equipment.&nbsp;</span></p> <p><span class="cls0">D. The licensing requirements of the Mechanical Licensing Act shall not apply to employees of chemical plants, gas processing plants, and petroleum refineries during work on their own facilities or during the performance of operational inspections, mechanical work, maintenance, or repairs on their own equipment, the performance of which does not violate any manufacturer specification or compromise any health or safety standards and practices in accordance with state and federal regulations.&nbsp;</span></p> <p><span class="cls0">E. The licensing requirements of the Mechanical Licensing Act shall not apply to employees of research facilities during work on their own facilities or during the performance of operational inspections, mechanical work, maintenance, or repairs on their own equipment used solely for research purposes when such items of equipment require one or more details of construction not covered by normally used national codes and standards or which involve destruction or reduce life of the equipment and systems.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 10, eff. Nov. 1, 1987. Amended by Laws 1989, c. 331, &sect; 2, emerg. eff. May 31, 1989; Laws 1992, c. 137, &sect; 2, eff. Sept. 1, 1992; Laws 1997, c. 353, &sect; 5, eff. Nov. 1, 1997; Laws 2004, c. 163, &sect; 8, emerg. eff. April 26, 2004.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1850.11. Violations - Penalties - Administrative fines - Injunctions.&nbsp;</span></p> <p><span class="cls0">A. Any person, mechanical contractor, mechanical journeyman, mechanical apprentice or mechanical firm who violates any of the provisions of the Mechanical Licensing Act in addition to suspension or revocation of a license, upon conviction, shall be guilty of a misdemeanor and punished by a fine of not less than Two Hundred Dollars ($200.00) nor more than One Thousand Dollars ($1,000.00), or both such fine and imprisonment together with the costs of prosecution.&nbsp;</span></p> <p><span class="cls0">B. In addition to other penalties provided by law, if after a hearing in accordance with the provisions of Section 1850.14 of this title, the Mechanical Hearing Board shall find any mechanical contractor, mechanical journeyman, mechanical apprentice or mechanical firm to be in violation of any of the provisions of this act, such person or firm may be subject to an administrative fine of not more than Five Hundred Dollars ($500.00) for each violation. Each day a person or firm is in violation of this act may constitute a separate violation. The maximum fine will not exceed One Thousand Dollars ($1,000.00). All administrative fines collected pursuant to the provisions of this subsection shall be deposited in the Oklahoma Mechanical Licensing Revolving Fund. Administrative fines imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">C. The Mechanical Hearing Board may make application to the appropriate court for an order enjoining the acts or practices prohibited by this act, and upon a showing by the Mechanical Hearing Board that the person or firm has engaged in any of the prohibited acts or practices, an injunction, restraining order, or other order as may be appropriate shall be granted by the court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 11, eff. Nov. 1, 1987. Amended by Laws 1993, c. 236, &sect; 8, eff. Sept. 1, 1993; Laws 2008, c. 142, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1850.12. Political subdivisions - Inspections - Permits - Registration.&nbsp;</span></p> <p><span class="cls0">The provisions of the Mechanical Licensing Act shall not prohibit any political subdivision from appointing inspectors, making inspections, requiring permits for mechanical work and charging such fees as are determined to be necessary by such political subdivision. Said political subdivision may inspect mechanical work performed within the jurisdiction of that political subdivision, and may require contractors to register within their jurisdiction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 12, eff. Nov. 1, 1987. Amended by Laws 2003, c. 318, &sect; 15, eff. Nov. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1850.13. Oklahoma Mechanical Licensing Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Construction Industries Board, to be designated the "Oklahoma Mechanical Licensing Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received by the Board pursuant to the Mechanical Licensing Act, including administrative fines authorized by Section 1850.11 of this title. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Construction Industries Board for the purpose of implementing the Mechanical Licensing Act. Expenditures from said fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 13, eff. Nov. 1, 1987. Amended by Laws 1993, c. 236, &sect; 9, eff. Sept. 1, 1993; Laws 2001, c. 394, &sect; 61, eff. Jan. 1, 2002; Laws 2004, c. 163, &sect; 9, emerg. eff. April 26, 2004; Laws 2008, c. 4, &sect; 14, eff. Nov. 1, 2008; Laws 2012, c. 304, &sect; 286.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.14. Mechanical Hearing Board - Investigations - Suspension, revocation or refusal to issue or renew license - Jurisdiction of political subdivisions.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board or its designee and the Committee of Mechanical Examiners shall act as the Mechanical Hearing Board and shall comply with the provisions of Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">B. Any administrative hearing on suspensions, revocations or fines shall be conducted by a hearing examiner appointed by the Construction Industries Board. The hearing examiner&rsquo;s decision shall be a final decision which may be appealed to a district court in accordance with the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. The Mechanical Hearing Board may, upon its own motion, and shall, upon written complaint filed by any person, investigate the business transactions of any mechanical contractor, mechanical journeyman, mechanical apprentice or mechanical firm. The Construction Industries Board shall suspend or revoke or may refuse to issue or renew any license or registration under the Mechanical Licensing Act for any of the following:&nbsp;</span></p> <p><span class="cls0">1. Making a material misstatement in the application for a license or registration, or the renewal of a license or registration;&nbsp;</span></p> <p><span class="cls0">2. Obtaining any license or registration by false or fraudulent representation;&nbsp;</span></p> <p><span class="cls0">3. Loaning or allowing the use of such license by any other person or illegally using a license;&nbsp;</span></p> <p><span class="cls0">4. Demonstrating incompetence to act as a mechanical journeyman or mechanical contractor;&nbsp;</span></p> <p><span class="cls0">5. Violating any provisions of the Mechanical Licensing Act, or any rule or order prescribed by the Construction Industries Board pursuant to the provisions of the Mechanical Licensing Act; or&nbsp;</span></p> <p><span class="cls0">6. Willfully failing to perform normal business obligations without justifiable cause.&nbsp;</span></p> <p><span class="cls0">D. Any person whose license or registration has been revoked by the Mechanical Hearing Board may apply for a new license one (1) year from the date of such revocation.&nbsp;</span></p> <p><span class="cls0">E. Notwithstanding any other provision of law, a political subdivision of this state that has adopted a nationally recognized mechanical code and appointed an inspector pursuant to Section 1850.12 of this title or pursuant to the Oklahoma Inspectors Act for such work shall have jurisdiction over the interpretation of said code and the installation of all mechanical work done in that political subdivision, subject to the provisions of the Oklahoma Inspectors Act. Provided, a state inspector may work directly with a mechanical contractor, mechanical journeyman, mechanical apprentice or mechanical firm in such a locality if a violation of the code creates an immediate threat to life or health.&nbsp;</span></p> <p><span class="cls0">F. In the case of a complaint about, investigation of, or inspection of any license, registration, permit or mechanical work in any political subdivision of this state which has not adopted a nationally recognized mechanical code and appointed an inspector pursuant to Section 1850.12 of this title or pursuant to the Oklahoma Inspectors Act for such work, the Board shall have jurisdiction over such matters.&nbsp;</span></p> <p><span class="cls0">G. 1. No individual, business, company, corporation, association, limited liability company, or other entity subject to the provisions of the Mechanical Licensing Act shall install, modify or alter mechanical systems in any incorporated area of this state which has not adopted a nationally recognized mechanical code and appointed an inspector pursuant to Section 1850.12 of this title or pursuant to the Oklahoma Inspectors Act for such work without providing notice of such mechanical work to the Board. A notice form for reproduction by an individual or entity required to make such notice shall be provided by the Board upon request.&nbsp;</span></p> <p><span class="cls0">2. Notice to the Board pursuant to this subsection shall not be required for minor repair or maintenance performed according to the mechanical equipment manufacturer's instructions or of any petroleum refinery or its research facilities.&nbsp;</span></p> <p><span class="cls0">3. Enforcement of this subsection is authorized pursuant to the Mechanical Licensing Act, or under authority granted to the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 93, &sect; 14, eff. Nov. 1, 1987. Amended by Laws 1993, c. 251, &sect; 3, eff. Sept. 1, 1993; Laws 2001, c. 394, &sect; 62, emerg. eff. June 4, 2001; Laws 2008, c. 4, &sect; 15, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591850.15. Statewide validity of license Persons not required to be licensed under act.&nbsp;</span></p> <p><span class="cls0">A license issued pursuant to this act shall be valid statewide; however, a person or entity who is licensed locally and only performs work in such locality shall not be required to be licensed hereunder.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 93, &sect; 15, eff. Nov. 1, 1987. &nbsp;</span></p> <p><span class="cls0">&sect;59-1850.16. Oklahoma State Mechanical Installation Code Variance and Appeals Board.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created the Oklahoma State Mechanical Installation Code Variance and Appeals Board. The Variance and Appeals Board shall hear testimony and shall review sufficient technical data submitted by an applicant to substantiate the proposed installation of any material, assembly or manufacturer-engineered components, equipment or system that is not specifically prescribed by an appropriate installation code, an industry consensus standard or fabricated or installed according to recognized and generally accepted good engineering practices, where no ordinance of a governmental subdivision applies. If it is determined that the evidence submitted is satisfactory proof of performance for the proposed installation, the Variance and Appeals Board shall approve such alternative, subject to the requirements of the appropriate installation code. Applications for the use of an alternative material or method of construction shall be submitted in writing to the Construction Industries Board for approval prior to use. Applications shall be accompanied by a filing fee, not to exceed Fifty Dollars ($50.00), as set by rule of the Board.&nbsp;</span></p> <p><span class="cls0">2. The Variance and Appeals Board shall also hear appeals from contractors, licensed by the Construction Industries Board, and any person who has ownership interest in or is in responsible charge of the design of or work on the installation, who contest the Construction Industries Board's interpretation of the state's model mechanical installation code as applied to a particular installation. Such appeals shall be based on a claim that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the true intent of the installation code has been incorrectly interpreted,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the provisions of the code do not fully apply, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an equal or better form of installation is proposed.&nbsp;</span></p> <p><span class="cls0">Such appeals to the Variance and Appeals Board shall be made in writing to the Construction Industries Board within fourteen (14) days after a code interpretation or receipt of written notice of the alleged code violation by the licensed contractor.&nbsp;</span></p> <p><span class="cls0">B. The Variance and Appeals Board shall consist of the designated representative of the Construction Industries Board and the following members who, except for the State Fire Marshal or designee, shall be appointed by the Construction Industries Board from a list of names submitted by the professional organizations of the professions represented on the Variance and Appeals Board and who shall serve at the pleasure of the Construction Industries Board:&nbsp;</span></p> <p><span class="cls0">1. Two members shall be appointed from the Committee of Mechanical Examiners; one shall be a contractor with five (5) years of experience and one shall be a journeyman with five (5) years of experience;&nbsp;</span></p> <p><span class="cls0">2. One member shall be a registered design professional who is a registered architect with at least ten (10) years of experience, five (5) years of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">3. One member shall be a registered design professional with at least ten (10) years of structural engineering or architectural experience, five (5) years of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">4. One member shall be a registered design professional with mechanical or plumbing engineering experience; provided, such member shall have at least ten (10) years of experience, five (5) years of which shall have been in responsible charge of work;&nbsp;</span></p> <p><span class="cls0">5. One member shall be a registered design professional with electrical engineering experience; provided, such member shall have at least ten (10) years of experience, five (5) years of which shall have been in responsible charge of work; and&nbsp;</span></p> <p><span class="cls0">6. One member shall be the State Fire Marshal or a designee of the State Fire Marshal.&nbsp;</span></p> <p><span class="cls0">Any member serving on the Variance and Appeals Board on January 1, 2002, may continue to serve on the Variance and Appeals Board until a replacement is appointed by the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">C. Members, except the designee of the Construction Industries Board and the State Fire Marshal, or the designated representative of the State Fire Marshal, and employees of the Construction Industries Board, shall be reimbursed for travel expenses pursuant to the State Travel Reimbursement Act from the revolving fund created pursuant to Section 1850.13 of Title 59 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">D. The Variance and Appeals Board shall meet after the Construction Industries Board receives proper application for a variance, accompanied by the filing fee, or proper notice of an appeal, as provided in subsection A of this section.&nbsp;</span></p> <p><span class="cls0">E. The designated representative of the Construction Industries Board, shall serve as chair of the Variance and Appeals Board. A majority of the members of the Variance and Appeals Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1994, c. 293, &sect; 13, eff. July 1, 1994. Amended by Laws 2001, c. 394, &sect; 63, emerg. eff. June 4, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1850.17. Petroleum refinery mechanical journeyman license &ndash; Examinations &ndash; Maximum apprentice-to-journeyman ratio.&nbsp;</span></p> <p><span class="cls0">A. The Construction Industries Board shall offer examinations for a petroleum refinery mechanical journeyman license. The Board shall promulgate rules to implement the provisions of this section.&nbsp;</span></p> <p><span class="cls0">B. The maximum apprentice-to-journeyman ratio for mechanical work requiring a petroleum refinery journeyman license shall not be greater than five apprentices to one petroleum refinery journeyman. This provision is limited to petroleum refinery mechanical work and shall not apply to other apprentice-to-journeyman ratios established by the Construction Industries Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 405, &sect; 12, emerg. eff. June 3, 2008. Amended by Laws 2009, c. 219, &sect; 2, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1860. Renumbered as &sect; 1000.5b of this title by Laws 2008, c. 4, &sect; 17, eff. Nov. 1, 2008.&nbsp;</span></p> <p><span class="cls0">&sect;59-1870. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1 through 16 of this act shall be known and may be cited as the &ldquo;Licensed Alcohol and Drug Counselors Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 1, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1871. Definitions.&nbsp;</span></p> <p><span class="cls0">For purposes of the Licensed Alcohol and Drug Counselors Act:&nbsp;</span></p> <p><span class="cls0">1. "Alcohol and drug counseling" means the application of counseling principles for:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;substance use disorders, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;substance abuse disorders and co-occurring disorders in order to:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;develop an understanding of substance abuse and co-occurring disorders,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;permit licensed alcohol and drug counselors to prevent, diagnose or treat substance abuse and to prevent, diagnose or treat co-occurring disorders,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;permit licensed alcohol and drug counselors to conduct assessments or diagnoses for the purpose of establishing treatment goals and objectives for substance abuse and to establish treatment goals and objectives for co-occurring disorders, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;plan, implement or evaluate treatment plans using counseling treatment interventions;&nbsp;</span></p> <p><span class="cls0">2. "Alcohol and drug counseling", as a certified alcohol and drug counselor, means the application of counseling principles for:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;substance use disorders, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;substance abuse disorders in order to:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;develop an understanding of alcoholism and drug dependency problems,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;prevent, diagnose or treat alcohol and drug dependency problems,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;conduct assessments or diagnosis for the purpose of establishing treatment goals and objectives for substance abuse,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;plan, implement or evaluate treatment plans using counseling treatment interventions for substance abuse, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;permit certified alcohol and drug counselors certified in co-occurring disorders to recognize co-occurring disorders and integrate that recognition into substance abuse treatment, provided the certified alcohol and drug counselor is working in a nationally accredited or Oklahoma Department of Mental Health and Substance Abuse Services certified agency and is working under the supervision of a supervisor approved by the Oklahoma Board of Licensed Alcohol And Drug Counselors pursuant to paragraph 13 of this section and who is a licensed alcohol and drug counselor that is licensed in mental health and substance abuse, a licensed alcohol and drug counselor that holds a co-occurring certification from the Board or a licensed mental health professional. Certified alcohol and drug counselors shall meet or exceed the Certified Co-Occurring Disorders Professional Standards as laid out in the standards promulgated by the International Certification & Reciprocity Consortium, any successor organization to the International Certification and Reciprocity Consortium or another national or international organization that has similar standards equal to or higher than the International Certification and Reciprocity Consortium.&nbsp;</span></p> <p><span class="cls0">Certified alcohol and drug counselors may not provide private or independent practice for co-occurring disorders;&nbsp;</span></p> <p><span class="cls0">3. "Board" means the Oklahoma Board of Licensed Alcohol and Drug Counselors, created by Section 1873 of this title;&nbsp;</span></p> <p><span class="cls0">4. "Certified alcohol and drug counselor" means any person who is not exempt pursuant to the provisions of Section 1872 of this title and is not licensed under the Licensed Alcohol and Drug Counselors Act, but who provides alcohol and drug counseling services within the scope of practice while employed by an entity certified by the Department of Mental Health and Substance Abuse Services, or who is exempt from such certification, or who is under the supervision of a person recognized by the Oklahoma Board of Licensed Alcohol and Drug Counselors as a supervisor. A certified alcohol and drug counselor may provide counseling services for co-occurring disorders if he or she has been certified by the Board to provide counseling as provided in this section for co-occurring disorders;&nbsp;</span></p> <p><span class="cls0">5. "Certified alcohol and drug counselor candidate" or "licensed alcohol and drug counselor candidate" means a person who has made application for certification or licensure and who has been authorized by the board to practice alcohol and drug counseling under supervision while completing the required work experience;&nbsp;</span></p> <p><span class="cls0">6. "Consulting" means interpreting or reporting scientific fact or theory in counseling to provide assistance in solving current or potential problems of individuals, groups or organizations;&nbsp;</span></p> <p><span class="cls0">7. "Co-occurring disorder" means a disorder in which individuals have at least one mental health disorder as defined in the most current version of the Diagnostic and Statistical Manual and a substance abuse disorder as defined in paragraph 14 of this section. While these disorders may interact differently in any one person at least one disorder of each type can be diagnosed independently of the other;&nbsp;</span></p> <p><span class="cls0">8. "International Certification & Reciprocity Consortium Standards" means the standards enumerated by the International Certification and Reciprocity Consortium, any successor organization to the Consortium or another national or international organization that has similar standards equal to or higher than the International Certification and Reciprocity Consortium, that includes requirements regarding education, exams, degrees, coursework, supervision, continuing education, and ethics for individuals seeking a certified co-occurring disorders professional certification from the Consortium. The requirement to meet these standards shall never fall below the requirements set forth by the Consortium on June 1, 2008.&nbsp;</span></p> <p><span class="cls0">9. "Licensed alcohol and drug counselor" means any person who provides alcohol and drug counseling services within the scope of practice, including co-occurring disorders, for compensation to any person and is licensed pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act. The term "licensed alcohol and drug counselor" shall not include those professions exempted by Section 1872 of this title;&nbsp;</span></p> <p><span class="cls0">10. "Licensed alcohol and drug counselor/mental health" or "LADC/MH" means a licensed alcohol and drug counselor who has been determined by the Board to meet the requirements to include the assessment, diagnosis, and treatment of mental health disorders within the counselor's scope of practice, regardless of whether the mental health disorders are co-occurring;&nbsp;</span></p> <p><span class="cls0">11. "Recovery" means a voluntary lifestyle, maintained as the result of one's diagnosis, treatment or self-disclosure of a substance abuse disorder, characterized by complete abstinence from alcohol, and all other mind altering drugs or chemicals except tobacco and drugs used as prescribed by an authorized licensed medical professional and the absence of pathological compulsive behavior;&nbsp;</span></p> <p><span class="cls0">12. "Relapse" means the resumption of use of alcohol or other mind-altering drugs or chemicals, except tobacco and drugs used as prescribed by an authorized licensed medical professional, or resumption of pathological compulsive behavior, despite having previously been diagnosed, treated or self-disclosed as having a substance abuse disorder and been in recovery;&nbsp;</span></p> <p><span class="cls0">13. "Supervisor" means:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a licensed alcohol and drug counselor who meets the requirements established by the board to supervise certified alcohol and drug counselors, certified alcohol and drug counselor candidates or licensed alcohol and drug counselor candidates and has been approved by the Oklahoma Board of Licensed Alcohol and Drug Counselors as a supervisor, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a licensed mental health professional approved by the Board to supervise certified alcohol and drug counselors who have received co-occurring certification, certified alcohol and drug counselors who are candidates for co-occurring certification or licensed alcohol drug and counselors who are candidates for co-occurring certification;&nbsp;</span></p> <p><span class="cls0">14. "Substance abuse disorder" means the repeated pathological use of substances including alcohol and other mind-altering drugs or chemicals, except tobacco, or repeated pathological compulsive behaviors which cause physical, psychological, emotional, economic, legal, social or other harm to the individual afflicted or to others affected by the individual's affliction. As used in the Licensed Alcohol and Drug Counselors Act, substance abuse disorder shall include not only those instances where withdrawal from or tolerance to the substance is present but also those instances involving use and abuse of substances;&nbsp;</span></p> <p><span class="cls0">15. "Supervised practicum experience" means volunteer or paid work experience in the core functions of substance abuse counseling as delineated by the Oklahoma Board of Licensed Alcohol and Drug Counselors;&nbsp;</span></p> <p><span class="cls0">16. "Supervised work experience" means voluntary or paid work experience in providing alcohol and drug counseling services to individuals under the supervision of a licensed alcohol and drug counselor; and&nbsp;</span></p> <p><span class="cls0">17. "Scope of practice" means acting within the boundaries of competence based on education, training, supervised experience, state and national professional credentials, and appropriate professional experience.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 2, emerg. eff. May 19, 2004. Amended by Laws 2007, c. 174, &sect; 2, eff. Nov. 1, 2007; Laws 2008, c. 400, &sect; 1, eff. Nov. 1, 2008; Laws 2012, c. 87, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1872. Other professionals &ndash; Use of title &ldquo;licensed alcohol and drug counselor&rdquo; &ndash; Practice of other profession by licensee.&nbsp;</span></p> <p><span class="cls0">A. The Licensed Alcohol and Drug Counselors Act shall in no way infringe upon the pursuits of the following professionals acting within the scope of their licenses or employment as such professionals, nor shall such professionals use the title &ldquo;licensed alcohol and drug counselor&rdquo;:&nbsp;</span></p> <p><span class="cls0">1. Physicians, physician assistants, psychologists, social workers, professional counselors, marital and family therapists, licensed behavioral practitioners, and registered nurses who are licensed by their respective licensing authorities;&nbsp;</span></p> <p><span class="cls0">2. Members of the clergy;&nbsp;</span></p> <p><span class="cls0">3. Persons employed by the state or federal government; and&nbsp;</span></p> <p><span class="cls0">4. Any person who provides a prepared curriculum of life skills education and training that is designed to be self-taught, and who does not provide individual, group or family counseling.&nbsp;</span></p> <p><span class="cls0">B. The Licensed Alcohol and Drug Counselors Act shall not be construed to allow the practice of any of the professions specified in subsection A of this section by a licensed alcohol and drug counselor unless the licensed alcohol and drug counselor is also licensed or accredited by the appropriate agency, institution or board.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 3, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1873. Oklahoma Board of Licensed Alcohol and Drug Counselors.&nbsp;</span></p> <p><span class="cls0">A. There is hereby created, to continue until July 1, 2014, in accordance with the provisions of the Oklahoma Sunset Law, the Oklahoma Board of Licensed Alcohol and Drug Counselors, consisting of seven (7) members, to be appointed by the Governor, with the advice and consent of the Senate, as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">1. a.&nbsp;&nbsp;Six members who shall be alcohol and drug counselors certified by an entity recognized to do professional alcohol and drug counseling certification in this state; provided, however, five of such members shall subsequently secure licensure and one such member shall subsequently secure certification, pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act, no later than January 1, 2005.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Thereafter, five members shall be licensed alcohol and drug counselors at the time of appointment, and one member shall be certified as an alcohol and drug counselor at the time of appointment.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Pursuant to the provisions of this paragraph, the Governor shall appoint:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;four members from a list of names submitted by the Oklahoma Drug and Alcohol Professional Counselors Association,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;one member from a list of names submitted by the Oklahoma Substance Abuse Services Alliance, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;one member from a list of names submitted by the Oklahoma Citizen Advocates for Recovery and Treatment Association.&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;One member shall be appointed from and shall represent the general public. Such member shall be a resident of this state who has attained the age of majority and shall not be, nor shall ever have been, a licensed or certified alcohol and drug counselor, or the spouse of a licensed or certified alcohol and drug counselor, or a person who has ever had any material financial interest in the provision of alcohol and drug counseling services or has engaged in any activity directly related to the practice of alcohol and drug counseling.&nbsp;</span></p> <p><span class="cls0">2. The composition of the Board shall include five members who hold a master&rsquo;s or higher degree and one member whose highest degree held is a bachelor&rsquo;s degree.&nbsp;</span></p> <p><span class="cls0">3. The Governor shall appoint the members to the Board no later than July 1, 2004.&nbsp;</span></p> <p><span class="cls0">B. Each member of the Board appointed as a licensed alcohol and drug counselor shall:&nbsp;</span></p> <p><span class="cls0">1. Be certified or licensed to engage in the practice of alcohol and drug counseling in this state and shall be in good standing; and&nbsp;</span></p> <p><span class="cls0">2. Have at least three (3) years of experience in the practice of alcohol and drug counseling in this state.&nbsp;</span></p> <p><span class="cls0">C. Two of the members initially appointed shall serve three-year terms; two shall serve four-year terms and three shall serve five-year terms, as designated by the Governor. Thereafter, the terms of all members shall be five (5) years.&nbsp;</span></p> <p><span class="cls0">D. A vacancy on the Board shall be filled in the same manner as the original appointment for the balance of the unexpired term. Members may succeed themselves but shall serve no more than two consecutive terms. Each member shall serve until a successor is appointed and qualified.&nbsp;</span></p> <p><span class="cls0">E. Members of the Board may be removed from office for one or more of the following reasons:&nbsp;</span></p> <p><span class="cls0">1. The refusal or inability for any reason to perform the duties of a Board member in an efficient, responsible and professional manner;&nbsp;</span></p> <p><span class="cls0">2. The misuse of office for pecuniary or material gain or for personal advantage for self or another;&nbsp;</span></p> <p><span class="cls0">3. A violation of the laws or rules governing the practice of alcohol and drug counseling; or&nbsp;</span></p> <p><span class="cls0">4. Conviction of a felony as verified by a certified copy of the record of the court of conviction.&nbsp;</span></p> <p><span class="cls0">F. Members of the Board shall serve without compensation, but shall be reimbursed for actual and necessary travel expenses as provided in the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 4, emerg. eff. May 19, 2004. Amended by Laws 2010, c. 359, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1874. Chair, vice-chair, and officers - Oklahoma Board of Licensed Alcohol and Drug Counselors &ndash; Meetings.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Board of Licensed Alcohol and Drug Counselors shall annually elect from among its members a chair, a vice-chair and such other officers as it deems appropriate and necessary to conduct its business. The chair shall preside at all meetings of the Board. Each additional officer elected by the Board shall perform those duties customarily associated with the position and such other duties assigned by the Board. Officers elected by the Board shall serve for one (1) year and shall serve no more than three (3) consecutive years in any office to which the Board member is elected.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board shall meet at least once every three (3) months to transact its business and may meet at such additional times as the Board may determine.&nbsp;</span></p> <p><span class="cls0">2. The Board shall meet in accordance with the provisions of the Oklahoma Open Meeting Act.&nbsp;</span></p> <p><span class="cls0">3. A majority of the members of the Board shall constitute a quorum for the conduct of business. All actions of the Board shall be by a majority of the quorum present.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 5, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1875. Powers and duties - Oklahoma Board of Licensed Alcohol and Drug Counselors.&nbsp;</span></p> <p><span class="cls0">In addition to any other powers and duties imposed by law, the Oklahoma Board of Licensed Alcohol and Drug Counselors shall have the power and duty to:&nbsp;</span></p> <p><span class="cls0">1. Promulgate rules necessary to effectuate the provisions of the Licensed Alcohol and Drug Counselors Act, and to make orders as it may deem necessary or expedient in the performance of its duties;&nbsp;</span></p> <p><span class="cls0">2. Prepare, conduct and grade examinations of persons who apply for certification or licensure as an alcohol and drug counselor and certification for co-occurring disorders;&nbsp;</span></p> <p><span class="cls0">3. Determine a satisfactory passing score on such examinations and issue certifications and licenses to persons who pass the examinations or who are otherwise entitled to certification and licensure;&nbsp;</span></p> <p><span class="cls0">4. Determine eligibility for certification and licensure and requirements for approval as a supervisor;&nbsp;</span></p> <p><span class="cls0">5. Issue and renew certificates and licenses for alcohol and drug counselors and certification for co-occurring disorders;&nbsp;</span></p> <p><span class="cls0">6. Upon good cause shown:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;deny the issuance of a certificate or license,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;suspend, revoke or refuse to renew a certificate or license,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;place a holder of a certificate or a licensee on probation, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;suspend, revoke, refuse to renew or otherwise sanction a certified alcohol and drug counselor candidate or a licensed alcohol and drug counselor candidate;&nbsp;</span></p> <p><span class="cls0">7. Establish and levy administrative penalties against any person or entity who violates any of the provisions of the Licensed Alcohol and Drug Counselors Act or any rule promulgated or order issued pursuant thereto;&nbsp;</span></p> <p><span class="cls0">8. Obtain an office, secure facilities, and employ, direct, discharge and define the duties and set the salaries of office personnel as deemed necessary by the Board;&nbsp;</span></p> <p><span class="cls0">9. Initiate disciplinary, prosecution and injunctive proceedings against any person or entity who violates any of the provisions of the Licensed Alcohol and Drug Counselors Act, or any rule promulgated or order issued pursuant thereto; provided, the Board shall be exempt from providing surety for the costs in connection with the commencement of any legal proceedings under the provisions of the Licensed Alcohol and Drug Counselors Act;&nbsp;</span></p> <p><span class="cls0">10. Investigate alleged violations of the Licensed Alcohol and Drug Counselors Act, or the rules, orders or final orders of the Board and impose as part of any disciplinary action the payment of costs expended by the Board for any legal fees and costs, including, but not limited to, probation and monitoring, staff time, salary and travel expenses, witness fees and attorney fees;&nbsp;</span></p> <p><span class="cls0">11. Promulgate rules of conduct governing the practice of certified and licensed alcohol and drug counselors, certified alcohol and drug counselor candidates, licensed alcohol and drug counselor candidates and supervisors;&nbsp;</span></p> <p><span class="cls0">12. Keep accurate and complete records of its proceedings;&nbsp;</span></p> <p><span class="cls0">13. Promulgate rules for continuing education requirements for certified and licensed alcohol and drug counselors, and supervisors;&nbsp;</span></p> <p><span class="cls0">14. Issue a certificate or license by endorsement to an applicant certified or licensed to practice as a certified or licensed alcohol and drug counselor in another state if the Board deems such applicant to have qualifications that are comparable to those required under the Licensed Alcohol and Drug Counselors Act and, if the Board deems the applicant as meeting the standards, provided by rules, for certification or licensure by endorsement;&nbsp;</span></p> <p><span class="cls0">15. Require certified and licensed drug and alcohol counselors to maintain their patient records for a period of seven (7) years from the date the service was provided; and&nbsp;</span></p> <p><span class="cls0">16. Perform such other duties and have such other responsibilities as necessary to implement the provisions of the Licensed Alcohol and Drug Counselors Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 6, emerg. eff. May 19, 2004. Amended by Laws 2008, c. 400, &sect; 2, eff. Nov. 1, 2008; Laws 2011, c. 254, &sect; 1, eff. Nov. 1, 2011.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1876. Certificate or license to practice as alcohol or drug counselor - Application - Requirements - Scope of practice.&nbsp;</span></p> <p><span class="cls0">A. Unless exempt pursuant to Section 1872 of this title, any person wishing to practice alcohol and drug counseling in this state shall obtain a certificate or license to practice pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act.&nbsp;</span></p> <p><span class="cls0">B. An application for a certificate or license to practice as a certified or licensed alcohol and drug counselor shall be made to the Oklahoma Board of Licensed Alcohol and Drug Counselors in writing. Such application shall be on a form and in a manner prescribed by the Board. The application shall be accompanied by the fee required by the Licensed Alcohol and Drug Counselors Act, which shall be retained by the Board and not returned to the applicant.&nbsp;</span></p> <p><span class="cls0">C. Each applicant for a certificate or license to practice as a certified or licensed alcohol and drug counselor shall:&nbsp;</span></p> <p><span class="cls0">1. Be possessed of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Pass an examination based on standards established by the International Certification and Reciprocity Consortium, any successor organization to the International Certification and Reciprocity Consortium or another national or international organization recognized by the Board to have similar standards equal to or higher than the International Certification and Reciprocity Consortium;&nbsp;</span></p> <p><span class="cls0">3. Be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">4. Not have engaged in, nor be engaged in, any practice or conduct which would be grounds for denying, revoking or suspending a license pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act; and&nbsp;</span></p> <p><span class="cls0">5. Otherwise comply with the rules promulgated by the Board pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act.&nbsp;</span></p> <p><span class="cls0">D. In addition to the qualifications specified by the provisions of subsection C of this section, an applicant for a license to practice as a licensed alcohol and drug counselor shall:&nbsp;</span></p> <p><span class="cls0">1. Have at least a master's degree in alcohol and substance abuse counseling or other clinical counseling field recognized by the Oklahoma Board of Licensed Alcohol and Drug Counselors that includes, at a minimum, the following knowledge areas and graduate credit hours from a college or university accredited by an agency recognized by the United States Department of Education:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;three courses in foundational knowledge, including one course in alcohol and drug addiction, one course in drug and alcohol counseling theory, and one course in the pharmacology of drugs and abuse,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;three courses in assessment and treatment of behavioral health problems, which may include group dynamics, individual and family counseling skills, specific counseling approaches, assessment methods, community resources and referral, or other courses primarily related to the assessment and treatment of behavioral health problems,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;one course in human development,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;one course in psychopathology,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;one course in multicultural and cultural competency issues,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;one course in family systems theory,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;one course in addiction in the family theory,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;one course in addiction in the family counseling,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;one course in ethics, which includes established ethical conduct for alcohol and drug counselors,&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;one course in research methods, and&nbsp;</span></p> <p class="cls2"><span class="cls0">k.&nbsp;&nbsp;one three-hour practicum/internship in the field of drug and alcohol counseling of at least three hundred (300) clock hours.&nbsp;</span></p> <p><span class="cls0">All courses shall be graduate level courses and shall be three (3) semester hours or four (4) quarter credit hours which shall include a minimum of forty-five (45) class hours for each course;&nbsp;</span></p> <p><span class="cls0">2. Have successfully completed at least one (1) year of full-time supervised work experience providing behavioral health services. For the purpose of the Licensed Alcohol and Drug Counselors Act, one (1) year of full-time work experience shall mean two thousand (2,000) hours of work experience, of which at least one thousand (1,000) hours shall consist of direct client contact; or&nbsp;</span></p> <p><span class="cls0">3. Be a licensed mental health professional as defined in Section 1-103 of Title 43A of the Oklahoma Statutes and have completed a minimum of fifteen (15) hours in master's level substance abuse specific coursework, including, but not limited to, chemical addiction, counseling, alcohol/drug counseling theory, pharmacology of drugs and abuse, assessment and treatment of alcohol and drug problems, theories in family addiction, and/or family addiction counseling.&nbsp;</span></p> <p><span class="cls0">E. The scope of practice of a licensed alcohol and drug counselor who meets the educational requirements set forth in paragraph 1 of subsection D of this section may include the assessment, diagnosis, and treatment of mental health disorders. Licensees who have been determined by the Board to meet these requirements shall have the designation "licensed alcohol and drug counselor/mental health" or "LADC/MH" noted on their license and wallet card.&nbsp;</span></p> <p><span class="cls0">F. The scope of practice of a licensed alcohol and drug counselor who made application for license or who was licensed prior to the effective date of the educational requirements set forth in paragraph 1 of subsection D of this section shall not include the assessment, diagnosis, and treatment of mental health disorders unless:&nbsp;</span></p> <p><span class="cls0">1. The licensed alcohol and drug counselor holds a master's degree that meets the educational requirements for licensure in the following behavioral health professions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;licensed professional counselor as defined in Section 1902 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed clinical social worker as defined in Section 1250.1 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;licensed marital and family therapist as defined in Section 1925.2 of Title 59 of the Oklahoma Statutes, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;licensed behavioral practitioner as defined in Section 1931 of Title 59 of the Oklahoma Statutes; or&nbsp;</span></p> <p><span class="cls0">2. The licensed alcohol and drug counselor holds a valid Co-Occurring Disorders Certification based on standards established by the International Certification and Reciprocity Consortium, any successor organization to the International Certification and Reciprocity Consortium, or any other national or international organization recognized by the Board to have similar standards equal to or higher than the International Certification and Reciprocity Consortium.&nbsp;</span></p> <p><span class="cls0">G. In addition to the qualifications specified in subsection C of this section, each applicant for a certificate to practice as a certified alcohol and drug counselor shall have:&nbsp;</span></p> <p><span class="cls0">1. At a minimum, a bachelor's degree in a behavioral science field that is recognized by the Oklahoma Board of Licensed Alcohol and Drug Counselors as appropriate to practice as a certified drug and alcohol counselor in this state;&nbsp;</span></p> <p><span class="cls0">2. Successfully completed at least two (2) years of full-time supervised work experience. For the purpose of the Licensed Alcohol and Drug Counselors Act, "two years of full-time work experience" shall be defined as four thousand (4,000) hours of work experience of which at least two thousand (2,000) hours shall consist of providing alcohol and drug counseling services to an individual and/or the individual's family;&nbsp;</span></p> <p><span class="cls0">3. Successfully completed at least two hundred seventy (270) clock hours of education related to alcohol and drug counseling subjects, theory, practice or research;&nbsp;</span></p> <p><span class="cls0">4. Successfully completed, as part of or in addition to the education requirements established in paragraph 3 of this subsection, a minimum of forty-five (45) clock hours of specialized training approved by the Board in identifying co-occurring disorders and making appropriate referrals for treatment of co-occurring disorders; and&nbsp;</span></p> <p><span class="cls0">5. Successfully completed at least three hundred (300) hours of supervised practicum experience in the field of drug and alcohol counseling.&nbsp;</span></p> <p><span class="cls0">H. Any licensed or certified alcohol and drug counselor wishing to be certified for co-occurring disorders in this state may obtain such certification pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act.&nbsp;</span></p> <p><span class="cls0">I. An application by a licensed or certified alcohol and drug counselor for certification for co-occurring disorders shall be made to the Oklahoma Board of Licensed Alcohol and Drug Counselors in writing. Such application shall be on a form and in a manner prescribed by the Board. The application shall be accompanied by the fee required by Section 1884 of this title, which shall be retained by the Board and not returned to the applicant.&nbsp;</span></p> <p><span class="cls0">J. Each applicant for certification for co-occurring disorders shall:&nbsp;</span></p> <p><span class="cls0">1. Be possessed of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Be a licensed or certified alcohol and drug counselor in good standing with the Board;&nbsp;</span></p> <p><span class="cls0">3. Meet the requirements promulgated by the Board to establish the applicant's competency to include treatment of co-occurring disorders within his or her scope of practice;&nbsp;</span></p> <p><span class="cls0">4. Be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">5. Not have engaged in, nor be engaged in, any practice or conduct which would be grounds for denying, revoking or suspending a license pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act; and&nbsp;</span></p> <p><span class="cls0">6. Otherwise comply with the rules promulgated by the Board pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 7, emerg. eff. May 19, 2004. Amended by Laws 2005, c. 110, &sect; 8, eff. Nov. 1, 2005; Laws 2007, c. 174, &sect; 3, eff. Nov. 1, 2007; Laws 2008, c. 400, &sect; 3, eff. Nov. 1, 2008; Laws 2009, c. 220, &sect; 1, eff. Nov. 1, 2009; Laws 2012, c. 87, &sect; 2, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1877. Alcohol and drug counselor license &ndash; Examination.&nbsp;</span></p> <p><span class="cls0">A. 1. On and after January 1, 2005, before any person is eligible to receive a license to practice as a certified or licensed alcohol and drug counselor in this state, such person shall successfully pass an examination pursuant to the provisions of this section.&nbsp;</span></p> <p><span class="cls0">2. Examinations shall be held at such times, at such place and in such manner as the Oklahoma Board of Licensed Alcohol and Drug Counselors directs. An examination shall be held at least annually. The Board shall determine the acceptable grade on examinations. The examination shall cover such technical, professional and practical subjects as relate to the practice of alcohol and drug counseling.&nbsp;</span></p> <p><span class="cls0">3. If an applicant fails to pass the examination, the applicant may reapply.&nbsp;</span></p> <p><span class="cls0">B. The Board shall preserve the answers to any examination, and the applicant&rsquo;s performance on each section of the examination, as part of the records of the Board for a period of two (2) years following the date of the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 8, emerg. eff. May 19, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1878. Alcohol and drug counselor license &ndash; Term &ndash; Fees &ndash; Renewal &ndash; Reapplication after expiration &ndash; Retirement.&nbsp;</span></p> <p><span class="cls0">A. An applicant who meets the requirements for certification or licensure pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act, pays the required certification or license fees, and otherwise complies with the provisions of the Licensed Alcohol and Drug Counselors Act shall be certified or licensed by the Oklahoma Board of Licensed Alcohol and Drug Counselors.&nbsp;</span></p> <p><span class="cls0">B. Each initial certificate or license issued pursuant to the Licensed Alcohol and Drug Counselors Act shall expire twelve (12) months from the date of issuance unless sooner revoked.&nbsp;</span></p> <p><span class="cls0">C. 1. A certificate or license may be renewed annually upon application and payment of fees. The application for renewal shall be accompanied by evidence satisfactory to the Board that the applicant has satisfied relevant professional or continuing education requirements during the previous twelve (12) months.&nbsp;</span></p> <p><span class="cls0">2. Failure to renew a certificate or license shall result in forfeiture of the rights and privileges granted by the certificate or license.&nbsp;</span></p> <p><span class="cls0">D. A person whose certificate or license has expired may make application to the Board, in writing, within one (1) year following the expiration date of the certificate or license requesting reinstatement in a manner prescribed by the Board and upon payment of the fees required by the provisions of the Licensed Alcohol and Drug Counselors Act. The certificate or license of a person whose certificate or license has been expired for more than one (1) year shall not be reinstated. A person may reapply for a new certificate or license as provided in Section 7 of this act.&nbsp;</span></p> <p><span class="cls0">E. A certified or licensed alcohol and drug counselor whose certificate or license is current and in good standing and who wishes to retire the certificate or license may do so by informing the Board in writing and returning the certificate or license to the Board. A certificate or license so retired shall not be reinstated, but such retirement shall not prevent a person from applying for a new certificate or license at a future date.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 9, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1879. Disclosure of information received as alcohol and drug counselor.&nbsp;</span></p> <p><span class="cls0">No person certified or licensed pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act shall knowingly and willfully disclose any information that the holder of the certificate or license may have acquired from persons consulting the licensee in his or her professional capacity as an alcohol and drug counselor or be compelled to disclose such information except as provided by rules promulgated by the Oklahoma Board of Licensed Alcohol and Drug Counselors. Such rules shall comply with state and federal law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 10, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1880. Acting as alcohol and drug counselor and use of title without license &ndash; Exemptions &ndash; Penalty.&nbsp;</span></p> <p><span class="cls0">A. It shall be unlawful for any person who is not certified or licensed or specifically exempt from the provisions of Section 3 of the Licensed Alcohol and Drug Counselors Act to:&nbsp;</span></p> <p><span class="cls0">1. Represent himself or herself by the title &ldquo;licensed alcohol and drug counselor&rdquo; or &ldquo;certified alcohol and drug counselor&rdquo; without having first complied with the provisions of the Licensed Alcohol and Drug Counselors Act;&nbsp;</span></p> <p><span class="cls0">2. Use the title of licensed alcohol and drug counselor, certified alcohol and drug counselor, or any other name, style or description denoting that the person is certified or licensed as a certified or licensed alcohol and drug counselor;&nbsp;</span></p> <p><span class="cls0">3. Practice alcohol and drug counseling; or&nbsp;</span></p> <p><span class="cls0">4. Advertise or otherwise offer to perform alcohol- or drug-abuse-related counseling services.&nbsp;</span></p> <p><span class="cls0">B. The provisions of subsection A of this section shall not apply to persons who are exempt pursuant to the provisions of Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">C. Any person violating the provisions of subsection A of this section shall, upon conviction thereof, be guilty of a misdemeanor punishable by a fine of not less than One Hundred Dollars ($100.00) nor more than Five Hundred Dollars ($500.00) for each offense, imprisonment for a term not to exceed six (6) months in the county jail, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">D. Nothing in this section shall be construed as making unlawful the practice of other professionals acting within the scopes of their licenses or employment as provided by Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 11, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1881. Denial, revocation, suspension, or probation of alcohol and drug counselor license - Other discipline - Misconduct of licensee.&nbsp;</span></p> <p><span class="cls0">A. The Oklahoma Board of Licensed Alcohol and Drug Counselors may deny, revoke, suspend, place on probation or otherwise sanction the holder of or candidate for any certificate or license issued pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act to a certified or licensed alcohol and drug counselor, or withdraw its acceptance of a licensed or certified alcohol and drug counselor candidate if the person has:&nbsp;</span></p> <p><span class="cls0">1. Been convicted of or pleaded guilty or nolo contendere to a felony;&nbsp;</span></p> <p><span class="cls0">2. Been convicted of or pleaded guilty or nolo contendere to a misdemeanor determined to be of such a nature as to render the person convicted unfit to practice alcohol and drug counseling;&nbsp;</span></p> <p><span class="cls0">3. Been found by the Board to have a substance abuse or co-occurring disorder and not be in recovery or to have relapsed from recovery;&nbsp;</span></p> <p><span class="cls0">4. Engaged in fraud or deceit in connection with services rendered or in establishing needed qualifications pursuant to the provisions of the Licensed Alcohol and Drug counselors Act;&nbsp;</span></p> <p><span class="cls0">5. Knowingly aided or abetted a person not certified or licensed pursuant to these provisions in representing himself or herself as a certified or licensed alcohol and drug counselor in this state;&nbsp;</span></p> <p><span class="cls0">6. Engaged in unprofessional conduct as defined by rules promulgated by the Board;&nbsp;</span></p> <p><span class="cls0">7. Engaged in negligence or wrongful actions in the performance of his or her duties; or&nbsp;</span></p> <p><span class="cls0">8. Misrepresented any information required in obtaining a certificate or license.&nbsp;</span></p> <p><span class="cls0">B. No certificate or license shall be suspended or revoked, nor shall a certified or licensed alcohol and drug counselor be placed on probation or subjected to an administrative penalty until notice is served upon the certified or licensed alcohol and drug counselor and an opportunity for a hearing is provided in conformity with Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. In addition to the notice provided for in subsection B of this section, notice shall also be served on the licensing board for any other license held by the certified or licensed alcohol and drug counselor.&nbsp;</span></p> <p><span class="cls0">D. 1. Any person who is determined by the Board to have violated any provision of the Licensed Alcohol and Drug Counselors Act, or any rule promulgated or order issued pursuant thereto, may be subject to an administrative penalty.&nbsp;</span></p> <p><span class="cls0">2. The maximum administrative penalty shall not exceed Ten Thousand Dollars ($10,000.00).&nbsp;</span></p> <p><span class="cls0">3. Administrative penalties imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">4. All administrative penalties collected shall be deposited into the Licensed Alcohol and Drug Counselors Revolving Fund, created by Section 1883 of this title.&nbsp;</span></p> <p><span class="cls0">E. The hearings provided for by the Licensed Alcohol and Drug Counselors Act shall be conducted in conformity with, and records made thereof as provided by Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 12, emerg. eff. May 19, 2004. Amended by Laws 2008, c. 400, &sect; 4, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1882. Promulgation of rules and regulations.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Board of Licensed Alcohol and Drug Counselors shall promulgate rules governing any certification or licensure action to be taken pursuant to the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 13, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;59-1883. Licensed Alcohol and Drug Counselors Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Oklahoma Board of Licensed Alcohol and Drug Counselors, to be designated the "Licensed Alcohol and Drug Counselors Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received pursuant to the Licensed Alcohol and Drug Counselors Act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Board to meet expenses necessary for carrying out the purposes of this act. Expenditures from the fund shall be approved by the Board and shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 14, emerg. eff. May 19, 2004. Amended by Laws 2012, c. 304, &sect; 287. &nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1884. Fees for certification, licensure, annual renewal of license as certified or licensed alcohol and drug counselor - Administration fees and revolving fund.&nbsp;</span></p> <p><span class="cls0">A. The fee for certification, licensure or annual renewal of a certificate or license as a certified or licensed alcohol and drug counselor, certification to provide treatment for co-occurring disorders, approval as a supervisor or for other actions reasonable and necessary to the proper administration of the provisions of the Licensed Alcohol and Drug Counselors Act shall be fixed by the Oklahoma Board of Licensed Alcohol and Drug Counselors.&nbsp;</span></p> <p><span class="cls0">B. The Board shall fix the amount of the fees so that the total fees collected will be sufficient to meet the expenses of administering the provisions of the Licensed Alcohol and Drug Counselors Act and so that there are no unnecessary surpluses in the Licensed Alcohol and Drug Counselors Revolving Fund; provided, the Board shall not fix the certification or licensure fee at an amount in excess of Three Hundred Dollars ($300.00), or the annual renewal fee at an amount in excess of Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">C. 1. The fee for the issuance of a certificate or license to replace a lost, destroyed or mutilated certificate or license shall be Twenty-five Dollars ($25.00).&nbsp;</span></p> <p><span class="cls0">2. The fee shall accompany the application for a replacement license.&nbsp;</span></p> <p><span class="cls0">D. The fee for the application and examination required pursuant to the provisions of the Licensed Alcohol and Drug Counselors Act shall not exceed Five Hundred Dollars ($500.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 15, emerg. eff. May 19, 2004. Amended by Laws 2008, c. 400, &sect; 5, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1885. Reimbursement under health insurance or nonprofit hospital or medical service plan.&nbsp;</span></p> <p><span class="cls0">Nothing in the Licensed Alcohol and Drug Counselors Act shall be construed to require reimbursement under a health insurance or nonprofit hospital or medical service plan unless a contract specifically provides for reimbursement to certified or licensed alcohol and drug counselors.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 313, &sect; 16, emerg. eff. May 19, 2004.&nbsp;</span></p> <p><span class="cls0">&sect;591901. Short title.&nbsp;</span></p> <p><span class="cls0">Chapter 44 of this title shall be known and may be cited as the "Licensed Professional Counselors Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 1, eff. Sept. 1, 1985. Amended by Laws 1998, c. 295, &sect; 1, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1902. Definitions.&nbsp;</span></p> <p><span class="cls0">For the purpose of the Licensed Professional Counselors Act:&nbsp;</span></p> <p><span class="cls0">1. "Licensed professional counselor" or "LPC" means any person who offers professional counseling services for compensation to any person and is licensed pursuant to the provisions of the Licensed Professional Counselors Act. The term shall not include those professions exempted by Section 1903 of this title;&nbsp;</span></p> <p><span class="cls0">2. "Board" means the State Board of Behavioral Health Licensure;&nbsp;</span></p> <p><span class="cls0">3. "Counseling" means the application of mental health and developmental principles in order to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;facilitate human development and adjustment throughout the life span,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;prevent, diagnose or treat mental, emotional or behavioral disorders or associated distress which interfere with mental health,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;conduct assessments or diagnoses for the purpose of establishing treatment goals and objectives, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;plan, implement or evaluate treatment plans using counseling treatment interventions;&nbsp;</span></p> <p><span class="cls0">4. "Counseling treatment interventions" means the application of cognitive, affective, behavioral and systemic counseling strategies which include principles of development, wellness, and pathology that reflect a pluralistic society. Such interventions are specifically implemented in the context of a professional counseling relationship;&nbsp;</span></p> <p><span class="cls0">5. "Consulting" means interpreting or reporting scientific fact or theory in counseling to provide assistance in solving current or potential problems of individuals, groups or organizations;&nbsp;</span></p> <p><span class="cls0">6. "Referral activities" means the evaluating of data to identify problems and to determine the advisability of referral to other specialists;&nbsp;</span></p> <p><span class="cls0">7. "Research activities" means reporting, designing, conducting or consulting on research in counseling;&nbsp;</span></p> <p><span class="cls0">8. "Specialty" means the designation of a subarea of counseling practice that is recognized by a national certification agency or by the Board;&nbsp;</span></p> <p><span class="cls0">9. "Supervisor" means a person who meets the requirements established by the Board and who is licensed pursuant to the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">10. "Licensed professional counselor candidate" means a person whose application for licensure has been accepted and who is under supervision for licensure as provided in Section 1906 of this title; and&nbsp;</span></p> <p><span class="cls0">11. "Executive Director" means the Executive Director of the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 2, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 1, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 2, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1903. Construction and application of act - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. The Licensed Professional Counselors Act shall not be construed to include the pursuits of the following professionals acting within the scope of their duties as such professionals, nor shall the title "Licensed Professional Counselor" or "LPC" be used by such professionals:&nbsp;</span></p> <p><span class="cls0">1. Physicians, psychologists, social workers, marital and family therapists and attorneys, who are licensed by their respective licensing authorities;&nbsp;</span></p> <p><span class="cls0">2. Rehabilitation counselors, vocational evaluation specialists, psychiatric and mental health nurses, alcohol and drug counselors, school administrators, school teachers and school counselors, who are certified by their respective certifying authorities;&nbsp;</span></p> <p><span class="cls0">3. Persons in the employ of accredited institutions of higher education, or in the employ of local, state or federal government; and&nbsp;</span></p> <p><span class="cls0">4. Members of clergy.&nbsp;</span></p> <p><span class="cls0">B. The Licensed Professional Counselors Act shall not be construed to allow the practice of any of the professions specified in subsection A of this section by a licensed professional counselor unless said licensed professional counselor is also licensed or accredited by an appropriate agency, institution or board.&nbsp;</span></p> <p><span class="cls0">C. The activities and services of a person in the employ of a private, nonprofit behavioral services provider contracting with the state to provide behavioral services with the state shall be exempt from licensure as a Licensed Professional Counselor if such activities and services are a part of the official duties of such person with the private nonprofit agency.&nbsp;</span></p> <p><span class="cls0">1. Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;psychologist, psychology or psychological,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;psychoanalyst, or&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;marital and family therapist.&nbsp;</span></p> <p><span class="cls0">2. Such exemption to the provisions of this section shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the nonprofit agency contracting with the state. Such exemption will not be applicable to any other setting.&nbsp;</span></p> <p><span class="cls0">3. State agencies contracting to provide behavioral health services will strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly. The persons exempt under the provisions of this section shall provide services that are consistent with their training and experience. Agencies will also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public.&nbsp;</span></p> <p><span class="cls0">D. The activities and services of a person in the employ of a private, for-profit behavioral services provider contracting with the state to provide behavioral services to youth and families in the care and custody of the Office of Juvenile Affairs or the Department of Human Services on March 14, 1997, shall be exempt from licensure as a Licensed Professional Counselor if such activities and services are a part of the official duties of such person with the private for-profit contracting agency.&nbsp;</span></p> <p><span class="cls0">1. Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;psychologist, psychology or psychological,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;psychoanalyst, or&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;marital and family therapist.&nbsp;</span></p> <p><span class="cls0">2. Such exemption to the provisions of this section shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the for-profit agency contracting with the state. Such exemption shall only be available for ongoing contracts and contract renewals with the same state agency and will not be applicable to any other setting.&nbsp;</span></p> <p><span class="cls0">3. State agencies contracting to provide behavioral health services will strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly. The persons exempt under the provisions of this section shall provide services that are consistent with their training and experience. Agencies will also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 3, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 2, eff. Nov. 1, 1995; Laws 1998, c. 153, &sect; 3, emerg. eff. April 27, 1998; Laws 1998, c. 295, &sect; 3, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1904. Repealed by Laws 2013, c. 229, &sect; 99, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1905. Duties and responsibilities of State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure shall:&nbsp;</span></p> <p><span class="cls0">1. Prescribe, adopt and promulgate rules to implement and enforce the provisions of the Licensed Professional Counselors Act, including the adoption of the State Department of Health rules by reference;&nbsp;</span></p> <p><span class="cls0">2. Adopt and establish rules of professional conduct; and&nbsp;</span></p> <p><span class="cls0">3. Set license and examination fees as required by the Licensed Professional Counselors Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the authority to:&nbsp;</span></p> <p><span class="cls0">1. Seek injunctive relief;&nbsp;</span></p> <p><span class="cls0">2. Request the district attorney to bring an action to enforce the provisions of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">3. Receive fees and deposit said fees into the Licensed Professional Counselors Revolving Fund as required by the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">4. Issue, renew, revoke, deny, suspend and place on probation licenses to practice professional counseling pursuant to the provisions of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">5. Examine all qualified applicants for licenses to practice professional counseling;&nbsp;</span></p> <p><span class="cls0">6. Request assistance from the State Board of Medical Licensure and Supervision for the purposes of investigating complaints and possible violations of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">7. Accept grants and gifts from various foundations and institutions; and&nbsp;</span></p> <p><span class="cls0">8. Make such expenditures and employ such personnel as the Executive Director may deem necessary for the administration of the Licensed Professional Counselors Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 5, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 4, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 5, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1906. License - Application - Form and manner - Fee - Qualifications.&nbsp;</span></p> <p><span class="cls0">A. Applications for a license to practice as a licensed professional counselor shall be made to the State Board of Behavioral Health Licensure in writing. Such applications shall be on a form and in a manner prescribed by the Board. The application shall be accompanied by the fee required by the Licensed Professional Counselors Act, which shall be retained by the Board and not returned to the applicant.&nbsp;</span></p> <p><span class="cls0">B. Each applicant for a license to practice as a licensed professional counselor shall:&nbsp;</span></p> <p><span class="cls0">1. Be possessed of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Pass an examination based on standards promulgated by the Board pursuant to the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">3. Be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">4. Not have engaged in, nor be engaged in, any practice or conduct which would be grounds for denying, revoking or suspending a license pursuant to this title; and&nbsp;</span></p> <p><span class="cls0">5. Otherwise comply with the rules promulgated by the Board pursuant to the provisions of the Licensed Professional Counselors Act.&nbsp;</span></p> <p><span class="cls0">C. In addition to the qualifications specified by the provisions of subsection B of this section, an applicant for a license to practice as a licensed professional counselor shall have:&nbsp;</span></p> <p><span class="cls0">1. Successfully completed at least sixty (60) graduate semester hours (ninety (90) graduate quarter hours) of counseling-related course work. These sixty (60) hours shall include at least a master's degree in a counseling field. All courses and degrees shall be earned from a regionally accredited college or university. The Board shall define what course work qualifies as "counseling-related" and what degrees/majors qualify as a "counseling field"; and&nbsp;</span></p> <p><span class="cls0">2. Three (3) years of supervised full-time experience in professional counseling subject to the supervision of a licensed professional counselor pursuant to conditions established by the Board. One (1) or two (2) years of experience may be gained at the rate of one (1) year for each thirty (30) graduate semester hours earned beyond the master's degree, provided that such hours are clearly related to the field of counseling and are acceptable to the Board. The applicant shall have no less than one (1) year of supervised full-time experience in counseling.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 6, eff. Sept. 1, 1985. Amended by Laws 1986, c. 92, &sect; 1, emerg. eff. April 3, 1986; Laws 1995, c. 167, &sect; 5, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 6, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 1, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1907. Examinations.&nbsp;</span></p> <p><span class="cls0">A. 1. Examinations shall be held at such times, at such place and in such manner as the State Board of Behavioral Health Licensure directs. An examination shall be held at least annually. The Board shall determine the acceptable grade on examinations. The examination shall cover such technical, professional and practical subjects as relate to the practice of professional counseling.&nbsp;</span></p> <p><span class="cls0">2. If an applicant fails to pass the examinations, the applicant may reapply.&nbsp;</span></p> <p><span class="cls0">B. The Board shall preserve answers to any examination, and the applicant's performance on each section, as part of the records of the Board for a period of two (2) years following the date of the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 7, eff. Sept. 1, 1985. Amended by Laws 1998, c. 295, &sect; 7, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 2, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1908. Issuance of license - Expiration - Renewal - Suspension - Retirement.&nbsp;</span></p> <p><span class="cls0">A. An applicant who meets the requirements for licensure pursuant to the provisions of the Licensed Professional Counselors Act, has paid the required license fees and has otherwise complied with the provisions of the Licensed Professional Counselors Act shall be licensed by the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">B. Each initial license issued pursuant to the Licensed Professional Counselors Act shall expire twenty-four (24) months from the date of issuance unless revoked. A license may be renewed annually upon application and payment of fees. The application for renewal shall be accompanied by evidence satisfactory to the Board that the applicant has completed relevant professional or continued educational experience during the previous twenty-four (24) months. Failure to renew a license shall result in forfeiture of the rights and privileges granted by the license. A person whose license has expired may make application within one (1) year following the expiration in writing to the Board requesting reinstatement in a manner prescribed by the Board and payment of the fees required by the provisions of the Licensed Professional Counselors Act. The license of a person whose license has expired for more than one (1) year shall not be reinstated. A person may reapply for a new license as provided in Section 1906 of this title.&nbsp;</span></p> <p><span class="cls0">C. A licensed professional counselor whose license is current and in good standing, who wishes to retire the license, may do so by informing the Board in writing and returning the license to the Office of Licensed Professional Counselors. A license so retired shall not be reinstated but does not prevent a person from applying for a new license at a future date.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 8, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 6, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 8, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 3, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1909. Licenses by endorsement.&nbsp;</span></p> <p><span class="cls0">The State Board of Behavioral Health Licensure shall have the power to issue a license by endorsement to an applicant licensed in another state to practice as a licensed professional counselor if the Board deems such applicant to have qualifications comparable to those required under the Licensed Professional Counselors Act and if the Board finds the applicant meets the standards, provided by rules, for license by endorsement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 9, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 7, eff. Nov. 1, 1995; Laws 2000, c. 53, &sect; 4, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 10, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591910. Information acquired in professional capacity Disclosure Privileges and immunities Court proceeding.&nbsp;</span></p> <p><span class="cls0">A. No person licensed pursuant to the provisions of the Licensed Professional Counselors Act shall knowingly and willfully disclose any information the licensee may have acquired from persons consulting the licensee in his professional capacity as a professional counselor or be compelled to disclose such information except:&nbsp;</span></p> <p><span class="cls0">1. With the written consent of the client, or in the case of death or disability of the client, the consent of his personal representative or other person authorized to sue or the beneficiary of any insurance policy on his life, health or physical condition;&nbsp;</span></p> <p><span class="cls0">2. If the person is a child under the age of eighteen (18) years and the information acquired by the licensed person indicated that the child was the victim or subject of a crime, the licensed person may be required to testify fully in relation thereto upon an examination, trial or other proceeding in which the commission of such a crime is a subject of inquiry;&nbsp;</span></p> <p><span class="cls0">3. If the client waives the privilege by bringing charges against the licensed person;&nbsp;</span></p> <p><span class="cls0">4. When failure to disclose such information presents a danger to the health of any person; or&nbsp;</span></p> <p><span class="cls0">5. If the licensed professional counselor is a party to a civil, criminal or disciplinary action arising from such therapy, in which case any waiver of the privilege accorded by this section shall be limited to that action.&nbsp;</span></p> <p><span class="cls0">B. No information shall be treated as privileged and there shall be no privileges created by the Licensed Professional Counselors Act as to any information acquired by the person licensed pursuant to the Licensed Professional Counselors Act when such information pertains to criminal acts or violation of any law.&nbsp;</span></p> <p><span class="cls0">C. The Licensed Professional Counselors Act shall not be construed to prohibit any licensed person from testifying in court hearings concerning matters of adoption, child abuse, child neglect, battery or matters pertaining to the welfare of children or from seeking collaboration or consultation with professional colleagues or administrative superiors on behalf of this client.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 10, eff. Sept. 1, 1985. Amended by Laws 1998, c. 295, &sect; 9, eff. Nov. 1, 1998; Laws 2002, c. 100, &sect; 1, emerg. eff. April 19, 2002.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1911. Failure to comply with act - Penalties.&nbsp;</span></p> <p><span class="cls0">A. Any person who:&nbsp;</span></p> <p><span class="cls0">1. Represents himself or herself by the title "Licensed Professional Counselor" or "LPC" without having first complied with the provisions of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">2. Otherwise offers to perform counseling services;&nbsp;</span></p> <p><span class="cls0">3. Uses the title of Licensed Professional Counselor or any other name, style or description denoting that the person is licensed as a licensed professional counselor; or&nbsp;</span></p> <p><span class="cls0">4. Practices counseling,&nbsp;</span></p> <p><span class="cls0">upon conviction thereof, shall be guilty of a misdemeanor and shall be punished by imposition of a fine of not less than One Hundred Dollars ($100.00) nor more than Five Hundred Dollars ($500.00) for each offense and in addition may be imprisoned for a term not to exceed six (6) months in the county jail or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. It shall be unlawful for any person who is not licensed or supervised pursuant to or specifically exempt from the provisions of the Licensed Professional Counselors Act to:&nbsp;</span></p> <p><span class="cls0">1. Advertise or otherwise offer to perform counseling services;&nbsp;</span></p> <p><span class="cls0">2. Use the title of Licensed Professional Counselor or any other name, style or description denoting that the person is licensed as a licensed professional counselor; or&nbsp;</span></p> <p><span class="cls0">3. Practice counseling.&nbsp;</span></p> <p><span class="cls0">Such action shall be subject to injunctive action by the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 11, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 8, eff. Nov. 1, 1995; Laws 2000, c. 53, &sect; 5, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 11, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1912. Denial, revocation, suspension or probation of license &ndash; Administrative hearing for applicant with felony conviction.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure may deny, revoke, suspend or place on probation any license or specialty designation issued pursuant to the provisions of the Licensed Professional Counselors Act to a licensed professional counselor, if the person has:&nbsp;</span></p> <p><span class="cls0">1. Been convicted of a felony;&nbsp;</span></p> <p><span class="cls0">2. Been convicted of a misdemeanor determined to be of such a nature as to render the person convicted unfit to practice counseling;&nbsp;</span></p> <p><span class="cls0">3. Engaged in fraud or deceit in connection with services rendered or in establishing needed qualifications pursuant to the provisions of this act;&nbsp;</span></p> <p><span class="cls0">4. Knowingly aided or abetted a person not licensed pursuant to these provisions in representing himself as a licensed professional counselor in this state;&nbsp;</span></p> <p><span class="cls0">5. Engaged in unprofessional conduct as defined by the rules established by the Board;&nbsp;</span></p> <p><span class="cls0">6. Engaged in negligence or wrongful actions in the performance of his or her duties; or&nbsp;</span></p> <p><span class="cls0">7. Misrepresented any information required in obtaining a license.&nbsp;</span></p> <p><span class="cls0">B. If the Board determines that a felony conviction of an applicant renders the convicted applicant unfit to practice counseling, the Board shall provide notice and opportunity to the applicant, by certified mail at the last-known address, for an administrative hearing to contest such determination before the Board may deny the application. The request shall be made by the applicant within fifteen (15) days of receipt of the notice.&nbsp;</span></p> <p><span class="cls0">C. No license or specialty designation shall be suspended or revoked, nor a licensed professional counselor placed on probation until notice is served upon the licensed professional counselor and a hearing is held in conformity with Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 12, eff. Sept. 1, 1985. Amended by Laws 1998, c. 295, &sect; 10, eff. Nov. 1, 1998; Laws 2009, c. 220, &sect; 2, eff. Nov. 1, 2009; Laws 2013, c. 229, &sect; 12, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1913. Repealed by Laws 1995, c. 167, &sect; 16, eff. Nov. 1, 1995.&nbsp;</span></p> <p><span class="cls0">&sect;59-1913.1. Rules and orders - Penalty.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure shall promulgate rules governing any licensure action to be taken pursuant to the Licensed Professional Counselors Act which shall be consistent with the requirements of notice and hearing under the Administrative Procedures Act. No action shall be taken without prior notice unless the Board determines that there exists a threat to the health and safety of the residents of Oklahoma.&nbsp;</span></p> <p><span class="cls0">B. 1. Any person who is determined by the Board to have violated any provision of the Licensed Professional Counselors Act, or any rule promulgated or order issued pursuant thereto, may be subject to an administrative penalty.&nbsp;</span></p> <p><span class="cls0">2. The maximum administrative penalty shall not exceed Ten Thousand Dollars ($10,000.00).&nbsp;</span></p> <p><span class="cls0">3. Administrative penalties imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">4. All administrative penalties collected shall be deposited into the Licensed Professional Counselors Revolving Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 167, &sect; 9, eff. Nov. 1, 1995. Amended by Laws 1998, c. 295, &sect; 11, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 13, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591914. Application of Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">The hearings provided for by the Licensed Professional Counselors Act shall be conducted in conformity with, and records made thereof as provided by, the provisions of Sections 301 through 325 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 145, &sect; 14, eff. Sept. 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-1915. Repealed by Laws 1995, c. 167, &sect; 16, eff. Nov. 1, 1995.&nbsp;</span></p> <p><span class="cls0">&sect;59-1915.1. Exemption from education requirements.&nbsp;</span></p> <p><span class="cls0">On or before January 1, 2000, any person holding a valid license as a Licensed Professional Counselor shall be exempt from the revised education requirements of Section 1906 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 167, &sect; 10, eff. Nov. 1, 1995. Amended by Laws 1998, c. 295, &sect; 12, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1916. Repealed by Laws 1995, c. 167, &sect; 16, eff. Nov. 1, 1995.&nbsp;</span></p> <p><span class="cls0">&sect;59-1916.1. Statement of Professional Disclosure - Copy to be furnished to client.&nbsp;</span></p> <p><span class="cls0">All licensed professional counselors, except those employed by federal, state, or local governmental agencies, shall, prior to the performance of service, furnish the client with a copy of the Statement of Professional Disclosure as promulgated by rule of the State Board of Behavioral Health Licensure. A current copy shall be on file with the Board at all times.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 167, &sect; 11, eff. Nov. 1, 1995. Amended by Laws 1998, c. 295, &sect; 13, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 14, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1917. Specialty designation.&nbsp;</span></p> <p><span class="cls0">A. A professional specialty designation area may be established by the State Board of Behavioral Health Licensure upon receipt of a petition signed by fifteen qualified persons who are currently licensed as licensed professional counselors, and who meet the recognized minimum standards as established by appropriate nationally recognized certification agencies; provided, if a nationally recognized certification does not exist, the Board may establish minimum standards for specialty designations.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt of credentials from the appropriate certification agency, the Board may grant the licensed professional counselor the appropriate specialty designation. The licensed professional counselor may attain specialty designation through examination. A licensed professional counselor shall not claim or advertise a counseling specialty and shall not incorporate the specialty designation into the professional title of such licensed professional counselor, unless the qualifications and certification requirements of that specialty have been met and have been approved by the Board and the appropriate certification agency.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 17, eff. Sept. 1, 1985. Amended by Laws 1995, c. 167, &sect; 12, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 14, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 6, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 15, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1918. Licensed Professional Counselors Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the State Board of Behavioral Health Licensure, to be designated the "Licensed Professional Counselors Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received pursuant to this act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Executive Director to meet expenses necessary for carrying out the purpose of the Licensed Professional Counselors Act. Expenditures from said fund shall be approved by the Board and shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 18, eff. Sept. 1, 1985. Amended by Laws 2012, c. 304, &sect; 288; Laws 2013, c. 229, &sect; 16, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1919. License fee and annual renewal fee - Fixing amount.&nbsp;</span></p> <p><span class="cls0">A. The licensing fee and the annual renewal fee shall be amounts fixed by the State Board of Behavioral Health Licensure upon recommendations of the Oklahoma Licensed Professional Counselors Advisory Board.&nbsp;</span></p> <p><span class="cls0">B. The Board shall fix the amount of the fees so that the total fees collected will be sufficient to meet the expenses of administering the provisions of the Licensed Professional Counselors Act and so that there are no unnecessary surpluses in the Licensed Professional Counselors Revolving Fund.&nbsp;</span></p> <p><span class="cls0">C. The Board shall not fix a license fee at an amount in excess of Three Hundred Dollars ($300.00) and a renewal fee at an amount in excess of Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">D. 1. The fee for the issuance of a license to replace a license which was lost, destroyed or mutilated shall be Twenty-five Dollars ($25.00).&nbsp;</span></p> <p><span class="cls0">2. The fee shall accompany the application for a replacement license.&nbsp;</span></p> <p><span class="cls0">3. The fee for specialty designation shall not exceed One Hundred Fifty Dollars ($150.00).&nbsp;</span></p> <p><span class="cls0">4. The fee for an examination required pursuant to the Licensed Professional Counselors Act shall not exceed the Board's actual costs for holding and grading the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1985, c. 145, &sect; 19, eff. Sept. 1, 1985. Amended by Laws 1998, c. 295, &sect; 15, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 7, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 17, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591920. Reimbursement under health insurance and nonprofit hospital or medical service plan not required.&nbsp;</span></p> <p><span class="cls0">Nothing in this act shall be construed to require reimbursement under the policies of health insurers and nonprofit hospital or medical service plans unless the contract specifically calls for reimbursement to licensed professional counselors.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1985, c. 145, &sect; 20, eff. Sept. 1, 1985. &nbsp;</span></p> <p><span class="cls0">&sect;59-1925.1. Short title.&nbsp;</span></p> <p><span class="cls0">Chapter 44A of this title shall be known and may be cited as the "Marital and Family Therapist Licensure Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 1, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 16, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.2. Definitions.&nbsp;</span></p> <p><span class="cls0">For purposes of the Marital and Family Therapist Licensure Act:&nbsp;</span></p> <p><span class="cls0">1. "Advertise" means, but is not limited to, the issuing or causing to be distributed any card, sign, or device to any person; or the causing, permitting or allowing any sign or marking on or in any building or structure, or in any newspaper or magazine or in any directory, or on radio or television, or by advertising by any other means designed to secure public attention;&nbsp;</span></p> <p><span class="cls0">2. "Board" means the State Board of Behavioral Health Licensure;&nbsp;</span></p> <p><span class="cls0">3. "Licensed marital and family therapist" means a person holding a current license issued pursuant to the provisions of the Marital and Family Therapist Licensure Act;&nbsp;</span></p> <p><span class="cls0">4. "Marital and family therapy" means the assessment, diagnosis and treatment of disorders, whether cognitive, affective, or behavioral, within the context of marital and family systems. Marital and family therapy involves the professional application of family systems theories and techniques in the delivery of services to individuals, marital pairs, and families for the purpose of treating such disorders;&nbsp;</span></p> <p><span class="cls0">5. "Person" means any individual, firm, corporation, partnership, organization or body politic;&nbsp;</span></p> <p><span class="cls0">6. "Practice of marital and family therapy" means the rendering of professional marital and family therapy services to individuals, family groups and marital pairs, singly or in groups, whether such services are offered directly to the general public or through organizations either public or private, for a fee, monetary or otherwise;&nbsp;</span></p> <p><span class="cls0">7. "Recognized educational institution" means a regionally accredited college or university recognized by the United States Department of Education;&nbsp;</span></p> <p><span class="cls0">8. "Use a title or description of" means to hold oneself out to the public as having a particular status by means of stating on signs, mailboxes, address plates, stationery, announcements, calling cards or other instruments of professional identification;&nbsp;</span></p> <p><span class="cls0">9. "Licensed marital and family therapist candidate" means a person whose application for licensure has been accepted and who is under supervision for licensure as set forth in Section 1925.6 of this title; and&nbsp;</span></p> <p><span class="cls0">10. "Executive Director" means the Executive Director of the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 2, eff. Jan. 1, 1991. Amended by Laws 1995, c. 167, &sect; 13, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 17, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 18, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.3. Application to other professionals - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. The Marital and Family Therapist Licensure Act shall not be construed to apply to the following professionals while acting within the scope of their respective professions:&nbsp;</span></p> <p><span class="cls0">1. Social workers;&nbsp;</span></p> <p><span class="cls0">2. Licensed professional counselors;&nbsp;</span></p> <p><span class="cls0">3. Psychiatric nurses;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;4. Psychologists;&nbsp;</span></p> <p><span class="cls0">5. Physicians;&nbsp;</span></p> <p><span class="cls0">6. Attorneys;&nbsp;</span></p> <p><span class="cls0">7. Members of the clergy who are in good standing with their denominations;&nbsp;</span></p> <p><span class="cls0">8. Christian Science practitioners;&nbsp;</span></p> <p><span class="cls0">9. Certified alcohol-drug counselors;&nbsp;</span></p> <p><span class="cls0">10. School administrators;&nbsp;</span></p> <p><span class="cls0">11. School counselors certified by the State Department of Education; or&nbsp;</span></p> <p><span class="cls0">12. Employees of a recognized academic institution, and employees of a federal, state, county or local governmental institution or agency while performing those duties for which employed by such institution or agency or facility.&nbsp;</span></p> <p><span class="cls0">B. The activities and services of a person in the employ of a private, nonprofit behavioral services provider contracting with the state to provide behavioral services with the state shall be exempt from licensure as a Licensed Marital and Family Therapist if such activities and services are a part of the official duties of such person with the private nonprofit agency. No such person shall use the title or description stating or implying that such person is a licensed marital and family therapist.&nbsp;</span></p> <p><span class="cls0">1. Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;psychologist, psychology or psychological,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;psychoanalyst, or&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;marital and family therapist.&nbsp;</span></p> <p><span class="cls0">2. Such exemption to the provisions of this section shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the nonprofit agency contracting with the state. Such exemption will not be applicable to any other setting.&nbsp;</span></p> <p><span class="cls0">3. State agencies contracting to provide behavioral health services will strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly. The persons exempt under the provisions of this section shall provide services that are consistent with their training and experience. Agencies will also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public.&nbsp;</span></p> <p><span class="cls0">C. The activities and services of a person in the employ of a private, for-profit behavioral services provider contracting with the state to provide behavioral services to youth and families in the care and custody of the Office of Juvenile Affairs or the Department of Human Services on March 14, 1997, shall be exempt from licensure as a Licensed Marital and Family Therapist if such activities and services are a part of the official duties of such person with the private for-profit contracting agency.&nbsp;</span></p> <p><span class="cls0">1. Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;psychologist, psychology or psychological,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;psychoanalyst, or&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;marital and family therapist.&nbsp;</span></p> <p><span class="cls0">2. Such exemption to the provisions of this section shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the for-profit agency contracting with the state. Such exemption shall only be available for ongoing contracts and contract renewals with the same state agency and will not be applicable to any other setting.&nbsp;</span></p> <p><span class="cls0">3. State agencies contracting to provide behavioral health services will strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly. The persons exempt under the provisions of this section shall provide services that are consistent with their training and experience. Agencies will also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 3, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 18, eff. Nov. 1, 1998.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.4. Repealed by Laws 2013, c. 229, &sect; 99, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1925.5. Duties of State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure shall:&nbsp;</span></p> <p><span class="cls0">1. Prescribe, adopt and promulgate rules to implement and enforce the provisions of the Marital and Family Therapist Licensure Act;&nbsp;</span></p> <p><span class="cls0">2. Set license and examination fees as required by the Marital and Family Therapist Licensure Act, including the adoption of the State Department of Health rules by reference; and&nbsp;</span></p> <p><span class="cls0">3. Adopt and establish rules of professional conduct.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the authority to:&nbsp;</span></p> <p><span class="cls0">1. Seek injunctive relief;&nbsp;</span></p> <p><span class="cls0">2. Receive fees and deposit said fees into the Licensed Marital and Family Therapist Revolving Fund as required by the Marital and Family Therapist Licensure Act;&nbsp;</span></p> <p><span class="cls0">3. Issue, renew, revoke, deny, suspend and place on probation licenses to practice marital and family therapy pursuant to the provisions of the Marital and Family Therapist Licensure Act;&nbsp;</span></p> <p><span class="cls0">4. Examine all qualified applicants for licenses to practice marital and family therapy;&nbsp;</span></p> <p><span class="cls0">5. Accept grants and gifts from various foundations and institutions;&nbsp;</span></p> <p><span class="cls0">6. Make such expenditures and employ such personnel as the Commissioner may deem necessary for the administration of the Marital and Family Therapist Licensure Act;&nbsp;</span></p> <p><span class="cls0">7. Request the district attorney to bring an action to enforce the provisions of the Marital and Family Therapist Licensure Act; and&nbsp;</span></p> <p><span class="cls0">8. Request assistance from the State Board of Medical Licensure and Supervision for the purposes of investigating complaints and possible violations of the Marital and Family Therapist Licensure Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 5, eff. Jan. 1, 1991. Amended by Laws 1995, c. 167, &sect; 15, eff. Nov. 1, 1995; Laws 1998, c. 295, &sect; 20, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 19, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.6. License - Application - Qualifications - Examinations.&nbsp;</span></p> <p><span class="cls0">A. Applications for a license to practice as a licensed marital and family therapist shall be made to the State Board of Behavioral Health Licensure in writing. Such applications shall be on a form and in a manner prescribed by the Board. The application shall be accompanied by the fee required by Section 1925.18 of this title which shall be retained by the Board and not returned to the applicant.&nbsp;</span></p> <p><span class="cls0">B. Each applicant for a license to practice as a licensed marital and family therapist shall:&nbsp;</span></p> <p><span class="cls0">1. Be possessed of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">3. Not have engaged in, nor be engaged in, any practice or conduct which would be a grounds for revoking, suspending or placing on probation a license under Section 1925.15 of this title; and&nbsp;</span></p> <p><span class="cls0">4. Otherwise comply with the rules and regulations promulgated by the Board pursuant to the provisions of the Marital and Family Therapist Licensure Act.&nbsp;</span></p> <p><span class="cls0">C. In addition to the qualifications specified by the provisions of subsection B of this section any person applying for a license after September 1, 1991, to practice as a licensed marital and family therapist shall have the following educational and experience qualifications:&nbsp;</span></p> <p><span class="cls0">1. A master's degree or a doctoral degree in marital and family therapy, or a content-equivalent degree as defined by the Board;&nbsp;</span></p> <p><span class="cls0">2. Successful completion of two (2) calendar years of work experience in marital and family therapy following receipt of a qualifying degree, under supervision in accordance with standards established by the Board; and&nbsp;</span></p> <p><span class="cls0">3. An applicant applying for a license after September 1, 1991, shall also be required to pass a written or oral examination or both written and oral examination administered by the Board if, at the discretion of the Board, such examination is deemed necessary in order to determine the applicant's qualifications for the practice of marital and family therapy.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 6, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 21, eff. Nov. 1, 1998; Laws 2013, c. 229, &sect; 20, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.7. Examinations.&nbsp;</span></p> <p><span class="cls0">A. Examinations shall be held at such times, at such place and in such manner as the State Board of Behavioral Health Licensure directs. An examination shall be held at least annually. Examinations may be written or oral or both written and oral. In any written examination each applicant shall be designated so that such applicant's name shall not be disclosed to the Board until the examinations have been graded. Examinations shall include questions in such theoretical and applied fields as the Board deems most suitable to test an applicant's knowledge and competence to engage in the practice of marital and family therapy.&nbsp;</span></p> <p><span class="cls0">B. The Board shall determine the acceptable grade on examinations. If an applicant fails to pass the examinations, the applicant may reapply.&nbsp;</span></p> <p><span class="cls0">C. The Board shall preserve answers to any examination, and the applicant's performance on each section, as part of the records of the Board for a period of two (2) years following the date of the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 7, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 22, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 8, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 21, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.8. Issuance of license - Renewal - Reinstatement.&nbsp;</span></p> <p><span class="cls0">A. An applicant who meets the requirements for licensure required by the provisions of the Marital and Family Therapist Licensure Act, has paid the required license fees and has otherwise complied with the provisions of the Marital and Family Therapist Licensure Act, shall be licensed by the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">B. Each initial license issued pursuant to the Marital and Family Therapist Licensure Act shall expire twenty-four (24) months from the date of issuance. A license may be renewed annually upon application and payment of fees. Failure to timely renew a license shall result in expiration of the license and forfeiture of the rights and privileges granted by the license. A person whose license has expired may within one (1) year following the expiration request reinstatement in a manner prescribed by the Board. The license of a person whose license has expired pursuant to this section for more than one (1) year shall not be reinstated.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 8, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 23, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 9, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 22, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.9. Reciprocal licenses.&nbsp;</span></p> <p><span class="cls0">The State Board of Behavioral Health Licensure shall have the power to issue, upon application and payment of fees, a license by endorsement for an applicant licensed in another state to practice as a licensed marital and family therapist if the Board deems such applicant to have qualifications equivalent to or which exceed those required pursuant to the provisions of the Marital and Family Therapist Licensure Act and if the Board finds the applicant meets the standards, provided by rule, for license by endorsement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 9, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 24, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 10, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 23, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.10. Advertisement, self description or practice of marital or family therapy without license.&nbsp;</span></p> <p><span class="cls0">Commencing September 1, 1991, no person who is not licensed under this act shall:&nbsp;</span></p> <p><span class="cls0">1. Advertise the performance of marital and family therapy service by such person unless pursuant to another professional license in accordance with Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">2. Use a title or description such as "licensed marital or family therapist", or any other name, style or description denoting that the person is a licensed marital and family therapist; or&nbsp;</span></p> <p><span class="cls0">3. Practice marital and family therapy except as provided for in subsection B of Section 3 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 10, eff. Jan. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.11. Confidentiality - Exceptions - Professional privilege - Court testimony.&nbsp;</span></p> <p><span class="cls0">A. No person licensed pursuant to the provisions of the Marital and Family Therapist Licensure Act as a marital and family therapist, nor any of his employees or associates, shall be required to disclose any information which he may have acquired in rendering marital and family therapy services, except when:&nbsp;</span></p> <p><span class="cls0">1. Authorized by other state laws;&nbsp;</span></p> <p><span class="cls0">2. Failure to disclose such information presents a clear and present danger to the health or safety of any person;&nbsp;</span></p> <p><span class="cls0">3. The marital and family therapist is a party defendant to a civil, criminal or disciplinary action arising from such therapy in which case any waiver of the privilege accorded by this section shall be limited to that action;&nbsp;</span></p> <p><span class="cls0">4. The patient is a defendant in a criminal proceeding and the use of the privilege would violate the defendant's right to a compulsory process and/or right to present testimony and witnesses in his own behalf; or&nbsp;</span></p> <p><span class="cls0">5. A patient agrees to waiver of the privilege accorded by this section, in the case of death or disability of the patient, the consent of his personal representative or other person authorized to sue or the beneficiary of any insurance policy on his life, health or physical condition. In circumstances where more than one person in a family is receiving therapy, each such family member must agree to the waiver. Absent such a waiver from each family member, a marital and family therapist shall not disclose information received from any family member.&nbsp;</span></p> <p><span class="cls0">B. No information shall be treated as privileged and there shall be no privileges created by the Marital and Family Therapist Licensure Act as to any information acquired by the person licensed pursuant to the Marital and Family Therapist Licensure Act when such information pertains to criminal acts or violation of any law.&nbsp;</span></p> <p><span class="cls0">C. The Marital and Family Therapist Licensure Act shall not be construed to prohibit any licensed person from testifying in court hearings concerning matters of adoption, child abuse, child neglect, battery or matters pertaining to the welfare of children or from seeking collaboration or consultation with professional colleagues or administrative superiors on behalf of his client.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 11, eff. Jan. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.12. Alimony or divorce actions - Custody actions - Testimony by therapist.&nbsp;</span></p> <p><span class="cls0">If both parties to a marriage have obtained marital and family therapy by a licensed marital and family therapist, the therapist shall not be competent to testify in an alimony or divorce action concerning information acquired in the course of the therapeutic relationship unless a party relies on such information as an element of his claim or defense in such an action, or said information is gathered as a result of a courtordered examination. This section shall not apply to custody actions.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 12, eff. Jan. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.13. Repealed by Laws 2000, c. 53, &sect; 24, emerg. eff. April 14, 2000.&nbsp;</span></p> <p><span class="cls0">&sect;59-1925.14. Application of Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">The hearings provided for by the Marital and Family Therapist Licensure Act shall be conducted in conformity with, and records made thereof as provided by, the provisions of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 14. eff. Jan. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.15. Denial, revocation, suspension or probation of license &ndash; Administrative hearing for applicant with felony conviction.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure may deny, revoke, suspend or place on probation any license issued subject to the provisions of the Marital and Family Therapist Licensure Act, if the person has:&nbsp;</span></p> <p><span class="cls0">1. Been convicted of a felony;&nbsp;</span></p> <p><span class="cls0">2. Been convicted of a crime the Board determines after a hearing to be of such a nature as to render the person convicted unfit to practice marital and family therapy;&nbsp;</span></p> <p><span class="cls0">3. Violated ethical standards of such a nature as to render the person found by the Board to have engaged in such violation unfit to practice marital and family therapy;&nbsp;</span></p> <p><span class="cls0">4. Misrepresented any information required in obtaining a license;&nbsp;</span></p> <p><span class="cls0">5. Engaged in fraud or deceit in connection with services rendered or in establishing needed qualifications pursuant to the provisions of the Marital and Family Therapist Licensure Act;&nbsp;</span></p> <p><span class="cls0">6. Knowingly aided or abetted a person not licensed pursuant to these provisions in representing himself or herself as a licensed marital and family therapist in this state;&nbsp;</span></p> <p><span class="cls0">7. Engaged in unprofessional conduct as defined by the rules promulgated by the Board; or&nbsp;</span></p> <p><span class="cls0">8. Engaged in negligence or wrongful actions in the performance of the duties of such person.&nbsp;</span></p> <p><span class="cls0">B. If the Board determines that a felony conviction of an applicant renders the convicted applicant unfit to practice counseling, the Board shall provide notice and opportunity to the applicant, by certified mail at the last-known address, for an administrative hearing to contest such determination before the Board may deny the application. The request shall be made by the applicant within fifteen (15) days of receipt of the notice.&nbsp;</span></p> <p><span class="cls0">C. No license shall be suspended, revoked or placed on probation until notice is served upon the licensed marital and family therapist and a hearing is held in such manner as is required by the Marital and Family Therapist Licensure Act.&nbsp;</span></p> <p><span class="cls0">D. Any person who is determined by the Board to have violated any of the provisions of the Marital and Family Therapist Licensure Act or any rule promulgated or order issued pursuant thereto may be subject to an administrative penalty. The maximum fine shall not exceed Ten Thousand Dollars ($10,000.00). All administrative penalties collected pursuant to the Marital and Family Therapist Licensure Act shall be deposited into the Licensed Marital and Family Therapist Revolving Fund. Administrative penalties imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 15, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 25, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 11, emerg. eff. April 14, 2000; Laws 2009, c. 220, &sect; 3, eff. Nov. 1, 2009; Laws 2013, c. 229, &sect; 24, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.16. False representation as licensed marital and family therapist - Penalty - Injunction.&nbsp;</span></p> <p><span class="cls0">A. Any person who represents himself or herself by the title "licensed marital and family therapist" or any designation representing such person to be a licensed marital and family therapist without having first complied with the provisions of the Marital and Family Therapist Licensure Act, upon conviction thereof, shall be guilty of a misdemeanor and shall be punished by imposition of a fine of not less than One Hundred Dollars ($100.00) nor more than Five Hundred Dollars ($500.00) for each offense and in addition may be imprisoned for a term not to exceed six (6) months in the county jail or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. The Commissioner may also proceed in district court to enjoin and restrain any unlicensed person from violating the Marital and Family Therapist Licensure Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 16, eff. Jan. 1, 1991. Amended by Laws 2000, c. 53, &sect; 12, emerg. eff. April 14, 2000.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1925.17. Licensed Marital and Family Therapist Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the State Board of Behavioral Health Licensure, to be designated the "Licensed Marital and Family Therapist Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received pursuant to the provisions of the Marital and Family Therapist Licensure Act. All monies accruing to the credit of said fund are hereby appropriated and may be budgeted and expended by the Executive Director to meet expenses necessary for carrying out the purpose of the Marital and Family Therapist Licensure Act. Expenditures from said fund shall be approved by the Board and shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 17, eff. Jan. 1, 1991. Amended by Laws 2012, c. 304, &sect; 289; Laws 2013, c. 229, &sect; 25, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1925.18. License fee and annual renewal fee - Fixing by Board.&nbsp;</span></p> <p><span class="cls0">A. The licensing fee and the annual renewal fee shall be amounts fixed by the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board shall fix the amount of the fees so that the total fees collected will be sufficient to meet the expenses of administering the provisions of the Marital and Family Therapist Licensure Act and so that there are no unnecessary surpluses in the Licensed Marital and Family Therapist Revolving Fund.&nbsp;</span></p> <p><span class="cls0">2. The Board shall not fix a license fee at an amount in excess of Three Hundred Dollars ($300.00) and a renewal fee at an amount in excess of Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">3. The fee for the issuance of a license to replace a license which was lost, destroyed or mutilated shall be Twenty-five Dollars ($25.00).&nbsp;</span></p> <p><span class="cls0">4. The fee shall accompany the application for a replacement license.&nbsp;</span></p> <p><span class="cls0">5. The fee for an examination required pursuant to the Marital and Family Therapist Licensure Act shall not exceed the actual costs incurred by the Board for holding and grading the examinations.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1990, c. 166, &sect; 18, eff. Jan. 1, 1991. Amended by Laws 1998, c. 295, &sect; 26, eff. Nov. 1, 1998; Laws 2000, c. 53, &sect; 13, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 26, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1928. Behavior analysts - Definitions - Licensing.&nbsp;</span></p> <p><span class="cls0">A. As used in this act:&nbsp;</span></p> <p class="cls2"><span class="cls0">1. a.&nbsp;&nbsp;&ldquo;Applied behavior analysis&rdquo; means the design, implementation, and evaluation of instructional and environmental modifications to produce socially significant improvements in human behavior through skill, acquisition, and the reduction of problematic behavior. An applied behavior analysis program shall:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;be based on empirical research including the direct observation and measurement of behavior as well as a functional behavior assessment, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;utilize antecedent stimuli, positive reinforcement, and other consequences to produce behavior change.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Applied behavior analysis does not include cognitive therapies or psychological testing, neuropsychology, psychotherapy, sex therapy, psychoanalysis, hypnotherapy, and long-term counseling as treatment modalities;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Board&rdquo; means the nationally accredited Behavior Analyst Certification Board;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Human services professional&rdquo; means an individual licensed or certified by the state as one of the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a licensed physical therapist or physical therapist assistant pursuant to Sections 887.1 through 887.18 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;an occupational therapist, occupational therapy assistant, or occupational therapy aide pursuant to Sections 888.1 through 888.15 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a licensed clinical social worker, licensed masters social worker, or social work associate pursuant to Sections 1250 through 1273 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a psychologist or health service psychologist pursuant to Sections 1351 through 1376 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;a licensed speech pathologist, licensed audiologist, speech-language pathologist or audiologist pursuant to Sections 1601 through 1622 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;a licensed professional counselor or licensed professional counselor candidate pursuant to Sections 1901 through 1920 of Title 59 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;a licensed marital and family therapist or licensed marital and family therapist candidate pursuant to Sections 1925.1 through 1925.18 of Title 59 of the Oklahoma Statutes, or&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;a licensed behavioral practitioner or licensed behavioral practitioner candidate pursuant to Sections 1930 through 1949.1 of Title 59 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Certified assistant behavior analyst&rdquo; means an individual who is certified by the nationally accredited Behavior Analyst Certification Board as a Board-Certified Assistant Behavior Analyst and certified by the Developmental Disabilities Services Division of the Department of Human Services;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Licensed behavior analyst&rdquo; means an individual who is certified by the nationally accredited Behavior Analyst Certification Board as a Board-Certified Behavior Analyst and licensed by the Developmental Disabilities Services Division of the Department; and&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Supervisee&rdquo; means a person who acts under the extended authority of a licensed behavior analyst to provide applied behavior analysis services or a person who is in training to provide such services.&nbsp;</span></p> <p><span class="cls0">B. Each person wishing to practice as a licensed behavior analyst or a certified assistant behavior analyst shall apply to the Developmental Disabilities Services Division of the Department of Human Services using a form and in a manner prescribed by the Division and shall furnish evidence satisfactory to the Division that such person:&nbsp;</span></p> <p><span class="cls0">1. Is of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Is at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">3. Has passed the Board examination and is certified by the Board as a Board-Certified Behavior Analyst or a Board-Certified Assistant Behavior Analyst, as applicable; &nbsp;</span></p> <p><span class="cls0">4. Has not had a professional license or certification refused, revoked, suspended, or restricted and does not have a complaint, allegation, or investigation pending in any regulatory jurisdiction in the United States or in another country for reasons that relate to unprofessional conduct unless the Division finds, to its satisfaction, that the conduct has been corrected or that mitigating circumstances exist that prevent its resolution; and&nbsp;</span></p> <p><span class="cls0">5. Has at least the minimum graduate or undergraduate degree, appropriate for the level of certification, from an accredited institution of higher learning in a qualifying field of study, as determined by the Board.&nbsp;</span></p> <p><span class="cls0">C. A person holding a state license or state certification shall apply for renewal of the state license or state certification on or before April 30 of each odd-numbered year. The application shall be accompanied by a renewal fee to be set by the Division in accordance with paragraph 3 of subsection F of this section.&nbsp;</span></p> <p><span class="cls0">D. A person licensed or certified by the Developmental Disabilities Services Division of the Department under this section shall:&nbsp;</span></p> <p><span class="cls0">1. Maintain active status and fulfill all requirements for renewal of national certification or recertification with the Board; and &nbsp;</span></p> <p><span class="cls0">2. Conduct professional activities in accordance with accepted standards such as the Guidelines for Responsible Conduct and Professional Disciplinary Standards of the Board.&nbsp;</span></p> <p><span class="cls0">E. 1. No person shall claim the title of licensed behavior analyst or certified assistant behavior analyst unless that person meets the applicable requirements in this section. No person shall practice applied behavior analysis without obtaining a license or certification in accordance with this section. Supervisees may only provide applied behavior analysis under the supervision of a licensed behavior analyst. This section shall not restrict the practice of applied behavior analysis by human services professionals, provided such individuals are working within the scope of their professions and the practice of applied behavior analysis is commensurate with their level of training and experience.&nbsp;</span></p> <p><span class="cls0">2. A violation of this subsection shall be punishable by a fine of not more than Five Hundred Dollars ($500.00), the suspension or revocation of a license or certification issued pursuant to this section, or both such fine and loss of licensure or certification.&nbsp;</span></p> <p><span class="cls0">F. The Division shall:&nbsp;</span></p> <p><span class="cls0">1. Investigate all complaints relating to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the practice or supervision of applied behavior analysis by any person licensed by the Developmental Disabilities Services Division of the Department as a behavior analyst or certified by the Division as an assistant behavior analyst, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;any person alleged to be practicing or providing supervision without a state license or state certification;&nbsp;</span></p> <p><span class="cls0">2. Refer any substantiated complaints to the Board; and&nbsp;</span></p> <p><span class="cls0">3. Charge reasonable fees for a license or for certification, not to exceed One Hundred Dollars ($100.00).&nbsp;</span></p> <p><span class="cls0">G. 1. A person having a qualifying degree, as provided for in paragraph 5 of subsection B of this section, and participating in the applied behavior analysis treatment pilot project established in Section 3 of this act shall be exempt from the requirements of this section while such person is actively participating in the project.&nbsp;</span></p> <p><span class="cls0">2. Persons employed by a school district in this state who provide services solely to the school district under the Individuals with Disabilities Education Act (IDEA), 20 U.S.C., Section 1400 et seq., shall be exempt from the requirements of this section.&nbsp;</span></p> <p><span class="cls0">H. The Department shall promulgate rules to implement the provisions of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 127, &sect; 1, eff. Nov. 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1930. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be identified as Chapter 44B of Title 59 of the Oklahoma Statutes and shall be known and may be cited as the "Licensed Behavioral Practitioner Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 1, emerg. eff. April 28, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1931. Definitions.&nbsp;</span></p> <p><span class="cls0">For the purpose of the Licensed Behavioral Practitioner Act:&nbsp;</span></p> <p><span class="cls0">1. "Behavioral health services" means the application of the scientific components of psychological and mental health principles in order to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;facilitate human development and adjustment throughout the life span,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;prevent, diagnose, or treat mental, emotional, or behavioral disorders or associated distress which interfere with mental health,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;conduct assessments or diagnoses for the purpose of establishing treatment goals and objectives, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;plan, implement, or evaluate treatment plans using behavioral treatment interventions;&nbsp;</span></p> <p><span class="cls0">2. "Behavioral treatment interventions" means the application of empirically validated treatment modalities, including, but not limited to, operant and classical conditioning techniques, adherence/compliance methods, habit reversal procedures, cognitive behavior therapy, biofeedback procedures and parent training. Such interventions are specifically implemented in the context of a professional therapeutic relationship;&nbsp;</span></p> <p><span class="cls0">3. "Board" means the State Board of Behavioral Health Licensure;&nbsp;</span></p> <p><span class="cls0">4. "Consulting" means interpreting or reporting scientific fact or theory in behavioral health to provide assistance in solving current or potential problems of individuals, groups, or organizations;&nbsp;</span></p> <p><span class="cls0">5. "Licensed behavioral practitioner" or "LBP" means any person who offers professional behavioral health services to any person and is licensed pursuant to the provisions of the Licensed Behavioral Practitioner Act. The term shall not include those professions exempted by Section 1932 of this title;&nbsp;</span></p> <p><span class="cls0">6. "Licensed behavioral practitioner candidate" means a person whose application for licensure has been accepted and who is under supervision for licensure as provided in Section 1935 of this title;&nbsp;</span></p> <p><span class="cls0">7. "Referral activities" means the evaluating of data to identify problems and to determine the advisability of referral to other specialists;&nbsp;</span></p> <p><span class="cls0">8. "Research activities" means reporting, designing, conducting, or consulting on research in behavioral health services;&nbsp;</span></p> <p><span class="cls0">9. "Specialty" means the designation of a subarea of behavioral practice that is recognized by a national certification agency or by the Board;&nbsp;</span></p> <p><span class="cls0">10. "Supervisor" means a person who meets the requirements established by the Board; and&nbsp;</span></p> <p><span class="cls0">11. "Executive Director" means the Executive Director of the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 2, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 14, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 27, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1932. Professions excluded from application of act - Practice of other professions by LBP forbidden - Exemptions from licensure requirements.&nbsp;</span></p> <p><span class="cls0">A. The Licensed Behavioral Practitioner Act shall not be construed to include the pursuits of the following professionals acting within the scope of their duties as such professionals, nor shall the title "Licensed Behavioral Practitioner" or "LBP" be used by such professionals:&nbsp;</span></p> <p><span class="cls0">1. Physicians, psychologists, social workers, licensed professional counselors, marital and family therapists, and attorneys, who are licensed by their respective licensing authorities;&nbsp;</span></p> <p><span class="cls0">2. Rehabilitation counselors, vocational evaluation specialists, psychiatric and mental health nurses, alcohol and drug counselors, school administrators, school teachers, and school counselors, who are certified by their respective certifying authorities;&nbsp;</span></p> <p><span class="cls0">3. Persons in the employ of accredited institutions of higher education, or in the employ of local, state, or federal government; and&nbsp;</span></p> <p><span class="cls0">4. Members of the clergy and lay pastoral counselors.&nbsp;</span></p> <p><span class="cls0">B. The Licensed Behavioral Practitioner Act shall not be construed to allow the practice of any of the professions specified in subsection A of this section by a licensed behavioral practitioner unless the licensed behavioral practitioner is also licensed or accredited by an appropriate agency, institution, or board.&nbsp;</span></p> <p><span class="cls0">C. 1. The activities and services of a person in the employ of a private nonprofit behavioral services provider contracting with the state to provide behavioral services with the state shall be exempt from licensure as a Licensed Behavioral Practitioner if such activities and services are a part of the official duties of such person with the private nonprofit agency.&nbsp;</span></p> <p><span class="cls0">2. Any person who is unlicensed and operating under these exemptions shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;psychologist, psychology, or psychological,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;psychoanalyst,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;marital and family therapist, or&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;licensed behavioral practitioner.&nbsp;</span></p> <p><span class="cls0">3. Such exemption to the provisions of this section shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the nonprofit agency contracting with the state. Such exemption will not be applicable to any other setting.&nbsp;</span></p> <p><span class="cls0">4. State agencies contracting to provide behavioral health services shall strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly.&nbsp;</span></p> <p><span class="cls0">5. The persons exempt under the provisions of this subsection shall provide services that are consistent with their training and experience.&nbsp;</span></p> <p><span class="cls0">6. Agencies shall also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public.&nbsp;</span></p> <p><span class="cls0">D. 1. The activities and services of a person in the employ of a private for-profit behavioral services provider contracting with the state to provide behavioral services to youth and families in the care and custody of the Office of Juvenile Affairs or the Department of Human Services on March 14, 1997, shall be exempt from licensure as a Licensed Behavioral Practitioner if such activities and services are a part of the official duties of such person with the private for-profit contracting agency.&nbsp;</span></p> <p><span class="cls0">2. Any person who is unlicensed and operating pursuant to the exemptions specified in this subsection shall not use any of the following official titles or descriptions:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;psychologist, psychology, or psychological,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensed social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;clinical social worker,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;certified rehabilitation specialist,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;licensed professional counselor,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;psychoanalyst,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;marital and family therapist, or&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;licensed behavioral practitioner.&nbsp;</span></p> <p><span class="cls0">3. Such exemption to the provisions of this section shall apply only while the unlicensed individual is operating under the auspices of a contract with the state and within the employ of the for-profit agency contracting with the state. Such exemption shall only be available for ongoing contracts and contract renewals with the same state agency and will not be applicable to any other setting.&nbsp;</span></p> <p><span class="cls0">4. State agencies contracting to provide behavioral health services shall strive to ensure that quality of care is not compromised by contracting with external providers and that the quality of service is at least equal to the service that would be delivered if that agency were able to provide the service directly.&nbsp;</span></p> <p><span class="cls0">5. The persons exempt under the provisions of this section shall provide services that are consistent with their training and experience.&nbsp;</span></p> <p><span class="cls0">6. Agencies shall also ensure that the entity with which they are contracting has qualified professionals in its employ and that sufficient liability insurance is in place to allow for reasonable recourse by the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 3, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 15, emerg. eff. April 14, 2000.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1933. Repealed by Laws 2013, c. 229, &sect; 99, eff. Nov. 1, 2013.&nbsp;</span></p> <p><span class="cls0">&sect;59-1934. Powers of State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure shall:&nbsp;</span></p> <p><span class="cls0">1. Prescribe, adopt, and promulgate rules to implement and enforce the provisions of the Licensed Behavioral Practitioner Act, including the adoption of State Department of Health rules by reference;&nbsp;</span></p> <p><span class="cls0">2. Adopt and establish rules of professional conduct; and&nbsp;</span></p> <p><span class="cls0">3. Set license and examination fees as required by the Licensed Behavioral Practitioner Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall have the authority to:&nbsp;</span></p> <p><span class="cls0">1. Seek injunctive relief;&nbsp;</span></p> <p><span class="cls0">2. Request the district attorney to bring an action to enforce the provisions of the Licensed Behavioral Practitioner Act;&nbsp;</span></p> <p><span class="cls0">3. Receive fees and deposit the fees into the Licensed Behavioral Practitioners Revolving Fund as required by the Licensed Behavioral Practitioner Act;&nbsp;</span></p> <p><span class="cls0">4. Issue, renew, revoke, deny, suspend and place on probation licenses to practice behavioral health pursuant to the provisions of the Licensed Behavioral Practitioner Act;&nbsp;</span></p> <p><span class="cls0">5. Examine all qualified applicants for licenses to practice behavioral health;&nbsp;</span></p> <p><span class="cls0">6. Investigate complaints and possible violations of the Licensed Behavioral Practitioner Act;&nbsp;</span></p> <p><span class="cls0">7. Accept grants and gifts from various foundations and institutions;&nbsp;</span></p> <p><span class="cls0">8. Make such expenditures and employ such personnel as the Commissioner may deem necessary for the administration of the Licensed Behavioral Practitioner Act; and&nbsp;</span></p> <p><span class="cls0">9. Request assistance from the State Board of Medical Licensure and Supervision for the purposes of investigating complaints and violations of the Licensed Behavioral Practitioner Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 5, emerg. eff. April 28, 1999.&nbsp;</span></p> <p><span class="cls0">Amended by Laws 2013, c. 229, &sect; 28, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1935. Application for license - Qualifications - Educational requirements.&nbsp;</span></p> <p><span class="cls0">A. Applications for a license to practice as a licensed behavioral practitioner shall be made to the State Board of Behavioral Health Licensure in writing. Such applications shall be on a form and in a manner prescribed by the Board. The application shall be accompanied by the fee required by the Licensed Behavioral Practitioner Act, which shall be retained by the Board and not returned to the applicant.&nbsp;</span></p> <p><span class="cls0">B. Each applicant for a license to practice as a licensed behavioral practitioner shall:&nbsp;</span></p> <p><span class="cls0">1. Be possessed of good moral character;&nbsp;</span></p> <p><span class="cls0">2. Pass an examination based on standards promulgated by the Board pursuant to the Licensed Behavioral Practitioner Act;&nbsp;</span></p> <p><span class="cls0">3. Be at least twenty-one (21) years of age;&nbsp;</span></p> <p><span class="cls0">4. Not have engaged in, nor be engaged in, any practice or conduct which would be grounds for denying, revoking, or suspending a license pursuant to the Licensed Behavioral Practitioner Act; and&nbsp;</span></p> <p><span class="cls0">5. Otherwise comply with the rules promulgated by the Board pursuant to the provisions of the Licensed Behavioral Practitioner Act.&nbsp;</span></p> <p><span class="cls0">C. In addition to the qualifications specified by the provisions of subsection B of this section, an applicant for a license to practice as a licensed behavioral practitioner shall have:&nbsp;</span></p> <p><span class="cls0">1. Successfully completed at least forty-five (45) graduate semester hours (sixty (60) graduate quarter hours) of behavioral science-related course work. These forty-five (45) hours shall include at least a master's degree from a program in psychology. All course work and degrees shall be earned from a regionally accredited college or university. The Board shall define what course work qualifies as "behavioral science-related";&nbsp;</span></p> <p><span class="cls0">2. On or after January 1, 2008, successfully completed at least sixty (60) graduate semester hours (ninety (90) graduate quarter hours) of behavioral science-related course work. These sixty (60) hours shall include at least a master's degree from a program in psychology. All courses shall be earned from a regionally accredited college or university.&nbsp;</span></p> <p><span class="cls0">The Board shall define what course work qualifies as "behavioral science-related"; and&nbsp;</span></p> <p><span class="cls0">3. Three (3) years of supervised full-time experience in professional behavioral health services subject to the supervision of a licensed mental health professional pursuant to conditions established by the Board. One (1) or two (2) years of experience may be gained at the rate of one (1) year for each thirty (30) graduate semester hours earned beyond the master's degree, provided that such hours are clearly related to the field of psychology or behavioral sciences and are acceptable to the Board. The applicant shall have no less than one (1) year of supervised full-time experience in behavioral science.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 6, emerg. eff. April 28, 1999. Amended by Laws 2004, c. 523, &sect; 15, emerg. eff. June 9, 2004; Laws 2007, c. 133, &sect; 1, eff. Nov. 1, 2007; Laws 2013, c. 229, &sect; 29, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1936. Examinations.&nbsp;</span></p> <p><span class="cls0">A. Examinations for licensure shall be held at such times, at such place, and in such manner as the State Board of Behavioral Health Licensure directs. The examination shall be held at least annually. The Board shall determine the acceptable grade on examinations. The examination shall cover such technical, professional, and practical subjects as relate to the practice of behavioral science. If an applicant fails to pass the examination, the applicant may reapply.&nbsp;</span></p> <p><span class="cls0">B. The Board shall preserve answers to any examination, and the applicant's performance on each section, for a period of two (2) years following the date of the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 7, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 17, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 30, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1937. Issuance of license &ndash; Renewal &ndash; Forfeiture - Expiration.&nbsp;</span></p> <p><span class="cls0">A. An applicant who meets the requirements for licensure pursuant to the provisions of the Licensed Behavioral Practitioner Act, has paid the required license fees, and has otherwise complied with the provisions of the Licensed Behavioral Practitioner Act shall be licensed by the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">B. Each initial license issued pursuant to the Licensed Behavioral Practitioner Act shall expire twenty-four (24) months from the date of issuance unless revoked. A license may be renewed upon application and payment of fees. The application for renewal shall be accompanied by evidence satisfactory to the Board that the licensed behavioral practitioner has completed relevant professional or continued educational experience during the previous twenty-four (24) months. Failure to renew a license shall result in forfeiture of the rights and privileges granted by the license. A person whose license has expired may make application within one (1) year following the expiration in writing to the Board requesting reinstatement in a manner prescribed by the Board and payment of the fees required by the provisions of Licensed Behavioral Practitioner Act. The license of a person whose license has expired for more than one (1) year shall not be reinstated. A person may apply for a new license as provided in Section 1935 of this title.&nbsp;</span></p> <p><span class="cls0">C. A licensed behavioral practitioner whose license is current and in good standing, who wishes to retire the license, may do so by informing the Board in writing and returning the license to the Board. A license so retired shall not be reinstated but retirement of the license shall preclude a person from applying for a new license at a future date.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 8, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 18, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 31, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1938. License by endorsement.&nbsp;</span></p> <p><span class="cls0">The State Board of Behavioral Health Licensure shall have the power to issue a license by endorsement for an applicant licensed in another state to practice as a behavioral practitioner or under similar title if the Board deems such applicant to have qualifications comparable to those required under the Licensed Behavioral Practitioner Act and if the Board finds the applicant meets the standards, provided by rule, for license by endorsement.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 9, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 19, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 32, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1939. Disclosure of information - Exceptions.&nbsp;</span></p> <p><span class="cls0">A. No person licensed pursuant to the provisions of the Licensed Behavioral Practitioner Act shall disclose any information the licensee may have acquired from persons consulting the licensee in the licensee&rsquo;s professional capacity as a behavioral practitioner or be compelled to disclose such information except:&nbsp;</span></p> <p><span class="cls0">1. With the written consent of the client, or in the case of death or disability of the client, the consent of the client&rsquo;s personal representative or other person authorized to sue or the beneficiary of any insurance policy on the client&rsquo;s life, health, or physical condition;&nbsp;</span></p> <p><span class="cls0">2. If the client is a child under the age of eighteen (18) years and the information acquired by the licensed person indicated that the child was the victim or subject of a crime, the licensed person may be required to testify fully in relation thereto upon an examination, trial, or other proceeding in which the commission of such a crime is a subject of the inquiry;&nbsp;</span></p> <p><span class="cls0">3. If the client waives the privilege by bringing charges against the licensed person;&nbsp;</span></p> <p><span class="cls0">4. When failure to disclose such information presents a danger to the health of any person; or&nbsp;</span></p> <p><span class="cls0">5. If the licensed behavioral practitioner is a party to a civil, criminal, or disciplinary action arising from such therapy, in which case any waiver of the privilege accorded by this section shall be limited to that action.&nbsp;</span></p> <p><span class="cls0">B. No information shall be treated as privileged and there shall be no privileges created by the Licensed Behavioral Practitioner Act as to any information acquired by the person licensed pursuant to the Licensed Behavioral Practitioner Act when such information pertains to criminal acts or violation of any law.&nbsp;</span></p> <p><span class="cls0">C. The Licensed Behavioral Practitioner Act shall not be construed to prohibit any licensed person from testifying in court hearings concerning matters of adoption, child abuse, child neglect, battery, or matters pertaining to the welfare of children or from seeking collaboration or consultation with professional colleagues or administrative superiors on behalf of this client.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 10, emerg. eff. April 28, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1940. Representing to be a "Licensed Behavioral Practitioner" or "LBP" &ndash; Advertisement or offer to perform behavioral health services without license &ndash; Penalties - Injunction.&nbsp;</span></p> <p><span class="cls0">A. Any person who represents himself or herself by the title "Licensed Behavioral Practitioner" or "LBP" without having first complied with the provisions of the Licensed Behavioral Practitioner Act, or who otherwise offers to perform behavioral health services, or who uses the title of Licensed Behavioral Practitioner or any other name, style, or description denoting that the person is licensed as a behavioral practitioner, or who practices behavioral science, upon conviction thereof, shall be guilty of a misdemeanor and shall be punished by imposition of a fine of not less than One Hundred Dollars ($100.00) nor more than Five Hundred Dollars ($500.00) for each offense and in addition may be imprisoned for a term not to exceed six (6) months in the county jail or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. It shall be unlawful for any person not licensed or supervised pursuant to or specifically exempt from the Licensed Behavioral Practitioner Act to advertise or otherwise offer to perform behavioral health services or to use the title of Licensed Behavioral Practitioner or any other name, style, or description denoting that the person is licensed as a licensed behavioral practitioner, or to practice behavioral science. Such action shall be subject to injunctive action by the State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 11, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 20, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 33, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1941. Denial, revocation, suspension, or placement on probation of license &ndash; Administrative hearing for applicant with felony conviction.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure may deny, revoke, suspend, or place on probation any license or specialty designation issued pursuant to the provisions of the Licensed Behavioral Practitioner Act to a licensed behavioral practitioner, if the person has:&nbsp;</span></p> <p><span class="cls0">1. Been convicted of a felony;&nbsp;</span></p> <p><span class="cls0">2. Been convicted of a misdemeanor determined to be of such a nature as to render the person convicted unfit to practice behavioral health;&nbsp;</span></p> <p><span class="cls0">3. Engaged in fraud or deceit in connection with services rendered or in establishing needed qualifications pursuant to the provisions of this act;&nbsp;</span></p> <p><span class="cls0">4. Knowingly aided or abetted a person not licensed pursuant to these provisions in representing himself or herself as a licensed behavioral practitioner in this state;&nbsp;</span></p> <p><span class="cls0">5. Engaged in unprofessional conduct as defined by the rules established by the Board;&nbsp;</span></p> <p><span class="cls0">6. Engaged in negligence or wrongful actions in the performance of the licensee's duties; or&nbsp;</span></p> <p><span class="cls0">7. Misrepresented any information required in obtaining a license.&nbsp;</span></p> <p><span class="cls0">B. If the Board determines that a felony conviction of an applicant renders the convicted applicant unfit to practice counseling, the Board shall provide notice and opportunity to the applicant, by certified mail at the last-known address, for an administrative hearing to contest such determination before the Board may deny the application. The request shall be made by the applicant within fifteen (15) days of receipt of the notice.&nbsp;</span></p> <p><span class="cls0">C. No license or specialty designation shall be suspended or revoked, nor a licensed behavioral practitioner placed on probation, until notice is served upon the licensed behavioral practitioner and a hearing is held in conformity with Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 12, emerg. eff. April 28, 1999. Amended by Laws 2009, c. 220, &sect; 4, eff. Nov. 1, 2009; Laws 2013, c. 229, &sect; 34, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1942. Rules &ndash; Violations - Administrative penalties.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Behavioral Health Licensure shall promulgate rules governing any licensure action to be taken pursuant to the Licensed Behavioral Practitioner Act which shall be consistent with the requirements of notice and hearing under the Administrative Procedures Act. No action shall be taken without prior notice unless the Board determines that there exists a threat to the health and safety of the residents of this state.&nbsp;</span></p> <p><span class="cls0">B. 1. Any person who is determined by the Board to have violated any provision of the Licensed Behavioral Practitioner Act, or any rule promulgated or order issued pursuant thereto, may be subject to an administrative penalty.&nbsp;</span></p> <p><span class="cls0">2. The maximum administrative penalty shall not exceed Ten Thousand Dollars ($10,000.00).&nbsp;</span></p> <p><span class="cls0">3. Administrative penalties imposed pursuant to this subsection shall be enforceable in the district courts of this state.&nbsp;</span></p> <p><span class="cls0">4. All administrative penalties collected shall be deposited into the Licensed Behavioral Practitioner Revolving Fund.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 13, emerg. eff. April 28, 1999. &nbsp;</span></p> <p><span class="cls0">Amended by Laws 2013, c. 229, &sect; 35, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1943. Hearings and records of hearings - Conformity with statute.&nbsp;</span></p> <p><span class="cls0">The hearings provided for by the Licensed Behavioral Practitioner Act shall be conducted in conformity with, and records made thereof as provided by, the provisions of Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 14, emerg. eff. April 28, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1944. Statement of Professional Disclosure - Furnishing to client.&nbsp;</span></p> <p><span class="cls0">All licensed behavioral practitioners, except those employed by federal, state, or local governmental agencies, shall, prior to the performance of service, furnish the client with a copy of the Statement of Professional Disclosure as promulgated by rule of the State Board of Behavioral Health Licensure. A current copy of the document shall be on file with the Board at all times.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 15, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 21, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 36, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1945. Professional specialty designation.&nbsp;</span></p> <p><span class="cls0">A. A professional specialty designation area may be established by the State Board of Behavioral Health Licensure upon receipt of a petition signed by fifteen qualified persons who are currently licensed as licensed behavioral practitioners, who have acquired at least sixty (60) semester hours, to increase to seventy-five (75) semester hours on and after January 1, 2008, of graduate credit in behavioral science or psychology-related course work from a regionally accredited college or university, and who meet the recognized minimum standards as established by appropriate nationally recognized certification agencies; provided, however, if a nationally recognized certification does not exist, the Board may establish minimum standards for specialty designations.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt of credentials from the appropriate certification agency, the Board may grant the licensed behavioral practitioner the appropriate specialty designation. The licensed behavioral practitioner may attain specialty designation through examination. A licensed behavioral practitioner shall not claim or advertise a behavioral health specialty and shall not incorporate the specialty designation into the professional title of such licensed behavioral practitioner unless the qualifications and certification requirements of that specialty have been met and have been approved by the Board and the appropriate certification agency.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 16, emerg. eff. April 28, 1999. Amended by Laws 2007, c. 133, &sect; 2, eff. Nov. 1, 2007; Laws 2013, c. 229, &sect; 37, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1946. Licensed Behavioral Practitioners Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the State Board of Behavioral Health Licensure, to be designated the "Licensed Behavioral Practitioners Revolving Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of all monies received pursuant to this act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Executive Director to meet expenses necessary for carrying out the purpose of the Licensed Behavioral Practitioner Act. Expenditures from the fund shall be approved by the Board and shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 17, emerg. eff. April 28, 1999. Amended by Laws 2012, c. 304, &sect; 290; Laws 2013, c. 229, &sect; 38, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1947. Fees.&nbsp;</span></p> <p><span class="cls0">A. Licensing fees and annual renewal fees shall be amounts fixed by the State Board of Behavioral Health Licensure. The Board shall fix the amount of the fees so that the total fees collected will be sufficient to meet the expenses of administering the provisions of the Licensed Behavioral Practitioner Act and so that excess funds do not accumulate from year to year in the Licensed Behavioral Practitioners Revolving Fund.&nbsp;</span></p> <p><span class="cls0">B. 1. The Board shall not fix a license fee at an amount in excess of Three Hundred Dollars ($300.00) and a renewal fee at an amount in excess of Two Hundred Dollars ($200.00).&nbsp;</span></p> <p><span class="cls0">2. The fee for the issuance of a license to replace a license which was lost, destroyed, or mutilated shall be Twenty-five Dollars ($25.00).&nbsp;</span></p> <p><span class="cls0">3. The fee shall accompany the application for a replacement license.&nbsp;</span></p> <p><span class="cls0">4. The fee for specialty designation shall not exceed One Hundred Fifty Dollars ($150.00).&nbsp;</span></p> <p><span class="cls0">5. The fee for an examination required pursuant to the Licensed Behavioral Practitioner Act shall not exceed the actual costs incurred by the Department for holding and grading examinations.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 18, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 22, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 39, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1948. Continuing education requirement.&nbsp;</span></p> <p><span class="cls0">All licensed behavioral practitioners licensed pursuant to the Licensed Behavioral Practitioner Act shall be required to satisfactorily complete ten (10) hours of continuing education credits annually. The State Board of Behavioral Health Licensure shall provide forms and require verification of such credits. Such credits shall be earned from courses on empirically validated procedures, taught by instructors certified by the North American Association of Masters in Psychology, its designees or successors.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 19, emerg. eff. April 28, 1999. Amended by Laws 2013, c. 229, &sect; 40, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1949. Licensing of persons practicing since before January 1, 2002 - Waiver of supervised experience requirement.&nbsp;</span></p> <p><span class="cls0">A. Until January 1, 2002, the State Board of Behavioral Health Licensure, upon receipt of an applicant's proper application, completion of examination, and payment of fees, shall issue licenses to persons who, prior to January 1, 2002:&nbsp;</span></p> <p><span class="cls0">1. Have practiced full time as a behavioral practitioner for at least two (2) years and possess a master's degree from a program in psychology from a college or university accredited by an agency recognized by the United States Department of Education;&nbsp;</span></p> <p><span class="cls0">2. Are currently practicing as a behavioral practitioner;&nbsp;</span></p> <p><span class="cls0">3. Have satisfactorily completed ten (10) hours of continuing education pursuant to Section 1948 of this title; and&nbsp;</span></p> <p><span class="cls0">4. Otherwise comply with the licensure requirements of the Licensed Behavioral Practitioner Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall consider experience of the applicant prior to application for licensure pursuant to the provisions of this section as a waiver of all or part of the supervised experience requirement required by paragraph 3 of subsection C of Section 1935 of this title.&nbsp;</span></p> <p><span class="cls0">C. The Board shall require applicants for licensure pursuant to the provisions of this section to file a Statement of Professional Disclosure as provided by Section 1944 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 20, emerg. eff. April 28, 1999. Amended by Laws 2000, c. 53, &sect; 23, emerg. eff. April 14, 2000; Laws 2013, c. 229, &sect; 41, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-1949.1. Reimbursement under medical or hospital insurance plan - Construction of act.&nbsp;</span></p> <p><span class="cls0">Nothing in the Licensed Behavioral Practitioner Act shall be construed to require reimbursement under the policies of health insurers and nonprofit hospital or medical service plans unless the contract specifically calls for reimbursement to licensed behavioral practitioners.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1999, c. 133, &sect; 21, emerg. eff. April 28, 1999.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;591950. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma RentalPurchase Act".&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 106, &sect; 1, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-1951. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma RentalPurchase Act:&nbsp;</span></p> <p><span class="cls0">1. "Administrator" means the Administrator of the Department of Consumer Credit as designated in Section 6501 of Title 14A of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">2. "Advertisement" means any commercial message in any medium that promotes, directly or indirectly, a consumer rentalpurchase agreement;&nbsp;</span></p> <p><span class="cls0">3. "Consummation" means the time a lessee becomes contractually obligated on a consumer rentalpurchase agreement;&nbsp;</span></p> <p><span class="cls0">4. "Lessee" means a natural person who rents personal property under a consumer rentalpurchase agreement;&nbsp;</span></p> <p><span class="cls0">5. "Lessor" means a person who regularly provides the use of property through consumer rentalpurchase agreement;&nbsp;</span></p> <p><span class="cls0">6. "Rentalpurchase agreement" means an agreement for the use of personal property by a consumer for personal, family, or household purposes, for an initial period of four (4) months or less, that is renewable with each payment after the initial period, and that permits the consumer to become the owner of the property. An agreement that complies with this definition is not a consumer credit sale as defined in Section 2104 of Title 14A of the Oklahoma Statutes, or a consumer loan as defined in Section 3104 of Title 14A of the Oklahoma Statutes, or a refinancing or consolidation thereof, or a consumer lease as defined in Section 2106 of Title 14A of the Oklahoma Statutes, or a lease or agreement which constitutes a security interest as defined in paragraph (37) of Section 1201 of Title 12A of the Oklahoma Statutes or a lease or agreement which constitutes a sale of goods as defined in subsection (4) of Section 2105 of Title 14A of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">7. "Initial period" means from the date of inception to the first scheduled installment; and&nbsp;</span></p> <p><span class="cls0">8. "Initial fee" means any fee charged to initiate a contract however designated.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 106, &sect; 2, eff. Nov. 1, 1988. Amended by Laws 1989, c. 106, &sect; 1, emerg. eff. April 26, 1989; Laws 2000, c. 371, &sect; 177, eff. July 1, 2001.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;591952. License required Contents Display Transferability Multiple licenses Exemptions Applications Contents Modifications Forms.&nbsp;</span></p> <p><span class="cls0">A. No person shall engage in business as a rentalpurchase lessor without first obtaining a license issued by the Administrator. Each license shall state the address of the office from which business is to be conducted and the name of the licensee. The license shall be displayed at the place of business named in the license. The license shall not be transferable or assignable except upon approval by the Administrator. A separate license shall be required for each office operated pursuant to the Oklahoma RentalPurchase Act. The Administrator may issue more than one license to any one person upon compliance with this section as to each license. This subsection shall not be construed to require a license for any place of business devoted to accounting or other record keeping and where rentalpurchase agreements are not made.&nbsp;</span></p> <p><span class="cls0">B. Each person shall file a license application form with the Administrator within thirty (30) days prior to commencing business in this state for each place of business in which rentalpurchase agreements are transacted, and thereafter, by December 1st of each year. The license application must state:&nbsp;</span></p> <p><span class="cls0">1. The name of the person;&nbsp;</span></p> <p><span class="cls0">2. The name in which business is transacted if different from paragraph 1 or 3 of this subsection;&nbsp;</span></p> <p><span class="cls0">3. The address of the principal office;&nbsp;</span></p> <p><span class="cls0">4. An indication that the lessor engages in the business of making rentalpurchase agreements;&nbsp;</span></p> <p><span class="cls0">5. The address of the designated agent upon whom service of process may be made in this state; and&nbsp;</span></p> <p><span class="cls0">6. Such other relevant information as the Administrator may desire.&nbsp;</span></p> <p><span class="cls0">C. If information in an application becomes inaccurate after filing, modifications to the application shall be brought to the attention of the Department of Consumer Credit within thirty (30) days from such change.&nbsp;</span></p> <p><span class="cls0">D. The license application shall be on a form or forms provided by the Administrator.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 106, &sect; 3, eff. Nov. 1, 1988. Amended by Laws 1989, c. 106, &sect; 2, emerg. eff. April 26, 1989. &nbsp;</span></p> <p><span class="cls0">&sect;59-1953. Investigation, license, and annual renewal fee.&nbsp;</span></p> <p><span class="cls0">A. Lessors shall pay an initial investigation and license fee and an annual license renewal fee per place of business, which fees shall accompany the license renewal form. Lessors shall also pay a fee for any returned check, address or license change, or duplicate license request.&nbsp;</span></p> <p><span class="cls0">B. Lessors shall pay a rental-purchase agreement reviewal fee as prescribed by rule of the Commission on Consumer Credit for any rental-purchase agreement submitted to the Administrator of Consumer Credit for review and approval. The Commission may prescribe by rule a process for submitting rental-purchase agreements to the Administrator for review and approval.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 106, &sect; 4, eff. Nov. 1, 1988. Amended by Laws 2010, c. 415, &sect; 21, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1"><span class="cls0"> &nbsp;</span></p> <p><span class="cls0">&sect;591954. Disclosures required Prohibited provisions Reinstatement rights Advertisement contents.&nbsp;</span></p> <p><span class="cls0">A. The disclosures required by the Oklahoma RentalPurchase Act:&nbsp;</span></p> <p><span class="cls0">1. Shall be made clearly and conspicuously;&nbsp;</span></p> <p><span class="cls0">2. Shall be in writing, a copy of which shall be delivered to the lessee;&nbsp;</span></p> <p><span class="cls0">3. May use terminology different from that employed in the Oklahoma RentalPurchase Act if it conveys substantially the same meaning;&nbsp;</span></p> <p><span class="cls0">4. May be supplemented by additional information or explanations supplied by the lessor;&nbsp;</span></p> <p><span class="cls0">5. Shall comply with the provisions of the Oklahoma RentalPurchase Act although rendered inaccurate by any act, occurrence, or agreement, subsequent to the required disclosure;&nbsp;</span></p> <p><span class="cls0">6. Shall be made to the person who signs the rentalpurchase agreement, except that in a transaction involving more than one lessee, a disclosure statement or a copy of the agreement need not be given to more than one of the lessees;&nbsp;</span></p> <p><span class="cls0">7. Shall be made by the lessor specified on the rentalpurchase license.&nbsp;</span></p> <p><span class="cls0">B. A rentalpurchase agreement shall disclose the following items, as applicable:&nbsp;</span></p> <p><span class="cls0">1. Whether the property is new or used;&nbsp;</span></p> <p><span class="cls0">2. The period and amount of payments;&nbsp;</span></p> <p><span class="cls0">3. The total number of payments necessary and the total amounts to be paid to acquire ownership of the merchandise;&nbsp;</span></p> <p><span class="cls0">4. The amount and purpose of any other payment, charge or fee in addition to the regular periodic payments;&nbsp;</span></p> <p><span class="cls0">5. Whether the consumer is liable for loss or damage to the rental property, and if so, the maximum amount for which the consumer may be liable;&nbsp;</span></p> <p><span class="cls0">6. The amount of any deposit required by lessor and the conditions under which it shall be refundable or nonrefundable;&nbsp;</span></p> <p><span class="cls0">7. If applicable, that the lessee may purchase from the lessor insurance to cover the property or a waiver of liability for damage to or destruction of the property, and the amount of any such charge or fee. The insurance or waiver of liability coverage may be offered to the lessee at any time during the term of the rental-purchase agreement;&nbsp;</span></p> <p><span class="cls0">8. That the consumer does not acquire ownership rights unless the consumer has complied with the ownership terms of the agreement.&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;C. A rentalpurchase agreement may not contain a provision:&nbsp;</span></p> <p><span class="cls0">1. Requiring a confession of judgment;&nbsp;</span></p> <p><span class="cls0">2. Authorizing a lessor or an agent of the lessor to commit a breach of the peace in the repossession of rental property;&nbsp;</span></p> <p><span class="cls0">3. Waiving any defense, counterclaim, or right the lessee may have against the lessor or an agent of the lessor;&nbsp;</span></p> <p><span class="cls0">4. Requiring the purchase of insurance from the lessor to cover the rental property; provided, however, that the lessor may offer to the lessee any such insurance if it is clearly and conspicuously disclosed on the face of the agreement of insurance, in print not less than 8 point bold face type, that the purchase of any such insurance by the lessee from the lessor is optional. Lessors offering any such insurance must comply with the rules and regulations governing the offering for sale and sale of insurance in the State of Oklahoma, and the offering for sale and sale of such insurance shall be governed and regulated by the State of Oklahoma Commissioner of Insurance;&nbsp;</span></p> <p><span class="cls0">5. Requiring the purchase of a waiver of liability from the lessor for damage to or destruction of the property; provided, however, that the lessor may offer to the lessee any such waiver of liability if it is clearly and conspicuously disclosed on the face of the waiver of liability agreement, in print not less than 8 point bold face type, that the purchase of any such waiver of liability by the lessee from the lessor is optional. The charge for any waiver of liability shall not exceed five percent (5%) of the rental payment or One Dollar ($1.00), whichever is greater;&nbsp;</span></p> <p><span class="cls0">6. Requiring the payment of a late charge or reinstatement fee of more than Five Dollars ($5.00); provided, the total of both the late charge and the reinstatement fee for any one payment missed does not exceed Five Dollars ($5.00) if payments are monthly, or Three Dollars ($3.00) if payments are weekly or biweekly. If the payment is not paid by the close of business on the due date, such payment shall be considered missed. Late charges, pickup charges, delivery charges, rent due and reinstatement fees may be held from the payment or may be accrued and collected when possible;&nbsp;</span></p> <p><span class="cls0">7. Requiring the payment of a delivery charge of more than Fifteen Dollars ($15.00) for delivery of an item or items within fifteen (15) miles of the business location, or Thirty Dollars ($30.00) for delivery of an item or items more than fifteen (15) miles from the business location. However, in the event a lessor delivers more than five (5) items to a lessee's dwelling, the delivery charge shall not exceed Fortyfive Dollars ($45.00) regardless of the delivery distance. Delivery charges are allowed only if the lessor actually delivers merchandise to the dwelling of the lessee;&nbsp;</span></p> <p><span class="cls0">8. Requiring the payment of a charge exceeding Fifteen Dollars ($15.00) on any insufficient funds check;&nbsp;</span></p> <p><span class="cls0">9. Requiring a nonrefundable initial fee exceeding Ten Dollars ($10.00). An initial fee may be charged only once on an agreement;&nbsp;</span></p> <p><span class="cls0">10. Requiring a pickup charge exceeding Ten Dollars ($10.00) on late payments. If payments are monthly, a maximum of three pickup charges may be assessed in a sixmonth period. If payments are more frequent than monthly, a maximum of six pickup charges may be assessed in a sixmonth period. The pickup charges may be assessed and paid when the consumer makes the next scheduled payment or such charges may be accrued; and&nbsp;</span></p> <p><span class="cls0">11. Requiring the payment of any other additional charges of any nature whatsoever, other than those specified.&nbsp;</span></p> <p><span class="cls0">D. A rentalpurchase agreement shall provide reinstatement rights as follows:&nbsp;</span></p> <p><span class="cls0">1. A consumer who fails to make a timely payment may reinstate a rentalpurchase agreement without losing rights or options previously acquired, by arranging with the lessor to make the past due payments, within two (2) days after the due date of the payment and by arranging to pay any fees due or by returning the property within two (2) days if the lessor so requests. Provided, nothing herein shall prevent the lessor from modifying payment arrangements to allow the consumer to make the account current and to accrue any charges due or any rent due to be paid at some future agreed upon date. Partial payment agreements shall provide for the rent to be prorated with notice to the consumer of the next due date.&nbsp;</span></p> <p><span class="cls0">2. If the rental property is returned during the reinstatement period, other than through judicial process, the right to reinstate the agreement shall be extended for a period of not less than thirty (30) days after the date of the return of the property. Upon reinstatement, the lessor shall provide the lessee with the same rental property or substitute property of comparable quality and condition. If substitute property is provided, the lessor shall provide the lessee with the disclosures required in subsection B of this section. Notice of the right to reinstate shall be disclosed in the agreement.&nbsp;</span></p> <p><span class="cls0">E. An advertisement for a rentalpurchase agreement that states the amount of a payment and the right to acquire ownership of any one particular item must clearly and conspicuously state:&nbsp;</span></p> <p><span class="cls0">1. That the transaction advertised is a rentalpurchase agreement; and&nbsp;</span></p> <p><span class="cls0">2. The total amount and the number of payments necessary to acquire ownership.&nbsp;</span></p> <p><span class="cls0">F. Any consumer neglect of the merchandise resulting in reasonable repairs will be the responsibility of the consumer and charges for such repair may be received in payments agreed upon by the lessor according to an agreed upon payment schedule.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 106, &sect; 5, eff. Nov. 1, 1988. Amended by Laws 1989, c. 106, &sect; 3, emerg. eff. April 26, 1989; Laws 1991, c. 83, &sect; 1, emerg. eff. April 22, 1991; Laws 1992, c. 261, &sect; 4, eff. Sept. 1, 1992.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1955. Consumer right to damages - Enforcement - Assessment of cost of examination - Hearings - Application of Administrative Procedures Act - Recovery by multiple lessees - Lessor adjustment of error - Bona fide errors.&nbsp;</span></p> <p><span class="cls0">A. A consumer damaged by a violation of the Oklahoma Rental-Purchase Act by a lessor is entitled to recover from the lessor:&nbsp;</span></p> <p><span class="cls0">1. Actual damages;&nbsp;</span></p> <p><span class="cls0">2. Twentyfive percent (25%) of an amount equal to the total amount of payments required to obtain ownership of the merchandise involved, except that the amount recovered under this section shall not be less than One Hundred Dollars ($100.00) nor more than One Thousand Dollars ($1,000.00), or in the case of a class action, an amount the court may allow, except that as to each member of the class no minimum recovery may be applicable and the total recovery other than for actual damages in any class action or series of class actions arising out of the same failure to comply by the same lessor shall not be more than the lesser of Five Hundred Thousand Dollars ($500,000.00) or one percent (1%) of the net worth of the lessor; and&nbsp;</span></p> <p><span class="cls0">3. Reasonable attorney fees and court costs.&nbsp;</span></p> <p><span class="cls0">B. In addition to the enforcement powers provided in Section 6102 of Title 14A of the Oklahoma Statutes, the Administrator of Consumer Credit or a duly authorized representative of the Administrator may investigate the books, accounts, papers, correspondence and records of any lessor licensed under the Oklahoma RentalPurchase Act. For the purposes of this section, any person who advertises for, solicits or holds himself out as willing to make rentalpurchase transactions, shall be presumed to be a rentalpurchase lessor. Each lessor shall pay to the Administrator an examination fee as prescribed by rule of the Commission on Consumer Credit. The Administrator may require payment of an examination fee either at the time of initial application, renewal of the license, or after an examination has been conducted.&nbsp;</span></p> <p><span class="cls0">C. The Administrator may promulgate rules and regulations necessary for the enforcement of the Oklahoma RentalPurchase Act and consistent with all its provisions.&nbsp;</span></p> <p><span class="cls0">D. The Administrator shall appoint an independent hearing examiner to conduct all administrative hearings involving alleged violations of the Oklahoma Rental-Purchase Act. The independent hearing examiner shall have authority to exercise all powers granted by Article II of the Administrative Procedures Act in conducting hearings. The independent hearing examiner shall have authority to recommend penalties authorized by the Oklahoma Rental-Purchase Act and issue proposed orders, with proposed findings of fact and proposed conclusions of law, to the Administrator pursuant to Article II of the Administrative Procedures Act. The Administrator shall review the proposed order and issue a final agency order in accordance with Article II of the Administrative Procedures Act. A final order issued by the Administrator shall be appealable by all parties to the district court as provided in Article II of the Administrative Procedures Act. The costs of the hearing examiner may be assessed by the hearing examiner against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">E. After notice and hearing, the Administrator may decline to renew a license, or suspend or revoke any license issued pursuant to the Oklahoma Rental-Purchase Act for violating any provision of the Oklahoma Rental-Purchase Act or any rules promulgated by the Administrator, or in lieu of or in addition to such denial, suspension or revocation, order the refund of any unlawful charges, or enter a cease and desist order.&nbsp;</span></p> <p><span class="cls0">F. Except as otherwise expressly provided in the Oklahoma RentalPurchase Act, the Administrative Procedures Act, Sections 301 through 326 of Title 75 of the Oklahoma Statutes, applies to and governs all administrative actions and civil proceedings taken by the Administrator pursuant to the Oklahoma RentalPurchase Act.&nbsp;</span></p> <p><span class="cls0">G. Where there are multiple lessees to a rentalpurchase agreement, there shall be no more than one recovery under the Oklahoma RentalPurchase Act for a violation.&nbsp;</span></p> <p><span class="cls0">H. A lessor is not liable under the Oklahoma RentalPurchase Act for a violation thereof caused by the lessor's error if before the sixtieth day after the date the lessor discovers the error, and before an action under this section is filed or written notice of the error is received by the lessor from the lessee, the lessor gives the lessee written notice of the error and makes adjustments in the lessee's account as necessary to ensure that the lessee will not be required to pay an amount in excess of the amount disclosed and that the agreement otherwise complies with this subsection. Nor may a lessor be held liable in any action brought under the Oklahoma RentalPurchase Act for a violation of the Oklahoma RentalPurchase Act if the lessor shows by a preponderance of the evidence that the violation was not intentional and resulted from a bona fide error notwithstanding the maintenance of procedures reasonably adopted to avoid the error. A bona fide error includes, but is not limited to, a clerical, calculation, computer malfunction in programming, and printing error, but not an error of legal judgment with respect to a lessor's disclosure obligations under the Oklahoma RentalPurchase Act.&nbsp;</span></p> <p><span class="cls0">I. Any entity or individual offering to engage or engaged as a rental-purchase lessor in this state without a license shall be subject to a civil penalty not to exceed Five Thousand Dollars ($5,000.00).&nbsp;</span></p> <p><span class="cls0">J. The Administrator may impose a civil penalty as prescribed in subsection I of this section, after notice and hearing in accordance with Article II of the Administrative Procedures Act. Any administrative order or settlement agreement imposing a civil penalty pursuant to this section may be enforced in the same manner as civil judgments in this state. The Administrator may file an application to enforce an administrative order or settlement agreement imposing a civil penalty in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1988, c. 106, &sect; 6, eff. Nov. 1, 1988. Amended by Laws 2010, c. 415, &sect; 22, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-1956. Repealed by Laws 2010, c. 415, &sect; 38, eff. July 1, 2010.&nbsp;</span></p> <p><span class="cls0">&sect;591957. Application of act Violations Penalties.&nbsp;</span></p> <p><span class="cls0">The Oklahoma RentalPurchase Act applies to persons, who in this state make or solicit rentalpurchase agreements, or who directly collect payments from or enforce rights against debtors arising from the rentalpurchase agreement, wherever they are made; or who engage in rentalpurchase transactions subject to the provisions of the Oklahoma RentalPurchase Act. A person who willfully engages in the business of making rentalpurchase agreements without a license in violation of the provisions of this act pertaining to authority to make rentalpurchase agreements, upon conviction, is guilty of a misdemeanor and may be sentenced to pay a fine not exceeding Five Thousand Dollars ($5,000.00), or to imprisonment not exceeding one (1) year, or both.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 106, &sect; 8, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;592000. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 2000 through 2009 of Title 59 of the Oklahoma Statutes and Sections 9 through 11 of this act shall be known and may be cited as the Oklahoma Health Spa Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 217, &sect; 2, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 2, eff. Nov. 1, 1988. Renumbered from Title 15, &sect; 775 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-2001. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Health Spa Act:&nbsp;</span></p> <p><span class="cls0">1. "Administrator" means the Administrator of Consumer Credit as defined in Section 6-501 of Title 14A of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">2. "Business day" means any day except a Sunday or a legal holiday;&nbsp;</span></p> <p><span class="cls0">3. "Buyer/Member" means a natural person who enters into a health spa contract or membership;&nbsp;</span></p> <p><span class="cls0">4. "Membership agreement" means any agreement between a member and a health spa for use of health spa services;&nbsp;</span></p> <p><span class="cls0">5. "Health spa" means and includes any person, firm, corporation, organization, club or association engaged in a program of physical exercise, which includes the use of one or more of a sauna, whirlpool, weight-lifting room, massage, steam room, or exercising machine or device, or exercise rooms, or engaged in the sale of the right or privilege to use exercise equipment or facilities, such as a sauna, whirlpool, weight-lifting room, massage, steam room or exercising machine or device or exercise rooms. The term "health spa" shall not include the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;bona fide nonprofit organizations, including, but not limited to, the Young Men's Christian Association, Young Women's Christian Association, or similar organizations whose functions as health spas are only incidental to their overall functions and purposes,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;any private club owned and operated by its members,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;any organization solely operated for the purpose of teaching a particular form of self-defense such as judo or karate,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;any facility owned or operated by the United States,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;any facility owned or operated by this state or any of its political subdivisions,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;any nonprofit public or private school, college or university, &nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;any facility operated solely for aerobics or toning, and&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;any facility that only offers month-to-month memberships and does not charge any application, process, cancellation, or other service fees;&nbsp;</span></p> <p><span class="cls0">6. "Health spa services" means and includes services, privileges, or rights offered for sale or provided by a health spa;&nbsp;</span></p> <p><span class="cls0">7. "Initiation fee" means a nonrecurring fee charged at or near the beginning of a health spa membership;&nbsp;</span></p> <p><span class="cls0">8. "Monthly fee" means the total consideration, including but not limited to, equipment or locker rental, credit check, finance, medical and dietary evaluation, class and training fees, and all other similar fees or charges and interest, but excluding any initiation fee, to be paid by a buyer, divided by the total number of months of health spa service use allowed by the buyer's contract or membership, including months or time periods called "free" or "bonus" months or time periods and such months or time periods which are described in any other terms suggesting that they are provided free of charge, which months or time periods are given or contemplated when the contract or membership is initially executed;&nbsp;</span></p> <p><span class="cls0">9. "Prepayment" means any amount paid in advance of the maturity of the health spa membership, to include payment in part or in full, accelerated monthly fees or any required down payment or initiation fee;&nbsp;</span></p> <p><span class="cls0">10. "Program" means any use of a health spa facility for the purpose of physical exercise in a structured or nonstructured environment; and&nbsp;</span></p> <p><span class="cls0">11. "Presale" means payment of any consideration for services or the use of facilities made prior to the day on which the services or facilities of the health spa are fully open and available for regular use by the members.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 3, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 3, eff. Nov. 1, 1988. Renumbered from Title 15, &sect; 775.1 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988. Amended by Laws 1991, c. 96, &sect; 1, eff. Sept. 1, 1991; Laws 2013, c. 94, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2002. Registration of health or health spa services.&nbsp;</span></p> <p><span class="cls0">A. No health spa shall offer or advertise health spa services unless first being registered with the Administrator of Consumer Credit. The registration shall:&nbsp;</span></p> <p><span class="cls0">1. Disclose the address, ownership, date of first sales and date of first opening of the health spa;&nbsp;</span></p> <p><span class="cls0">2. State the name and address of the registered agent of the registrant, if the registrant is a corporation;&nbsp;</span></p> <p><span class="cls0">3. Be renewed each succeeding calendar year; and&nbsp;</span></p> <p><span class="cls0">4. Be accompanied by an initial investigation and registration fee and an annual registration fee as prescribed by rule of the Commission on Consumer Credit.&nbsp;</span></p> <p><span class="cls0">B. Each separate location where health spa services are offered shall be considered a separate health spa and shall file a separate registration, even though the separate locations are owned or operated by the same owner.&nbsp;</span></p> <p><span class="cls0">C. The Commission on Consumer Credit shall prescribe by rule a fee for each registration change, duplicate registration, or returned check.&nbsp;</span></p> <p><span class="cls0">D. The Commission on Consumer Credit shall prescribe by rule a late fee for a registration not renewed on or before the expiration date of the registration.&nbsp;</span></p> <p><span class="cls0">E. A health spa shall pay a contract reviewal fee as prescribed by rule of the Commission on Consumer Credit for each health spa contract submitted to the Administrator for review and approval. The Commission may prescribe by rule a process for submitting health spa contracts for review and approval by the Administrator.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 4, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 4, eff. Nov. 1, 1988. Renumbered from &sect; 775.2 of Title 15 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988. Amended by Laws 1991, c. 96, &sect; 2, eff. Sept. 1, 1991; Laws 2010, c. 415, &sect; 23, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;592003. Presale contracts or membership agreements - Notification of location - Deposit of funds - Withdrawal of funds - Refunds - Exemptions.&nbsp;</span></p> <p><span class="cls0">A. 1. Except as otherwise provided in this section, each health spa which offers or sells contracts or membership agreements or health spa services on a presale basis shall notify the Administrator of the proposed location of the spa for which presale monies will be solicited and shall deposit all funds received from such presale contracts or membership agreements in an account established in a financial institution authorized to transact business in this state until the health spa has commenced operations and has remained open for a period of sixty (60) days. The account shall be established and maintained only in a financial institution which agrees in writing with the Administrator to hold all funds deposited and not to release such funds until receipt of written authorization from the Administrator. The presale funds deposited will be eligible for withdrawal by the health spa after the health spa has been open and providing services pursuant to its health spa contracts or membership agreements for sixty (60) days and the Administrator gives written authorization for withdrawal.&nbsp;</span></p> <p><span class="cls0">2. Any buyer who has paid money which is on deposit in a presale account may, upon written authorization from the Administrator, obtain a refund from the financial institution holding such account if the health spa has not been substantially completed and opened within six (6) months of the date of the buyer's health spa contract or membership agreement.&nbsp;</span></p> <p><span class="cls0">B. The provisions of subsection A of this section shall not apply to:&nbsp;</span></p> <p class="cls2"><span class="cls0">1.&nbsp;&nbsp;a.&nbsp;&nbsp;any health spa duly registered under the provisions of Section 2002 of this title which has filed with the Administrator a current financial statement, certified by an accounting firm or individual holding a permit to practice public accounting in this state indicating:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;a net worth in excess of One Million Dollars ($1,000,000.00), or&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;total assets in excess of Five Million Dollars ($5,000,000.00).&nbsp;</span></p> <p class="cls16"><span class="cls0">b. For purposes of this paragraph:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;"current" means that the ending period of the financial statement is not over eighteen (18) months prior to the date of the filing of such statement, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;the financial statement filed by the health spa may include the financial results of any corporation controlled by, or that is under common control with, the health spa; or&nbsp;</span></p> <p><span class="cls0">2. any health spa duly registered under the provisions of Section 2002 of Title 59 of the Oklahoma Statutes which has posted a bond or letter of credit in the amount of Seventy Thousand Dollars ($70,000.00) as provided for in Section 2007 of this title and has been in continuous operation in Oklahoma for at least eighteen (18) months prior to the sale of prepayment contracts or membership agreements.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 5, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 5, eff. Nov. 1, 1988. Renumbered from Title 15, &sect; 775.3 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988; Laws 1991, c. 96, &sect; 3, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2004. Provisions to be included in contract or membership agreement.&nbsp;</span></p> <p><span class="cls0">Every health spa contract or membership agreement for the sale of future health spa services which are paid for in advance or which the buyer agrees to pay for in future installments shall be in writing and shall contain the following provisions:&nbsp;</span></p> <p><span class="cls0">1. A provision for the penalty-free cancellation of the contract or membership agreement within three (3) business days of its making and refund upon such notice, of all monies paid under the contract or membership agreement;&nbsp;</span></p> <p><span class="cls0">2. A provision for the cancellation of the contract or membership agreement if the health spa relocates or goes out of business and fails to provide alternative facilities within eight (8) miles of the location designated in the health spa contract or membership agreement. Upon receipt of such notice, the health spa shall refund to the buyer funds paid or accepted in payment of the contract or membership agreement in an amount computed by dividing the contract price by the number of weeks in the contract or membership agreement term and multiplying the result by the number of weeks remaining in the contract or membership agreement term;&nbsp;</span></p> <p><span class="cls0">3. A provision for the cancellation of the contract or membership agreement if the buyer dies or becomes physically unable to use a substantial portion of the services for thirty (30) or more consecutive days. Upon receipt of such notice, the health spa shall refund to the buyer funds paid or accepted in payment of the contract or membership agreement in an amount computed by dividing the contract price by the number of weeks in the contract or membership agreement term and multiplying the result by the number of weeks remaining in the contract or membership agreement term. In the case of disability, the health spa may require the buyer to submit to a physical examination by a doctor agreeable to the buyer and the health spa. The cost of the examination shall be borne by the health spa;&nbsp;</span></p> <p><span class="cls0">4. A provision that:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;to cancel a contract or membership agreement, the buyer shall notify the health spa of cancellation in writing, by certified mail, return receipt requested, or personal delivery, to the address specified in the health spa contract or membership agreement,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;all moneys to be refunded upon cancellation of the health spa contract or membership agreement shall be paid within thirty (30) days of receipt of the notice of cancellation, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;if the customer has executed any credit or lien agreement with the health spa to pay for all or part of health spa services, any such agreement executed by the buyer shall also be returned within sixty (60) days after such cancellation;&nbsp;</span></p> <p><span class="cls0">5. A provision for the penalty-free cancellation of the contract or membership agreement if the health spa changes ownership and relocates and fails to provide notice of the change of ownership and relocation within thirty (30) days through certified mail to the buyer; and&nbsp;</span></p> <p><span class="cls0">6. A provision for the penalty-free cancellation of the contract or membership agreement if the health spa changes ownership and relocates and fails to obtain written authorization from the buyer to continue to collect automatic bank draft deductions. If the health spa fails to secure written authorization from the buyer, the health spa shall refund to the buyer any funds drafted after the change of ownership and relocation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 6, eff. Nov. 1, 1987. Renumbered from Title 15, &sect; 775.4 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988. Amended by Laws 1991, c. 96, &sect; 4, eff. Sept 1, 1991; Laws 2012, c. 258, &sect; 3, emerg. eff. May 15, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;592005. Delivery of contract or membership agreement to buyer - Form and contents of contracts or membership or agreement - Term - Other laws - Void or voidable contract or membership agreement - Waiver - Notice of liability.&nbsp;</span></p> <p><span class="cls0">A. A copy of every health spa contract or membership agreement shall be delivered to the buyer at the time the contract or membership agreement is executed. All health spa contracts or membership agreements shall:&nbsp;</span></p> <p><span class="cls0">1. be in writing, signed by the buyer;&nbsp;</span></p> <p><span class="cls0">2. designate the date on which the buyer actually signed the contract or membership agreement and length of membership;&nbsp;</span></p> <p><span class="cls0">3. identify services and facilities to be provided;&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp;4. contain the provisions set forth in Section 6 of this act under a conspicuous caption: "BUYER'S RIGHT TO CANCEL"; and&nbsp;</span></p> <p><span class="cls0">5. read substantially as follows:&nbsp;</span></p> <p><span class="cls0">If you wish to cancel this contract or membership agreement, you may cancel by making or delivering written notice to this health spa. The notice must say that you do not wish to be bound by the contract or membership agreement and must be delivered or mailed before midnight of the third business day after you sign this contract or membership agreement. The notice must be delivered or mailed to:&nbsp;</span></p> <p><span class="cls0">.....................................................&nbsp;</span></p> <p><span class="cls0">(Health spa shall insert its name and mailing address)&nbsp;</span></p> <p><span class="cls0">You may also cancel this contract or membership agreement if this spa moves or goes out of business and fails to provide alternative facilities within eight (8) miles of the location designated in this contract or membership agreement. You may also cancel if you become disabled; and your estate may cancel in the event of your death. You must prove such disability by a doctor's certificate, and the health spa may also require that you submit to a physical examination by a doctor agreeable to you and the health spa. If you cancel, the health spa may retain or collect a portion of the contract or membership agreement price equal to the proportionate value of the services or use of facilities you have already received.&nbsp;</span></p> <p><span class="cls0">B. No health spa contract or membership agreement shall have a duration for a period longer than thirtysix (36) months, however, the contract or membership agreement may give the buyer a right of renewal.&nbsp;</span></p> <p><span class="cls0">C. The provisions of the Oklahoma Health Spa Act are not exclusive and do not relieve the parties or the contracts or membership agreements subject thereto from compliance with all other applicable provisions of law.&nbsp;</span></p> <p><span class="cls0">D. Any health spa contract or membership agreement which does not comply with the applicable provisions of the Oklahoma Health Spa Act shall be voidable at the option of the buyer.&nbsp;</span></p> <p><span class="cls0">E. Any health spa contract or membership agreement entered into by the buyer upon any false or misleading information, representation, notice or advertisement of the health spa or the health spa's agents shall be void and unenforceable.&nbsp;</span></p> <p><span class="cls0">F. Any waiver by the buyer of the provisions of the Oklahoma Health Spa Act shall be deemed contrary to public policy and shall be void and unenforceable.&nbsp;</span></p> <p><span class="cls0">G. All health spa contracts or membership agreements and any promissory note executed by the buyer in connection therewith shall contain the following provision on the face thereof in at least tenpoint, boldface type:&nbsp;</span></p> <p class="cls23"><span class="cls0">NOTICE&nbsp;</span></p> <p><span class="cls0">ANY HOLDER OF THIS CONTRACT OR MEMBERSHIP AGREEMENT IS SUBJECT TO ALL CLAIMS AND DEFENSES WHICH THE DEBTOR COULD ASSERT AGAINST THE SELLER OF GOODS OR SERVICES OBTAINED WITH THE PROCEEDS HEREOF. RECOVERY HEREUNDER BY THE DEBTOR SHALL NOT EXCEED AMOUNTS PAID BY THE DEBTOR HEREUNDER.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 7, eff. Nov. 1, 1987. Renumbered from Title 15, &sect; 775.5 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988; Laws 1991, c. 96, &sect; 5, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;592006. Notes for payments to third parties upon breach prohibited Rights of actions and defenses not cut off by assignment.&nbsp;</span></p> <p><span class="cls0">A. A contract or membership agreement for health spa services shall not require the execution of any note or series of notes by the buyer which, if separately negotiated, will require the buyer to make payments to third parties on a note or notes if the contract or membership agreement for the health spa services is breached by the health spa.&nbsp;</span></p> <p><span class="cls0">B. Whether or not the health spa has complied with the notice requirements of Section 7 of this act, any right of action or defense arising out of a health spa contract or membership agreement which the buyer has against the health spa, and which would be cut off by assignment, shall not be cut off by assignment of the contract or membership agreement to any third party holder, whether or not the holder acquires the contract in good faith and for value.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 8, eff. Nov. 1, 1987. Renumbered from Title 15, &sect; 775.6 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988; Laws 1991, c. 96, &sect; 6, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;592007. Bond or letter of credit required.&nbsp;</span></p> <p><span class="cls0">A. 1. Every health spa, before it enters into a health spa contract or membership agreement or accepts an initiation or prepayment fee in excess of Fifty Dollars ($50.00), shall file and maintain with the Administrator, in form and substance satisfactory to him, a bond with a corporate surety, from a company authorized to transact business in this state or a letter of credit from a bank insured by the Federal Deposit Insurance Corporation in the amounts indicated below:&nbsp;</span></p> <p><span class="cls0">Number of unexpired&nbsp;&nbsp;Amount of bond&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp; contracts or membership agreements&nbsp;&nbsp; or letter of&nbsp;</span></p> <p><span class="cls0"> exceeding six (6) months&nbsp;&nbsp; credit&nbsp;</span></p> <p><span class="cls0">&nbsp;&nbsp; 500 or less&nbsp;&nbsp; $30,000.00&nbsp;</span></p> <p><span class="cls0"> 501 to 1000&nbsp;&nbsp; $40,000.00&nbsp;</span></p> <p><span class="cls0"> 1001 to 1500&nbsp;&nbsp; $50,000.00&nbsp;</span></p> <p><span class="cls0"> 1501 to 2000&nbsp;&nbsp; $60,000.00&nbsp;</span></p> <p><span class="cls0"> 2001 or more&nbsp;&nbsp; $70,000.00&nbsp;</span></p> <p><span class="cls0">2. The number of unexpired contracts or membership agreements exceeding six (6) months shall be separately calculated for each location where health spa services are offered.&nbsp;</span></p> <p><span class="cls0">3. Each separate location where health spa services are offered shall be considered a separate health spa and shall file a separate bond or letter of credit with respect thereto, even though the separate locations are owned or operated by the same owner.&nbsp;</span></p> <p><span class="cls0">4. No owner shall be required to file with the Administrator bonds or letters of credit in excess of Seventy Thousand Dollars ($70,000.00). If the seventythousanddollar limit is applicable, then the bonds or letters of credit filed by such owner shall apply to all health spas owned or operated by the same owner.&nbsp;</span></p> <p><span class="cls0">B. The bond or letter of credit required by this section shall be in favor of the state for the benefit of:&nbsp;</span></p> <p><span class="cls0">1. any buyer injured by having paid money to the health spa posting the bond or letter of credit for health spa services in a facility which fails to open within sixty (60) days after the date upon which the buyer and the health spa entered into a contract or membership agreement or goes out of business prior to the expiration of the buyer's health spa contract or membership agreement; or&nbsp;</span></p> <p><span class="cls0">2. any buyer injured as a result of a violation of the Oklahoma Health Spa Act by the health spa posting the bond or letter of credit.&nbsp;</span></p> <p><span class="cls0">C. The aggregate liability of the bond or letter of credit to all persons for all breaches of the conditions of the bond or letter of credit shall in no event exceed the amount of the bond or letter of credit. The bond or letter of credit shall not be canceled or terminated except with the consent of the Administrator.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 9, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 6, eff. Nov. 1, 1988. Renumbered from Title 15, &sect; 775.7 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988; Laws 1991, c. 96, &sect; 7, eff. Sept. 1, 1991.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;592008. Change in ownership Bond or letter of credit.&nbsp;</span></p> <p><span class="cls0">For purposes of the Oklahoma Health Spa Act, a health spa shall be considered a new health spa and subject to the requirements of a bond or letter of credit at the time the health spa changes ownership. A change in ownership shall not release, cancel or terminate liability under any bond or letter of credit previously filed unless the Administrator agrees in writing to such release, cancellation or termination because the new owner has filed a new bond or letter of credit for the benefit of the previous owner's members or because the former owner has refunded all unearned payments to its members.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1987, c. 217, &sect; 10, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 7, eff. Nov. 1, 1988. Renumbered from Title 15, &sect; 775.8 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-2009. Violations - Penalties - Other consumer protection laws - Acts covered - Administrative hearings.&nbsp;</span></p> <p><span class="cls0">A. Any person who engages in business as a health spa without first being properly registered with the Administrator of Consumer Credit as prescribed in the Oklahoma Health Spa Act or who otherwise violates any provision of the Oklahoma Health Spa Act, upon conviction, shall be guilty of a misdemeanor and shall be punished by the imposition of a fine not to exceed Five Thousand Dollars ($5,000.00) or imprisonment in the county jail for not more than one (1) year, or by both such fine and imprisonment.&nbsp;</span></p> <p><span class="cls0">B. The provisions of Title 14A of the Oklahoma Statutes shall also apply to those health spas registered pursuant to the Oklahoma Health Spa Act.&nbsp;</span></p> <p><span class="cls0">C. The Oklahoma Health Spa Act shall only govern those health spa contracts or membership agreements executed after November 1, 1987.&nbsp;</span></p> <p><span class="cls0">D. The Administrator shall appoint an independent hearing examiner to conduct all administrative hearings involving alleged violations of the Oklahoma Health Spa Act. The independent hearing examiner shall have authority to exercise all powers granted by Article II of the Administrative Procedures Act in conducting hearings. The independent hearing examiner shall have authority to recommend penalties authorized by the Oklahoma Health Spa Act and issue proposed orders, with proposed findings of fact and proposed conclusions of law, to the Administrator pursuant to Article II of the Administrative Procedures Act. The Administrator shall review the proposed order and issue a final agency order in accordance with Article II of the Administrative Procedures Act. A final agency order issued by the Administrator shall be appealable by all parties to the district court as provided in Article II of the Administrative Procedures Act. The costs of the hearing examiner may be assessed by the hearing examiner against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">E. After notice and hearing, the Administrator may decline to renew a registration, or suspend or revoke any registration issued pursuant to the Oklahoma Health Spa Act or any rules promulgated by the Administrator, or in lieu of or in addition to such denial, suspension or revocation, order the refund of any unlawful charges, or enter a cease and desist order.&nbsp;</span></p> <p><span class="cls0">F. Any entity or individual offering to engage or engaged as a health spa in this state without a license shall be subject to a civil penalty not to exceed Five Thousand Dollars ($5,000.00). &nbsp;</span></p> <p><span class="cls0">G. The Administrator may impose a civil penalty as prescribed in subsection F of this section, after notice and hearing in accordance with Article II of the Administrative Procedures Act. Any administrative order or settlement agreement imposing a civil penalty pursuant to this section may be enforced as in the same manner as civil judgments in this state. The Administrator may file an application to enforce an administrative order or settlement agreement imposing a civil penalty in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1987, c. 217, &sect; 11, eff. Nov. 1, 1987. Amended by Laws 1988, c. 215, &sect; 8, eff. Nov. 1, 1988. Renumbered from &sect; 775.9 of Title 15 by Laws 1988, c. 215, &sect; 12, eff. Nov. 1, 1988. Amended by Laws 1991, c. 96, &sect; 8, eff. Sept. 1, 1991; Laws 2010, c. 415, &sect; 24, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;592010. Rules and regulations.&nbsp;</span></p> <p><span class="cls0">The Administrator may adopt, amend and repeal such administrative rules as are necessary to implement and enforce the provisions of the Oklahoma Health Spa Act.&nbsp;</span></p> <p>&nbsp;</p> <p class="cls1"><span class="cls0">Added by Laws 1988, c. 215, &sect; 9, eff. Nov. 1, 1988. &nbsp;</span></p> <p><span class="cls0">&sect;59-2011. Repealed by Laws 2010, c. 415, &sect; 39, eff. July 1, 2010.&nbsp;</span></p> <p><span class="cls0">&sect;59-2012. Repealed by Laws 1991, c. 96, &sect; 9, eff. Sept. 1, 1991.&nbsp;</span></p> <p><span class="cls0">&sect;59-2026. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Respiratory Care Practice Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 1, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2027. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Respiratory Care Practice Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">2. "Practice of respiratory care" shall include, but not be limited to, the direct and indirect respiratory care services including but not limited to the administration of medical gases, pharmacological, diagnostic, and therapeutic agents and services related to respiratory care procedures necessary to implement and administer treatment, ventilatory support, maintenance of the airway via natural or artificial means, specimen collection, disease prevention, pulmonary rehabilitation, or diagnostic regimen prescribed by orders of a physician; observing and monitoring signs and symptoms, physiologic measurements of the cardiopulmonary system, general behavior, general physical response to respiratory care treatment and diagnostic testing, including determination of whether such signs, symptoms, reactions, behavior or general response exhibit abnormal characteristics; and implementation, based on clinical observations, of appropriate reporting, referral, respiratory care protocol, or changes in treatment, pursuant to a prescription by a person authorized to practice medicine under the laws of this state; or the initiation of emergency procedures under the rules of the Board or as otherwise permitted in the Respiratory Care Practice Act. The practice of respiratory care shall also include the terms "inhalation therapy" and "respiratory therapy". The practice of respiratory care shall not include the delivery, set-up, installation, maintenance, monitoring and the providing of instructions on the use of home oxygen and durable medical equipment;&nbsp;</span></p> <p><span class="cls0">3. "Qualified medical director" means the licensed physician responsible for respiratory care services or the licensed physician designated as such by the clinic, hospital, or employing health care facility. The physician must be a medical staff member or medical director of a health care facility licensed by the State Department of Health;&nbsp;</span></p> <p><span class="cls0">4. "Respiratory care practitioner" means a person licensed by this state and employed in the practice of respiratory care; and&nbsp;</span></p> <p><span class="cls0">5. "Respiratory therapist" means an individual who has graduated from a respiratory therapist program that is accredited by the Commission on Accreditation for Respiratory Care (CoARC) or an equivalent national respiratory care educational accreditation agency as identified by the Respiratory Care Advisory Committee and approved by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 2, eff. Nov. 1, 1995. Amended by Laws 2013, c. 72, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2028. Respiratory Care Advisory Committee - Members - Qualifications - Terms - Vacancies - Removal.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created a Respiratory Care Advisory Committee within the State Board of Medical Licensure and Supervision, hereinafter referred to as the Committee, to assist in administering the provisions of the Respiratory Care Practice Act. The Committee shall consist of nine (9) members, appointed as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;one member shall be a physician appointed by the Board from its membership,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;one member shall be a physician appointed by the Board from a list of qualified individuals submitted by the Oklahoma State Medical Association and who is not a member of the Board,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;one member shall be a physician appointed by the State Board of Osteopathic Examiners from its membership,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;one member shall be a physician appointed by the State Board of Osteopathic Examiners from a list of qualified individuals submitted by the Oklahoma Osteopathic Association and who is not a member of the State Board of Osteopathic Examiners, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;five members shall be licensed respiratory care practitioners appointed by the Board from a list of respiratory care practitioners submitted by the Oklahoma Society for Respiratory Care (OSRC).&nbsp;</span></p> <p><span class="cls0">2. Other than the physicians appointed from the membership of the State Board of Medical Licensure and Supervision and of the State Board of Osteopathic Examiners, the physician members shall have special qualifications in the diagnosis and treatment of respiratory problems and, wherever possible, be qualified in the management of acute and chronic respiratory disorders.&nbsp;</span></p> <p><span class="cls0">3. The respiratory care practitioner members shall have been engaged in rendering respiratory care services to the public, teaching or research in respiratory care for at least five (5) years immediately preceding their appointments. These members shall at all times be holders of valid licenses for the practice of respiratory care in this state, except for the members first appointed to the Committee. These initial members shall, at the time of appointment, be credentialed as a Registered Respiratory Therapist (RRT) or current equivalent credential as identified by the Respiratory Care Advisory Committee and approved by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">B. Members of the Committee shall be appointed for terms of four (4) years. Provided, the terms of office of the members first appointed shall begin November 1, 1995, and shall continue for the following periods: two physicians and two respiratory care practitioners for a period of three (3) years; and two physicians and three respiratory care practitioners for a period of four (4) years. Upon the expiration of a member's term of office, the appointing authority for that member shall appoint a successor pursuant to the provisions of subsection C of this section. Vacancies on the Committee shall be filled in like manner for the balance of an unexpired term. No member shall serve more than three consecutive terms. Each member shall serve until a successor is appointed and qualified.&nbsp;</span></p> <p><span class="cls0">C. Upon expiration or vacancy of the term of a member, the respective nominating authority may, as appropriate, submit to the appointing Board a list of three persons qualified to serve on the Committee to fill the expired term of their respective member. Appointments may be made from these lists by the appointing Board, and additional lists may be provided by the respective organizations if requested by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">D. The State Board of Medical Licensure and Supervision may remove any member from the Committee for neglect of any duty required by law, for incompetency, or for unethical or dishonorable conduct.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 3, eff. Nov. 1, 1995. Amended by Laws 2013, c. 72, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2029. Respiratory Care Advisory Committee - Meetings - Officers - Quorum - Duties.&nbsp;</span></p> <p><span class="cls0">A. The Respiratory Care Advisory Committee shall meet at least twice each year and shall elect biennially during odd-numbered years a chair and vice-chair from among its members. The Committee may convene at the request of the chair, or a majority of the Committee, or as the Committee may determine for such other meetings as may be deemed necessary to transact its business.&nbsp;</span></p> <p><span class="cls0">B. A majority of the members of the Committee, including the chair and vice-chair, shall constitute a quorum at any meeting, and a majority of the required quorum shall be sufficient for the Committee to take action by vote.&nbsp;</span></p> <p><span class="cls0">C. The Committee shall advise the Board in developing policy and rules pertaining to the Respiratory Care Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 4, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2030. Duties of State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision shall:&nbsp;</span></p> <p><span class="cls0">1. Examine, license and renew the licenses of duly qualified applicants;&nbsp;</span></p> <p><span class="cls0">2. Maintain an up-to-date list of every person licensed to practice respiratory care pursuant to the Respiratory Care Practice Act. The list shall show the licensee's last-known place of employment, last-known place of residence, and the date and number of the license;&nbsp;</span></p> <p><span class="cls0">3. Cause the prosecution of all persons violating the Respiratory Care Practice Act and incur necessary expenses therefor;&nbsp;</span></p> <p><span class="cls0">4. Keep a record of all proceedings of the Board and make such record available to the public for inspection during reasonable business hours;&nbsp;</span></p> <p><span class="cls0">5. Conduct hearings upon charges calling for discipline of a licensee, or denial, revocation or suspension of a license; and&nbsp;</span></p> <p><span class="cls0">6. Share information on a case-by-case basis of any person whose license has been suspended, revoked or denied. This information shall include the name, social security number, type and cause of action, date and penalty incurred, and the length of penalty. This information shall be available for public inspection during reasonable business hours and shall be supplied to similar boards in other states upon request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 5, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2031. Powers of State Board of Medical Licensure and Supervision - Rules.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may:&nbsp;</span></p> <p><span class="cls0">1. Promulgate rules, consistent with the laws of this state, as may be necessary to enforce the provisions of the Respiratory Care Practice Act. Rules shall be promulgated in accordance with Article I of the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">2. Employ such personnel as necessary to assist the Board in performing its function;&nbsp;</span></p> <p><span class="cls0">3. Establish license renewal requirements and procedures as deemed appropriate;&nbsp;</span></p> <p><span class="cls0">4. Secure the services of resource consultants as deemed necessary by the Board. Resource consultants shall be reimbursed for all actual and necessary expenses incurred while engaged in consultative service to the Board, pursuant to the State Travel Reimbursement Act;&nbsp;</span></p> <p><span class="cls0">5. Enter into agreements or contracts, consistent with state law, with outside organizations for the purpose of developing, administering, grading or reporting the results of licensing examinations. Such groups shall be capable of providing an examination which:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;meets the standards of the National Commission for Health Certifying Agencies, or their equivalent,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is able to be validated, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;is nationally recognized as testing respiratory care competencies; and&nbsp;</span></p> <p><span class="cls0">6. Establish by rule license examination fees.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 6, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2032. Reimbursement of expenses - Protection from liability.&nbsp;</span></p> <p><span class="cls0">A. Members of the State Board of Medical Licensure and Supervision and members of the Respiratory Care Advisory Committee shall be reimbursed for all actual and necessary expenses incurred while engaged in the discharge of official duties pursuant to this act in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">B. Members of the Board and Committee shall enjoy the same rights of protection from personal liability as those enjoyed by other employees of the state for actions taken while acting under the provisions of the Respiratory Care Practice Act and in the course of their duties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 7, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2033. License - Examination - License by endorsement.&nbsp;</span></p> <p><span class="cls0">A. The applicant, except where otherwise defined in the Respiratory Care Practice Act, shall be required to pass an examination, whereupon the State Board of Medical Licensure and Supervision may issue to the applicant a license to practice respiratory care. The Board is authorized to provide for the examination of applicants or to facilitate verification of any applicant's claim that the applicant has successfully completed the required examination for national credentialing as a respiratory care practitioner.&nbsp;</span></p> <p><span class="cls0">B. The Board may issue a license to practice respiratory care by endorsement to:&nbsp;</span></p> <p><span class="cls0">1. An applicant who is currently licensed to practice respiratory care under the laws of another state, territory or country if the qualifications of the applicant are deemed by the Board to be equivalent to those required in this state;&nbsp;</span></p> <p><span class="cls0">2. Applicants holding credentials as a respiratory therapist conferred by the National Board for Respiratory Care (NBRC) or its successor organization as identified by the Respiratory Care Advisory Committee and approved by the State Board of Medical Licensure and Supervision, provided such credentials have not been suspended or revoked; and&nbsp;</span></p> <p><span class="cls0">3. Applicants applying under the conditions of this section who certify under oath that their credentials have not been suspended or revoked.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 8, eff. Nov. 1, 1995. Amended by Laws 2013, c. 72, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2034. Provisional license.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision may issue, upon payment of a fee established by the Board, a provisional license to practice respiratory care for a period of six (6) months under supervision of a consenting licensed respiratory care practitioner or consenting licensed physician. A provisional license may be issued to a person licensed in another state, territory or country who does not qualify for a license by endorsement but has applied to take the license examination and otherwise meets the qualifications of the Board. Provided, the applicant must show written evidence, verified by oath, that the applicant is currently practicing or has within the last six (6) months practiced respiratory care in another state, territory or country. A provisional license may be issued also to a graduate of a respiratory care education program, approved by the Commission on Accreditation for Respiratory Care (CoARC) or an equivalent national respiratory care educational accrediting body as identified by the Respiratory Care Advisory Committee and approved by the State Board of Medical Licensure and Supervision, who has applied to take the license examination and otherwise meets the qualifications of the Board.&nbsp;</span></p> <p><span class="cls0">B. A currently enrolled student may receive a provisional license as set out by the rules of the Board.&nbsp;</span></p> <p><span class="cls0">C. Provisional licenses may be renewed at the discretion of the Board for additional six-month periods.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 9, eff. Nov. 1, 1995. Amended by Laws 2013, c. 72, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2035. License - Applicants who have not passed CRTT or RRT examination.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision may issue a license to practice respiratory care, upon payment of a fee of Seventy-five Dollars ($75.00), to persons who have qualified pursuant to Section 8 of this act.&nbsp;</span></p> <p><span class="cls0">B. 1. Other applicants who have not passed the CRTT or RRT examination and who have been practicing respiratory care in a full time capacity for a period of more than twenty-four (24) months prior to the effective date of this act may, at the discretion of the Board, be issued a license to practice respiratory care upon payment of a fee of Seventy-five Dollars ($75.00). Provided, such applicant must demonstrate through written evidence verified under oath and certified to by the employing health care facility that applicant has in fact been employed in such capacity for more than twenty-four (24) months preceding the effective date of this act.&nbsp;</span></p> <p><span class="cls0">2. All other applicants who have not passed the CRTT or RRT examinations and who have been in the full time practice of respiratory care for a period of less than twenty-four (24) months, who, through written evidence verified by oath, demonstrate as required by rules of the Board that they are currently functioning in the capacity of a respiratory care practitioner, may be given a special provisional license to practice respiratory care under the supervision of a consenting licensed respiratory care practitioner or consenting licensed physician for a period of no longer than thirty-six (36) months from the effective date of this act. Such applicants must pass an entry level examination administered by the Board during the thirty-six-month period in order to be issued a license to practice respiratory care. The fee for a special provisional license shall be Seventy-five Dollars ($75.00).&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 10, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2036. Use of title permitted - Presentation of license.&nbsp;</span></p> <p><span class="cls0">A. A person holding a license to practice respiratory care in this state may use the title "respiratory care practitioner" and the abbreviation "R.C.P."&nbsp;</span></p> <p><span class="cls0">B. A licensee shall present this license when requested.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 11, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2037. Renewal of license - Lapse and reinstatement - Inactive status - Continuing education requirements.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided in the Respiratory Care Practice Act, a license shall be renewed biennially. The State Board of Medical Licensure and Supervision shall mail notices at least thirty (30) calendar days prior to expiration for renewal of licenses to every person to whom a license was issued or renewed during the preceding renewal period. The licensee shall complete the notice of renewal and return it to the Board with the renewal fee of Seventy-five Dollars ($75.00) before the date of expiration.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt of the notice of renewal and the fee, the Board shall verify its contents and shall issue the licensee a license for the current renewal period, which shall be valid for the period stated thereon.&nbsp;</span></p> <p><span class="cls0">C. A licensee who allows the license to lapse by failing to renew it may be reinstated by the Board upon payment of the renewal fee and reinstatement fee of One Hundred Dollars ($100.00); provided, that such request for reinstatement is received within thirty (30) days of the end of the renewal period.&nbsp;</span></p> <p><span class="cls0">D. 1. A licensed respiratory care practitioner who does not intend to engage in the practice of respiratory care shall send a written notice to that effect to the Board and is not required to submit a notice of renewal and pay the renewal fee as long as the practitioner remains inactive. Upon desiring to resume the practice of respiratory care, the practitioner shall notify the Board in writing of this intent and shall satisfy the current requirements of the Board in addition to submitting a notice of renewal and remitting the renewal fee for the current renewal period and the reinstatement fee.&nbsp;</span></p> <p><span class="cls0">2. Rules of the Board shall provide for a specific period of time of continuous inactivity after which retesting is required.&nbsp;</span></p> <p><span class="cls0">E. The Board is authorized to establish by rule fees for replacement and duplicate licenses.&nbsp;</span></p> <p><span class="cls0">F. The Board shall by rule prescribe continuing education requirements, not to exceed twelve (12) clock hours biennially, as a condition for renewal of license. The program criteria with respect thereto shall be approved by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 12, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2038. Deposit of fees - Appropriation to pay expenses.&nbsp;</span></p> <p><span class="cls0">Fees received by the State Board of Medical Licensure and Supervision and any other monies collected pursuant to the Respiratory Care Practice Act shall be deposited with the State Treasurer who shall place the same in the regular depository fund of the Board. Said deposit, less the ten percent (10%) gross fees paid into the General Revenue Fund, is hereby appropriated and shall be used to pay expenses incurred pursuant to the Respiratory Care Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 13, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2039. Where respiratory practice may be performed.&nbsp;</span></p> <p><span class="cls0">The practice of respiratory care may be performed in any clinic, physician's office, hospital, nursing facility, private dwelling or other place in accordance with the prescription or verbal order of a physician, and shall be performed under the supervision of a qualified medical director or physician licensed to practice medicine or surgery in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 14, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2040. Revocation, suspension or refusal to renew license - Probation, reprimand or denial of license.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may revoke, suspend or refuse to renew any license or place on probation, or otherwise reprimand a licensee or deny a license to an applicant if it finds that the person:&nbsp;</span></p> <p><span class="cls0">1. Is guilty of fraud or deceit in procuring or attempting to procure a license or renewal of a license to practice respiratory care;&nbsp;</span></p> <p><span class="cls0">2. Is unfit or incompetent by reason of negligence, habits, or other causes of incompetency;&nbsp;</span></p> <p><span class="cls0">3. Is habitually intemperate in the use of alcoholic beverages;&nbsp;</span></p> <p><span class="cls0">4. Is addicted to, or has improperly obtained, possessed, used or distributed habit-forming drugs or narcotics;&nbsp;</span></p> <p><span class="cls0">5. Is guilty of dishonest or unethical conduct;&nbsp;</span></p> <p><span class="cls0">6. Has practiced respiratory care after the license has expired or has been suspended;&nbsp;</span></p> <p><span class="cls0">7. Has practiced respiratory care under cover of any license illegally or fraudulently obtained or issued;&nbsp;</span></p> <p><span class="cls0">8. Has violated or aided or abetted others in violation of any provision of the Respiratory Care Practice Act;&nbsp;</span></p> <p><span class="cls0">9. Has been guilty of unprofessional conduct as defined by the rules established by the Board, or of violating the code of ethics adopted and published by the Board; or&nbsp;</span></p> <p><span class="cls0"> 10. Is guilty of the unauthorized practice of medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 15, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2041. Investigation of complaints - Notice of hearing - Subpoenas - Publication of names and addresses of suspended, etc. practitioners.&nbsp;</span></p> <p><span class="cls0">A. Upon filing of a written complaint with the State Board of Medical Licensure and Supervision, charging a person with any of the acts described in Section 15 of this act, the authorized employee of the Board may make an investigation. If the Board finds reasonable grounds for the complaint, a time and place for a hearing shall be set, notice of which shall be served on the licensee, or applicant at least fifteen (15) calendar days prior thereto. The notice shall be by personal service or by certified or registered mail sent to the last-known address of the person.&nbsp;</span></p> <p><span class="cls0">B. The Board or its designee may issue subpoenas for the attendance of witnesses and the production of necessary evidence on any investigation or hearing before it. Upon request of the respondent or the respondent's counsel, the Board may issue subpoenas on behalf of the respondent.&nbsp;</span></p> <p><span class="cls0">C. Unless otherwise provided in the Respiratory Care Practice Act, hearing procedures shall be conducted in accordance with, and a person who feels aggrieved by a decision of the Board may make an appeal pursuant to, Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">D. If found to be guilty as charged, the practitioner shall pay for all costs incurred by the Board.&nbsp;</span></p> <p><span class="cls0">E. The Board shall make public on a case-by-case basis the names and addresses of persons whose licenses have been denied, surrendered, revoked, suspended or who have been denied renewal of their licenses, and persons who have been practicing respiratory care in violation of the Respiratory Care Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 16, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2042. Practice of respiratory care without license prohibited - Exceptions - Practices of other health care personnel not to be limited - Performance of specific functions qualified by examination not prohibited.&nbsp;</span></p> <p><span class="cls0">A. No person shall practice respiratory care or represent themselves to be a respiratory care practitioner unless licensed under the Respiratory Care Practice Act, except as otherwise provided by the Respiratory Care Practice Act.&nbsp;</span></p> <p><span class="cls0">B. The Respiratory Care Practice Act does not prohibit:&nbsp;</span></p> <p><span class="cls0">1. The practice of respiratory care which is an integral part of the program of study by students enrolled in a respiratory care education program recognized by the State Board of Medical Licensure and Supervision. Students enrolled in respiratory therapy education programs shall be identified as "student - RCP" and shall only provide respiratory care under clinical supervision;&nbsp;</span></p> <p><span class="cls0">2. Self-care by a patient, or gratuitous care by a friend or family member who does not represent or hold out to be a respiratory care practitioner;&nbsp;</span></p> <p><span class="cls0">3. Monitoring, installation or delivery of medical devices, gases and equipment and the maintenance thereof by a nonlicensed person for the express purpose of self-care by a patient or gratuitous care by a friend or family member;&nbsp;</span></p> <p><span class="cls0">4. Respiratory care services rendered in the course of an emergency;&nbsp;</span></p> <p><span class="cls0">5. Persons in the military services or working in federal facilities from rendering respiratory care services when functioning in the course of their assigned duties;&nbsp;</span></p> <p><span class="cls0">6. The respiratory care practitioner from performing advances in the art and techniques of respiratory care learned through formalized or specialized training; and&nbsp;</span></p> <p><span class="cls0">7. For purposes of continuing education, consulting, or training, any person performing respiratory care in the state, if these services are performed for no more than thirty (30) days in a calendar year in association with a respiratory care practitioner licensed pursuant to the Respiratory Care Practice Act or in association with a licensed physician or surgeon, if:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the person is licensed as a respiratory care practitioner or the equivalent, as determined by the State Board of Medical Licensure and Supervision, in good standing in another state or the District of Columbia, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the person holds a professional respiratory care credential as conferred by the National Board for Respiratory Care or its successor or equivalent accrediting agency as identified by the Respiratory Care Advisory Committee and approved by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">C. Nothing in the Respiratory Care Practice Act shall limit, preclude, or otherwise interfere with the lawful practices of persons working under the supervision of the responsible physician. In addition, nothing in the Respiratory Care Practice Act shall interfere with the practices of health care personnel who are formally trained and licensed by appropriate agencies of this state.&nbsp;</span></p> <p><span class="cls0">D. An individual who, by passing an examination which includes content in one or more of the functions included in the Respiratory Care Practice Act, and who has passed an examination that meets the standards of the National Commission for Health Certifying Agencies (NCHCA) or an equivalent organization, shall not be prohibited from performing the procedures for which they were tested. An individual who has demonstrated competency in one or more areas covered by the Respiratory Care Practice Act may perform only those functions for which the individual is qualified by examination to perform. The standards of the National Commission for Health Certifying Agencies shall serve to evaluate those examinations and examining organizations.&nbsp;</span></p> <p><span class="cls0">E. Practitioners regulated under the Respiratory Care Practice Act shall be covered under the "Good Samaritan Act", Section 5 et seq. of Title 76 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 17, eff. Nov. 1, 1995. Amended by Laws 2013, c. 72, &sect; 5, eff. November 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2043. Act not to be construed to permit practice of medicine.&nbsp;</span></p> <p><span class="cls0">Nothing in the Respiratory Care Practice Act shall be construed to permit the practice of medicine.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 18, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2044. Misdemeanor violations - Penalties.&nbsp;</span></p> <p><span class="cls0">A. It is a misdemeanor for any person to:&nbsp;</span></p> <p><span class="cls0">1. Sell, fraudulently obtain or furnish any respiratory care license or record, or aid or abet therein;&nbsp;</span></p> <p><span class="cls0">2. Practice respiratory care under cover of any respiratory care diploma, license or record illegally or fraudulently obtained or issued;&nbsp;</span></p> <p><span class="cls0">3. Practice respiratory care unless duly licensed to do so under the provisions of the Respiratory Care Practice Act;&nbsp;</span></p> <p><span class="cls0">4. Impersonate in any manner or pretend to be a respiratory care practitioner or use the title "respiratory care practitioner", the letters "R.C.P.", or other words, letters, signs, symbols or devices to indicate the person using them is a licensed respiratory care practitioner, unless duly authorized by license to perform under the provisions of the Respiratory Care Practice Act;&nbsp;</span></p> <p><span class="cls0">5. Practice respiratory care during the time a license is suspended, revoked or expired;&nbsp;</span></p> <p><span class="cls0">6. Fail to notify the State Board of Medical Licensure and Supervision of the suspension, probation, or revocation of any past or currently held licenses, certifications, or registrations required to practice respiratory care in this or any other jurisdiction;&nbsp;</span></p> <p><span class="cls0">7. Knowingly employ unlicensed persons in the practice of respiratory care in the capacity of a respiratory care practitioner;&nbsp;</span></p> <p><span class="cls0">8. Make false representations or impersonate or act as a proxy for another person or allow or aid any person or impersonate the person in connection with any examination or application for licensing or request to be examined or licensed; or&nbsp;</span></p> <p><span class="cls0">9. Otherwise violate any provisions of the Respiratory Care Practice Act.&nbsp;</span></p> <p><span class="cls0">B. Such misdemeanor shall be punishable by a fine of not more than One Thousand Dollars ($1,000.00) or by imprisonment for not more than six (6) months, or by both such fine and imprisonment for each offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 19, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2045. Use of other earned professional designations or credentials.&nbsp;</span></p> <p><span class="cls0">A. Nothing contained in the Respiratory Care Practice Act shall preclude a respiratory care practitioner, a respiratory therapist, or a respiratory therapy technician exempt from being licensed under the Respiratory Care Practice Act or a provisional license holder from using or displaying earned professional designations or credentials including, but not limited to, CRTT, RRT, CPFT and RPFT. However, a respiratory care practitioner may use and display the designation Respiratory Care Practitioner or RCP in conjunction with the use or display of any such other earned professional designation or credentials.&nbsp;</span></p> <p><span class="cls0">B. A provisional or special provisional license holder shall not use or display the designation Respiratory Care Practitioner or RCP but may use or display any earned professional designations or credentials.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1995, c. 171, &sect; 20, eff. Nov. 1, 1995.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2051. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 1 through 21 of this act shall be known and may be cited as the "Oklahoma Licensed Perfusionists Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 1, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2052. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Licensed Perfusionists Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Examiners of Perfusionists;&nbsp;</span></p> <p><span class="cls0">2. "Extracorporeal circulation" means the diversion of a patient's blood through a heart-lung machine or a similar device that assumes the functions of the patient's heart, lungs or both;&nbsp;</span></p> <p><span class="cls0">3. "Licensed perfusionist" means a person licensed to practice perfusion pursuant to the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">4. "Perfusion" means the functions necessary for the support, treatment, measurement, or supplementation of the cardiovascular, circulatory and respiratory systems to ensure the safe management of physiologic functions by monitoring the parameters of the systems under an order and under the supervision of a licensed physician, including:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the use of extracorporeal circulation, cardiopulmonary support techniques, and other therapeutic and diagnostic technologies,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;ventricular assistance, administration of cardioplegia, and isolated limb perfusion,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the use of techniques involving blood management, advanced life support, and other related functions, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;in the performance of the acts described in this paragraph:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;the administration of:&nbsp;</span></p> <p class="cls25"><span class="cls0">(a)&nbsp;&nbsp;pharmacological and therapeutic agents, or&nbsp;</span></p> <p class="cls25"><span class="cls0">(b)&nbsp;&nbsp;blood products or anesthetic agents through the extracorporeal circuit or through an intravenous line as ordered by a physician,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;the performance and use of:&nbsp;</span></p> <p class="cls25"><span class="cls0">(a)&nbsp;&nbsp;anticoagulation analysis,&nbsp;</span></p> <p class="cls25"><span class="cls0">(b)&nbsp;&nbsp;physiologic analysis,&nbsp;</span></p> <p class="cls25"><span class="cls0">(c)&nbsp;&nbsp;blood gas and chemistry analysis,&nbsp;</span></p> <p class="cls25"><span class="cls0">(d)&nbsp;&nbsp;hypothermia,&nbsp;</span></p> <p class="cls25"><span class="cls0">(e)&nbsp;&nbsp;hyperthermia,&nbsp;</span></p> <p class="cls25"><span class="cls0">(f)&nbsp;&nbsp;hemoconcentration, and&nbsp;</span></p> <p class="cls25"><span class="cls0">(g)&nbsp;&nbsp;hemodilution,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;the observation of signs and symptoms related to perfusion services, and the determination of whether the signs and symptoms exhibit abnormal characteristics, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;the implementation of appropriate reporting and perfusion protocols, and changes in, or the initiation of, emergency procedures;&nbsp;</span></p> <p><span class="cls0">5. "Perfusion protocol" means perfusion-related policies and protocols developed or approved by a licensed health facility or a physician through collaboration with administrators, licensed perfusionists, and other health professionals; and&nbsp;</span></p> <p><span class="cls0">6. "Provisional licensed perfusionist" means a person provisionally licensed by this state pursuant to the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 2, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2053. State Board of Examiners of Perfusionists - Membership.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created until July 1, 2015, in accordance with the provisions of the Oklahoma Sunset Law, the State Board of Examiners of Perfusionists. The Board shall administer the provisions of the Oklahoma Licensed Perfusionists Act. The Board shall consist of nine (9) members, appointed by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">B. The initial appointments for each member shall be for progressive terms of one (1) through three (3) years so that only one term expires each calendar year; subsequent appointments shall be for five-year terms. Members of the Board shall serve at the pleasure of and may be removed from office by the appointing authority. No member shall serve more than three consecutive terms. Members shall continue to serve until their successors are appointed. Any vacancy shall be filled in the same manner as the original appointments. Five members shall constitute a quorum.&nbsp;</span></p> <p><span class="cls0">C. The Board shall be composed as follows:&nbsp;</span></p> <p><span class="cls0">1. Three members shall be members of the general public;&nbsp;</span></p> <p><span class="cls0">2. Four members shall be licensed perfusionists appointed from a list of not less than ten licensed perfusionists submitted by a statewide organization representing licensed perfusionists; and&nbsp;</span></p> <p><span class="cls0">3. Two members shall be physicians licensed pursuant to the Oklahoma Allopathic Medical and Surgical Licensure and Supervision Act and who are also board certified in cardiovascular surgery.&nbsp;</span></p> <p><span class="cls0">D. The licensed perfusionist members shall have been engaged in rendering perfusion services to the public, teaching perfusion care, or research in perfusion care, for at least five (5) years immediately preceding their appointments. These members shall at all times be holders of valid licenses for the practice of perfusion in this state, except for the members first appointed to the Board. These initial members shall, at the time of appointment, be credentialed as a Certified Clinical Perfusionist (CCP) conferred by the American Board of Cardiovascular Perfusion (ABCP) or its successor organization, and all shall fulfill the requirements for licensure pursuant to the Oklahoma Licensed Perfusionists Act. All members of the Board shall be residents of this state.&nbsp;</span></p> <p><span class="cls0">E. Upon expiration or vacancy of the term of a member, the respective nominating authority may, as appropriate, submit to the appointing authority a list of not less than three persons qualified to serve on the Board to fill the expired term of their respective member. Appointments may be made from these lists by the appointing authority and additional lists may be provided by the respective organizations if requested by the appointing authority.&nbsp;</span></p> <p><span class="cls0">F. It shall be a ground for removal from the Board if a member:&nbsp;</span></p> <p><span class="cls0">1. Does not have at the time of appointment the qualifications required for appointment to the Board;&nbsp;</span></p> <p><span class="cls0">2. Does not maintain during service on the Board the qualifications required for appointment to the Board;&nbsp;</span></p> <p><span class="cls0">3. Violates a prohibition established pursuant to the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">4. Cannot discharge the member's term for a substantial part of the term for which the member is appointed because of illness or disability; or&nbsp;</span></p> <p><span class="cls0">5. Is absent from more than half of the regularly scheduled board meetings that the member is eligible to attend during a calendar year unless the absence is excused by a majority vote of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 3, eff. July 1, 1996. Amended by Laws 2002, c. 84, &sect; 1; Laws 2008, c. 10, &sect; 1; Laws 2012, c. 57, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2054. State Board of Examiners of Perfusionists - Officers - Meetings.&nbsp;</span></p> <p><span class="cls0">A. Within thirty (30) days after the members of the State Board of Examiners of Perfusionists are appointed, the Board shall meet to elect a chair and vice-chair who shall hold office according to the rules adopted by the Board.&nbsp;</span></p> <p><span class="cls0">B. The Board shall hold at least two regular meetings each year as provided by the rules and procedures adopted by the Board.&nbsp;</span></p> <p><span class="cls0">C. A majority of the members of the Board, including the chair and vice-chair shall constitute a quorum at any meeting, and a majority of the required quorum shall be sufficient for the Board to take action by vote.&nbsp;</span></p> <p><span class="cls0">D. The Board shall comply with the provisions of the Oklahoma Open Meeting Act, the Oklahoma Open Records Act, the Administrative Procedures Act, and any other general act, statutorily created duty or requirement applicable to state agencies.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 4, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2055. State Board of Examiners of Perfusionists - Powers and duties.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Examiners of Perfusionists shall promulgate rules not inconsistent with the provisions of the Oklahoma Licensed Perfusionists Act as are necessary for the governing of the proceedings of the Board, the performance of the duties of the Board, the regulation of the practice of perfusion in this state, and the enforcement of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall:&nbsp;</span></p> <p><span class="cls0">1. Adopt and publish standards of professional conduct for perfusionists and adopt an official seal;&nbsp;</span></p> <p><span class="cls0">2. Establish the qualifications and fitness of applicants for licenses, renewal of licenses, and reciprocal licenses;&nbsp;</span></p> <p><span class="cls0">3. Examine, certify, and renew the licenses of duly qualified applicants and establish the requirements and procedures therefor;&nbsp;</span></p> <p><span class="cls0">4. Maintain an up-to-date list of every person licensed to practice perfusion pursuant to the Oklahoma Licensed Perfusionists Act. The list shall show the license holder's last-known place of employment, last-known place of residence and the date and number of the license;&nbsp;</span></p> <p><span class="cls0">5. Cause the prosecution of all persons violating the Oklahoma Licensed Perfusionists Act and incur necessary expenses therefor;&nbsp;</span></p> <p><span class="cls0">6. Keep a record of all proceedings of the Board and make the record available to the public for inspection during reasonable business hours;&nbsp;</span></p> <p><span class="cls0">7. Conduct hearings and issue subpoenas according to the Administrative Procedures Act, the Oklahoma Licensed Perfusionists Act, and rules promulgated by the Board.&nbsp;</span></p> <p><span class="cls0">8. Investigate or cause to be investigated alleged violations of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">9. Determine and assess administrative penalties, take or request civil action, request criminal prosecution or take other administrative or civil action as specifically authorized by the Oklahoma Licensed Perfusionists Act or other law against any person or entity who has violated any of the provisions of the Oklahoma Licensed Perfusionists Act, rules promulgated thereunder, or any license or order issued pursuant thereto;&nbsp;</span></p> <p><span class="cls0">10. Enter into interagency agreements or other contracts necessary to implement the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">11. Share information on a case-by-case basis of any person whose license has been suspended, revoked or denied. This information shall include the name, social security number, type and cause of action, date and penalty incurred, and the length of the penalty and any other information determined necessary by the Board. This information shall be available for public inspection during reasonable business hours and shall be supplied to similar governing boards in other states upon request;&nbsp;</span></p> <p><span class="cls0">12. Establish reasonable and necessary fees for the administration and implementation of the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">13. Provide to its members and employees, as often as necessary, information regarding their qualifications for office or employment under the Oklahoma Licensed Perfusionists Act and their responsibilities under applicable laws relating to standards of conduct for state officers or employees;&nbsp;</span></p> <p><span class="cls0">14. Establish continuing professional education programs for licensed perfusionists and provisional licensed perfusionists pursuant to the Oklahoma Licensed Perfusionists Act, the standards of which shall be at least as stringent as those of the American Board of Cardiovascular Perfusion or its successor agency, and shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;establish a minimum number of hours of continuing education required to renew a license under the Oklahoma Licensed Perfusionists Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;develop a process to evaluate and approve continuing education courses,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;identify the key factors for the competent performance by a license holder of the license holder's professional duties, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;adopt a procedure to assess a license holder's participation in continuing education programs;&nbsp;</span></p> <p><span class="cls0">15. By agreement, secure and provide for compensation for services that the Board considers necessary to the administration and implementation of the Oklahoma Licensed Perfusionists Act and may employ and compensate within available funds professional consultants, technical assistants, and employees on a full-time or part-time basis; and&nbsp;</span></p> <p><span class="cls0">16. Enter into agreements or contracts, consistent with state law, with outside organizations for the purpose of developing, administering, grading, or reporting the results of examinations. Such organizations must be capable of providing an examination which:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;meets the standards of the American Board of Cardiovascular Perfusion or its successor agency,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is able to be validated by an independent testing professional, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;is nationally recognized as testing cardiovascular perfusion competencies.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 5, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2056. State Board of Examiners of Perfusionists - Employees and property - Executive Secretary.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Examiners of Perfusionists may employ such personnel and acquire such facilities, equipment, and supplies as are necessary to assist the Board in the administration and implementation of the provisions of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">B. The Board shall designate a member of the Board to serve as the Executive Secretary of the Board. The Executive Secretary shall be the administrator of the licensure activities of the Board.&nbsp;</span></p> <p><span class="cls0">C. In addition to other duties prescribed by the Oklahoma Licensed Perfusionists Act and by the Board, the Executive Secretary shall:&nbsp;</span></p> <p><span class="cls0">1. Keep full and accurate minutes of the transactions and proceedings of the Board;&nbsp;</span></p> <p><span class="cls0">2. Be the custodian of the files and records of the Board;&nbsp;</span></p> <p><span class="cls0">3. Prepare and recommend to the Board plans and procedures necessary to implement the purposes and objectives of the Oklahoma Licensed Perfusionists Act, including rules and proposals on administrative procedures consistent with the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">4. Exercise general supervision over persons employed by the Board in the administration of the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">5. Be responsible for the investigation of complaints and for the presentation of formal complaints;&nbsp;</span></p> <p><span class="cls0">6. Attend all meetings of the Board as a nonvoting participant; and&nbsp;</span></p> <p><span class="cls0">7. Handle the correspondence of the Board and obtain, assemble or prepare the reports and information that the Board may direct or authorize.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 6, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2057. State Board of Examiners of Perfusionists - Compensation - Liability.&nbsp;</span></p> <p><span class="cls0">A. Members of the State Board of Examiners of Perfusionists shall serve without compensation but shall be reimbursed for all actual and necessary expenses incurred while engaged in the discharge of official duties pursuant to the Oklahoma Licensed Perfusionists Act in accordance with the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">B. Members of the Board shall enjoy the same rights of protection from personal liability as those enjoyed by other employees of the state for actions taken while acting under the provisions of the Oklahoma Licensed Perfusionists Act and in the course of their duties.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 7, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2058. Perfusionists Licensure Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the State Board of Examiners of Perfusionists to be designated the "Perfusionists Licensure Fund". The fund shall be a continuing fund, not subject to fiscal year limitations, and shall consist of fees received by the Board and any other monies collected pursuant to the Oklahoma Licensed Perfusionists Act. All monies accruing to the credit of the fund are hereby appropriated and may be budgeted and expended by the Board for any purpose which is reasonably necessary to carry out the provisions of the Oklahoma Licensed Perfusionists Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 8, eff. July 1, 1996. Amended by Laws 2012, c. 304, &sect; 291.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;592059. License &ndash; Requirements &ndash; Application &ndash; Education programs &ndash; Notice of qualification or nonqualification.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided in the Oklahoma Licensed Perfusionists Act, on and after January 1, 1997, no person shall practice perfusion in this state unless licensed pursuant to the provisions of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">B. No person shall be licensed to practice perfusion in this state except upon a finding by the State Board of Examiners of Perfusionists that such person:&nbsp;</span></p> <p><span class="cls0">1. Has fully complied with all applicable licensure requirements of the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">2. Is of good moral character; and&nbsp;</span></p> <p><span class="cls0">3. Has produced satisfactory evidence to the Board of the ability of the applicant to practice perfusion with reasonable skill and safety.&nbsp;</span></p> <p><span class="cls0">C. An applicant for a perfusionist license must submit a sworn application accompanied by an application fee specified in Section 2071 of this title in an amount set by rule of the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board shall prescribe the form of the application and by rule may establish dates by which applications and fees must be received. These rules must not be inconsistent with present rules of the State Board of Medical Licensure and Supervision related to application dates of other licenses.&nbsp;</span></p> <p><span class="cls0">E. To qualify for the examination for licensure, the applicant must have successfully completed a perfusion education program approved by the Board.&nbsp;</span></p> <p><span class="cls0">F. In approving perfusion education programs necessary for qualification for examination, the Board shall approve only a program that has educational standards that are at least as stringent as those established by the Accreditation Committee for Perfusion Education and approved by the Committee on Allied Health Education and Accreditation of the American Medical Association or their successors.&nbsp;</span></p> <p><span class="cls0">G. Not later than the forty-fifth day after the date of receipt of a properly submitted and timely application and not later than the thirtieth day before the next examination date, the Board shall notify an applicant in writing that the applicant's application and any other relevant evidence pertaining to applicant qualifications established by the Board by rule have been received and investigated. The notice shall state whether the application and other evidence submitted have qualified the applicant for examination. If the applicant has not qualified for examination, the notice shall state the reasons for lack of qualification.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 9, eff. July 1, 1996. Amended by Laws 2000, c. 29, &sect; 1, emerg. eff. April 6, 2000.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2060. Licenses - Examination.&nbsp;</span></p> <p><span class="cls0">A. The applicant, except where otherwise provided in the Oklahoma Licensed Perfusionists Act, shall be required to pass an examination, whereupon the State Board of Examiners of Perfusionists may issue to the applicant a license to practice perfusion. Examinations shall be prepared or approved by the Board and administered to qualified applicants at least once each calendar year.&nbsp;</span></p> <p><span class="cls0">B. An examination prescribed by the Board may be or may include the written and oral examinations given by the American Board of Cardiovascular Perfusion or by a national or state testing service in lieu of an examination prepared by the Board.&nbsp;</span></p> <p><span class="cls0">C. Not later than thirty (30) days after the date on which an examination is administered under the provisions of the Oklahoma Licensed Perfusionists Act, the Board shall notify each examinee of the results of the examination. If an examination is graded or reviewed by a national or state testing service, the Board shall notify examinees of the results of the examination within two (2) weeks after the date the Board receives the results from the testing service. If the notice of examination results will be delayed for more than ninety (90) days after the examination date, the Board shall notify the examinee of the reason for the delay before the ninetieth day.&nbsp;</span></p> <p><span class="cls0">D. If requested in writing by a person who fails the examination, the Board shall furnish the person with an analysis of the person's performance on the examination.&nbsp;</span></p> <p><span class="cls0">E. The Board by rule may establish a limit on the number of times an applicant who fails an examination may retake the examination and the requirements for retaking the examination.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 10, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2061. Licenses - Waiver of examination.&nbsp;</span></p> <p><span class="cls0">A. Upon the receipt of an application and application fee, the State Board of Examiners of Perfusionists shall waive the examination requirement and issue a license to practice perfusion by endorsement to an applicant who:&nbsp;</span></p> <p><span class="cls0">1. Is currently permitted, licensed or certified by another state, territory, or possession of the United States if the requirements of that state, territory, or possession for the permit, license or certificate are deemed by the Board to be equivalent to those required in this state by the Oklahoma Licensed Perfusionists Act; or&nbsp;</span></p> <p><span class="cls0">2. Holds a license as a Certified Clinical Perfusionist (CCP) by the American Board of Cardiovascular Perfusion prior to January 1, 1997, provided such license has not been not renewed, suspended or revoked; or&nbsp;</span></p> <p><span class="cls0">3. Has been practicing perfusion in a full-time capacity for a period of more than twenty-four (24) months prior to January 1, 1997; and&nbsp;</span></p> <p><span class="cls0">4. Meets and complies with all other requirements specified by the Oklahoma Licensed Perfusionists Act or rules promulgated thereto.&nbsp;</span></p> <p><span class="cls0">B. An applicant applying for a license pursuant to the provisions of this section shall certify under oath that the applicant's credentials have not been suspended, revoked, or not renewed or the applicant has not been placed on probation, or reprimanded.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 11, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2062. Licenses - Provisional license.&nbsp;</span></p> <p><span class="cls0">A. 1. Upon the receipt of an application and application fee, the State Board of Examiners of Perfusionists may issue a provisional license to practice perfusion for a period of one (1) year to a person permitted, licensed or certified in another state, territory, or possession of the United States who does not qualify for a licensure by endorsement pursuant to Section 11 of this act but has applied to take the examination and otherwise meets the qualifications of the Board. Provided, the applicant must show written evidence, verified by oath, that the applicant is currently practicing or has within the last six (6) months practiced perfusion in another state, territory, or possession of the United States.&nbsp;</span></p> <p><span class="cls0">2. A graduate of a perfusion education program approved by the Accreditation Committee for Perfusion Education and approved by the Committee on Allied Health Education and Accreditation of the American Medical Association or their successors, who has applied to take the examination and otherwise meets the qualifications of the Board.&nbsp;</span></p> <p><span class="cls0">3. A student currently enrolled in a perfusion education program approved by the Accreditation Committee for Perfusion Education and approved by the Committee on Allied Health Education and Accreditation of the American Medical Association or their successors may receive a provisional license as set out by the rules of the Board.&nbsp;</span></p> <p><span class="cls0">B. A person to whom a provisional license is issued pursuant to this section shall be under the supervision and direction of a licensed perfusionist at all times during which the provisional licensed perfusionist performs perfusion. Rules promulgated by the Board governing such supervision and direction shall require the immediate physical presence of the supervising licensed perfusionist.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 12, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2063. Licenses - Issuance.&nbsp;</span></p> <p><span class="cls0">The Board may issue a license to practice perfusion upon payment of a licensure fee specified by Section 21 of this act to any person who has:&nbsp;</span></p> <p><span class="cls0">1. Qualified pursuant to Section 10 or Section 11 of this act; or&nbsp;</span></p> <p><span class="cls0">2. Been practicing perfusion in a full-time capacity for a period of more than twenty-four (24) months prior to January 1, 1997; provided, such applicant must demonstrate through written evidence verified under oath and certified to by the employing health care facility that the applicant has in fact been employed in such capacity for more than twenty-four (24) months preceding January 1, 1997.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 13, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2064. Licenses - Title - Display - Copy in records - Change of address - Surrender on demand.&nbsp;</span></p> <p><span class="cls0">A. A person holding a license to practice perfusion in this state may use the title "licensed perfusionist" and the abbreviation "L.P.".&nbsp;</span></p> <p><span class="cls0">B. A license holder must:&nbsp;</span></p> <p><span class="cls0">1. Display the license in an appropriate and public manner; or&nbsp;</span></p> <p><span class="cls0">2. Maintain on file at all times during which the license provides services in a health care facility a true and correct copy of the license in the appropriate records of the facility; and&nbsp;</span></p> <p><span class="cls0">3. Keep the State Board of Examiners of Perfusionists informed of any change of address.&nbsp;</span></p> <p><span class="cls0">C. A licensure issued by the Board is the property of the Board and shall be surrendered on demand.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 14, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2065. Licenses - Renewal.&nbsp;</span></p> <p><span class="cls0">A. Except as otherwise provided in the Oklahoma Licensed Perfusionists Act, a license shall be renewed annually. The State Board of Examiners of Perfusionists shall mail notices at least thirty (30) calendar days prior to the expiration for renewal of licenses to every person to whom a license was issued or renewed during the preceding renewal period. A person may renew an unexpired license by submitting proof satisfactory to the Board of compliance with the continuing professional education requirements prescribed by the Board and paying a renewal fee as specified by Section 21 of this act to the Board before the expiration date of the license.&nbsp;</span></p> <p><span class="cls0">B. If a person's license has been expired for not more than ninety (90) days, the person may renew the license by submitting proof satisfactory to the Board of compliance with the continuing professional education requirements prescribed by the Board and paying to the Board a renewal fee as specified by Section 21 of this act.&nbsp;</span></p> <p><span class="cls0">C. If a person's license has been expired for more than ninety (90) days but less than two (2) years, the person may renew the license by submitting proof satisfactory to the Board of compliance with the continuing professional education requirements prescribed by the Board and paying to the Board all unpaid renewal fees and a reinstatement fee as specified by Section 21 of this act.&nbsp;</span></p> <p><span class="cls0">D. If a person's license has been expired two (2) years or more, the person may not be permitted to renew the license, but such person may obtain a new license by submitting to reexamination and complying with the current requirements and procedures for obtaining a license.&nbsp;</span></p> <p><span class="cls0">E. No penalty for late renewal shall be charged to any license holder whose license expires while the holder is in military service if an application for renewal is made within one (1) year following such holder's service discharge.&nbsp;</span></p> <p><span class="cls0">F. The Board is authorized to establish by rule fees for replacement and duplicate licenses.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 15, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2066. Exempt persons.&nbsp;</span></p> <p><span class="cls0">The provisions of the Oklahoma Licensed Perfusionists Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. A person licensed by another health professional licensing board if:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the person does not represent to the public, directly or indirectly, that the person is licensed pursuant to the provisions of the Oklahoma Licensed Perfusionists Act, and does not use any name, title, or designation indicating that the person is licensed pursuant to the Oklahoma Licensed Perfusionists Act, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the person confines the person's acts or practice to the scope of practice authorized by the other health professional licensing laws;&nbsp;</span></p> <p><span class="cls0">2. A student enrolled in an accredited perfusion education program if perfusion services performed by the student:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;are an integral part of the student's course of study, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;are performed under the direct supervision of a licensed perfusionist assigned to supervise the student and who is on duty and immediately available in the assigned patient care area;&nbsp;</span></p> <p><span class="cls0">3. The practice of any legally qualified perfusionist employed by the United States government which is in the discharge of official duties; or&nbsp;</span></p> <p><span class="cls0">4. A person performing autotransfusion or blood conservation techniques under the supervision of a licensed physician.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 16, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2067. Disciplinary proceedings - Penalties.&nbsp;</span></p> <p><span class="cls0">The State Board of Examiners of Perfusionists may assess administrative penalties, revoke, suspend, or refuse to renew any license, place on probation, or otherwise reprimand a license holder or deny a license to an applicant if it finds that the person:&nbsp;</span></p> <p><span class="cls0">1. Is guilty of fraud or deceit in procuring or attempting to procure a license or renewal of a license to practice perfusion;&nbsp;</span></p> <p><span class="cls0">2. Is unfit or incompetent by reason of negligence, habits, or other causes of incompetence;&nbsp;</span></p> <p><span class="cls0">3. Is habitually intemperate in the use of alcoholic beverages;&nbsp;</span></p> <p><span class="cls0">4. Is addicted to, or has improperly obtained, possessed, used, or distributed habit-forming drugs or narcotics;&nbsp;</span></p> <p><span class="cls0">5. Is guilty of dishonest or unethical conduct;&nbsp;</span></p> <p><span class="cls0">6. Has practiced perfusion after the license has expired or has been suspended, revoked or not renewed;&nbsp;</span></p> <p><span class="cls0">7. Has practiced perfusion under cover of any permit, license, or certificate illegally or fraudulently obtained or issued;&nbsp;</span></p> <p><span class="cls0">8. Has violated or aided or abetted others in violation of any provision of the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">9. Has been guilty of unprofessional conduct as defined by the rules established by the Board, or of violating the code of ethics adopted and published by the Board;&nbsp;</span></p> <p><span class="cls0">10. Is guilty of the unauthorized practice of medicine; or&nbsp;</span></p> <p><span class="cls0">11. Has been found to be in violation of any provision of the Oklahoma Licensed Perfusionists Act or rules promulgated thereto.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 17, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2068. Disciplinary proceedings - Investigation - Hearing - Costs - Publication of names and addresses.&nbsp;</span></p> <p><span class="cls0">A. Upon the filing of a written complaint with the State Board of Examiners of Perfusionists charging a person with any of the acts described in Section 17 of this act, an authorized employee of the Board may make an investigation. If the Board finds reasonable grounds for the complaint, a time and place for a hearing shall be set, notice of which shall be served on the license holder, or applicant at least fifteen (15) calendar days prior thereto. The notice shall be by personal service or by certified or registered mail sent to the last-known address of the person.&nbsp;</span></p> <p><span class="cls0">B. Hearing procedures shall be conducted in accordance with, and a person who feels aggrieved by a decision of the Board may make an appeal pursuant to, Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. Any person who has been determined to be in violation of the Oklahoma Licensed Perfusionists Act or any rule promulgated thereto, in addition to any administrative penalty assessed by the Board pursuant to Section 20 of this act, shall pay for all costs incurred by the Board.&nbsp;</span></p> <p><span class="cls0">D. The Board shall make public on a case-by-case basis the names and addresses of persons whose licenses have been denied, surrendered, revoked, suspended, or who have been denied renewal of their licenses, placed on probation or otherwise reprimanded, and persons who have been practicing perfusion in violation of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 18, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2069. Criminal violations.&nbsp;</span></p> <p><span class="cls0">It is a misdemeanor for any person to:&nbsp;</span></p> <p><span class="cls0">1. Sell, fraudulently obtain or furnish any perfusion license or record, or aid or abet therein;&nbsp;</span></p> <p><span class="cls0">2. Practice perfusion under cover of any perfusion diploma, license, or record illegally or fraudulently obtained or issued;&nbsp;</span></p> <p><span class="cls0">3. Practice perfusion unless duly licensed to do so pursuant to the provisions of the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">4. Impersonate in any manner or pretend to be a perfusionist or use the title "licensed perfusionist", the letters "L.P." or other words, letters, signs, symbols, or devices to indicate the person using them is a licensed perfusionist unless duly authorized by a license to perform under the provisions of the Oklahoma Licensed Perfusionists Act;&nbsp;</span></p> <p><span class="cls0">5. Practice perfusion during the time a license is suspended, revoked, or expired or not renewed;&nbsp;</span></p> <p><span class="cls0">6. Fail to notify the Board of the suspension, probation, or revocation of any past or currently held permits, licenses, or certificates required to practice perfusion in this or any other jurisdiction;&nbsp;</span></p> <p><span class="cls0">7. Knowingly employ unlicensed persons in the practice of perfusion in the capacity of a perfusionist;&nbsp;</span></p> <p><span class="cls0">8. Make false representations or impersonate or act as a proxy for another person or allow or aid any person or impersonate the person in connection with any examination or application for licensure or request to be examined or licensed; or&nbsp;</span></p> <p><span class="cls0">9. Otherwise violate any provision of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 19, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2070. Penalties for violation.&nbsp;</span></p> <p><span class="cls0">A. 1. Any person who has been determined by the State Board of Examiners of Perfusionists to have violated any provision of the Oklahoma Licensed Perfusionists Act or any rule or order issued pursuant thereto may be liable for an administrative penalty of not more than Five Hundred Dollars ($500.00) for each day that said violation continues. The maximum administrative penalty shall not exceed Ten Thousand Dollars ($10,000.00) for any related series of violations that do not constitute immediate jeopardy to patients. Penalties of not more than One Thousand Dollars ($1,000.00) per day may be imposed for violations constituting immediate jeopardy to residents.&nbsp;</span></p> <p><span class="cls0">2. The amount of the penalty shall be assessed by the Board pursuant to the provisions of paragraph 1 of this subsection, after notice and hearing. In determining the amount of the penalty, the Board shall include but not be limited to consideration of the nature, circumstances, and gravity of the violation, the repetitive nature of the violation of the person, the previous degree of difficulty in obtaining compliance with the Oklahoma Licensed Perfusionists Act or the rules promulgated pursuant thereto and, with respect to the person found to have committed the violation, the degree of culpability, and substantial show of good faith in attempting to achieve compliance with the provisions of the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">3. Any license holder may elect to surrender the license of such holder in lieu of said penalty but shall be forever barred from obtaining a reissuance of the license pursuant to the Oklahoma Licensed Perfusionists Act.&nbsp;</span></p> <p><span class="cls0">B. Any person determined to be in violation of any provision of the Oklahoma Licensed Perfusionists Act, upon conviction thereof, shall be guilty of a misdemeanor and shall be punishable by a fine of not more than One Thousand Dollars ($1,000.00) or by imprisonment for not more than six (6) months, or by both such fine and imprisonment for each offense.&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 20, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2071. Fees.&nbsp;</span></p> <p><span class="cls0">The maximum fees to be charged pursuant to the Oklahoma Licensed Perfusionists Act are as follows:&nbsp;</span></p> <p><span class="cls0">Application fee for licensure&nbsp;&nbsp;$100.00&nbsp;</span></p> <p><span class="cls0">License to practice perfusion&nbsp;&nbsp;$300.00&nbsp;</span></p> <p><span class="cls0">Provisional license to practice perfusion&nbsp;&nbsp; $300.00&nbsp;</span></p> <p class="cls26"><span class="cls0">Renewal for unexpired license to practice perfusion&nbsp;&nbsp;$300.00&nbsp;</span></p> <p class="cls26"><span class="cls0">Renewal for expired license to practice perfusion if made prior to ninety (90) days after expiration of license $400.00&nbsp;</span></p> <p class="cls26"><span class="cls0">Renewal for expired license to practice perfusion if made between ninety (90) days and two (2) years after expiration of license $500.00&nbsp;</span></p> <p><span class="cls0">Added by Laws 1996, c. 226, &sect; 21, eff. July 1, 1996.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2081. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2082. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2083. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2084. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2085. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2086. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2087. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2088 . Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2089. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2090. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2091. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2092. Repealed by Laws 2009, c. 190, &sect; 30, eff. July 1, 2009.&nbsp;</span></p> <p><span class="cls0">&sect;59-2093. Repealed by Laws 2010, c. 415, &sect; 40, eff. July 1, 2010.&nbsp;</span></p> <p><span class="cls0">&sect;59-2095. Short title.&nbsp;</span></p> <p><span class="cls0">Sections 3 through 29 of this act shall be known and may be cited as the "Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 3, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.1. Legislative findings.&nbsp;</span></p> <p><span class="cls0">The activities of mortgage brokers and mortgage loan originators and the origination or offering or modification of financing for residential real property have a direct, valuable and immediate impact upon Oklahoma&rsquo;s consumers, the Oklahoma economy, the neighborhoods and communities of Oklahoma and the housing and real estate industry. Therefore, the Legislature finds that accessibility to mortgage credit is vital to the state&rsquo;s citizens. The Legislature also finds that it is essential for the protection of the citizens of Oklahoma and the stability of the Oklahoma economy that reasonable standards for licensing and regulation of the business practices of mortgage brokers and mortgage loan originators be imposed. The Legislature further finds that the obligations of mortgage brokers and mortgage loan originators to consumers in connection with originating or making or modifying residential mortgage loans are such as to warrant the regulation of the mortgage lending process. The purpose of this act is to protect consumers seeking mortgage loans and to ensure that the mortgage lending industry is operating without unfair, deceptive and fraudulent practices on the part of mortgage brokers and mortgage loan originators. Therefore, the Legislature establishes within this act:&nbsp;</span></p> <p><span class="cls0">1. An effective system of supervision and enforcement of the mortgage lending industry, including:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the authority to issue licenses to conduct business under this act, including the authority to write rules or regulations or adopt procedures necessary to the licensing of entities or individuals covered under this act,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the authority to censure, deny, place on probation, suspend or revoke licenses issued under this act, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the authority to examine, investigate and conduct enforcement actions as necessary to carry out the intended purposes of this act, including the authority to subpoena witnesses and documents, enter orders, including cease and desist orders, order restitution and monetary penalties and order the removal and ban of individuals from office or employment; and&nbsp;</span></p> <p><span class="cls0">2. Broad administrative authority for the Administrator of Consumer Credit to administer, interpret and enforce this act and promulgate rules, subject to approval of the Commission on Consumer Credit, in order to carry out the intentions of the Legislature.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 4, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.2. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. "Administrator" means the Administrator of Consumer Credit;&nbsp;</span></p> <p><span class="cls0">2. "Affiliate" means an entity which directly or indirectly, through one or more intermediaries, controls, is controlled by or is under common control with the entity specified;&nbsp;</span></p> <p><span class="cls0">3. "Borrower" means any individual who consults with or retains a mortgage broker or mortgage loan originator in an effort to obtain or seek advice or information on obtaining or applying to obtain or modify a residential mortgage loan for himself, herself, or individuals including himself or herself, regardless of whether the individual actually obtains or modifies such a loan;&nbsp;</span></p> <p><span class="cls0">4. "Commission" means the Commission on Consumer Credit;&nbsp;</span></p> <p><span class="cls0">5. "Compensation" means anything of value or any benefit including points, commissions, bonuses, referral fees and loan origination fees;&nbsp;</span></p> <p><span class="cls0">6. "Depository institution" has the same meaning as in Section 3 of the Federal Deposit Insurance Act and includes any credit union;&nbsp;</span></p> <p><span class="cls0">7. "Entity" means a corporation, company, limited liability company, partnership or association;&nbsp;</span></p> <p><span class="cls0">8. "Federal banking agencies" means the Board of Governors of the Federal Reserve System, the Comptroller of the currency, the Director of the Office of Thrift Supervision, the National Credit Union Administration and the Federal Deposit Insurance Corporation;&nbsp;</span></p> <p><span class="cls0">9. "Immediate family member" means a spouse, child, sibling, parent, grandparent or grandchild and includes stepparents, stepchildren, stepsiblings and adoptive relationships;&nbsp;</span></p> <p><span class="cls0">10. "Individual" means a natural person and also includes a sole proprietorship;&nbsp;</span></p> <p class="cls2"><span class="cls0">11.&nbsp;&nbsp;a.&nbsp;&nbsp;"Loan processor or underwriter" means an entity or individual who performs support duties as an employee at the direction of and subject to the supervision and instruction of an entity or individual licensed or exempt from licensing as provided in Section 2095.3 of this title.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;For purposes of this paragraph, the term "clerical or support duties" may include subsequent to the receipt of an application, the receipt collection, distribution and analysis of information necessary for the processing or underwriting or modification of a loan, to the extent that such communication does not include offering or negotiating or modifying loan rates or terms, or counseling consumers about residential mortgage loan rates or terms.&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;An entity or individual engaging solely in loan processor or underwriter activities shall not represent to the public through advertising or other means of communicating or providing information, including the use of business cards, stationery, brochures, signs, rate lists or other promotional items, that such entity or individual can or will perform any of the activities of a mortgage broker or mortgage loan originator;&nbsp;</span></p> <p class="cls2"><span class="cls0">12.&nbsp;&nbsp;a.&nbsp;&nbsp;"Mortgage broker" means an entity who for compensation or gain or in the expectation of compensation or gain:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;takes a residential mortgage loan application, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;offers, negotiates or modifies the terms of a residential mortgage loan.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Mortgage broker does not include:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;an entity engaged solely as a loan processor or underwriter except as otherwise provided in Section 2095.5 of this title,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;an entity that only performs real estate brokerage activities and is licensed or registered in accordance with Oklahoma law, unless the entity is compensated by a lender, a mortgage broker, or other mortgage loan originator or by any agent of such lender, mortgage broker or other mortgage loan originator, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;an entity solely involved in extensions of credit relating to timeshare plans, as that term is defined in 11 U.S.C., Section 101(53D) United States Code;&nbsp;</span></p> <p><span class="cls0">13. "Mortgage lender" means an entity that takes an application for a residential mortgage loan, makes a residential mortgage loan or services a residential mortgage loan and is an approved or authorized:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;mortgagee with direct endorsement underwriting authority granted by the United States Department of Housing and Urban Development,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;seller or servicer of the Federal National Mortgage Association or the Federal Home Loan Mortgage Corporation, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;issuer for the Government National Mortgage Association;&nbsp;</span></p> <p class="cls2"><span class="cls0">14.&nbsp;&nbsp;a.&nbsp;&nbsp;"Mortgage loan originator" means an individual who for compensation or gain or in the expectation of compensation or gain:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;takes a residential mortgage loan application, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;offers or negotiates or modifies the terms of a residential mortgage loan.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Mortgage loan originator does not include:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;an individual engaged solely as a loan processor or underwriter except as otherwise provided in Section 2095.5 of this title,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;an individual that only performs real estate brokerage activities and is licensed or registered in accordance with Oklahoma law, unless the individual is compensated by a lender, a mortgage broker, or other mortgage loan originator or by any agent of such lender, mortgage broker, or other mortgage loan originator, and&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;an individual solely involved in extensions of credit relating to timeshare plans, as that term is defined in 11 U.S.C., Section 101(53D);&nbsp;</span></p> <p><span class="cls0">15. "Nationwide Mortgage Licensing System and Registry" means a mortgage licensing system developed and maintained by the Conference of State Bank Supervisors and the American Association of Residential Mortgage Regulators for the licensing and registration of licensed mortgage brokers and mortgage loan originators;&nbsp;</span></p> <p><span class="cls0">16. "Nontraditional mortgage product" means any mortgage product other than a thirty-year fixed rate mortgage;&nbsp;</span></p> <p><span class="cls0">17. "Real estate brokerage activity" means any activity that involves offering or providing real estate brokerage services to the public, including:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;acting as a real estate agent or real estate broker for a buyer, seller, lessor or lessee of real property,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;bringing together parties interested in the sale, purchase, lease, rental or exchange of real property,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;negotiating, on behalf of any party, any portion of a contract relating to the sale, purchase, lease, rental or exchange of real property, other than in connection with providing financing with respect to any such transaction,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;engaging in any activity for which an entity engaged in the activity is required to be registered or licensed as a real estate agent or real estate broker under any applicable law, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;offering to engage in any activity or act in any capacity, described in this paragraph;&nbsp;</span></p> <p><span class="cls0">18. "Registered mortgage loan originator" means any individual who:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;meets the definition of mortgage loan originator and is an employee of:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;a depository institution,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;a subsidiary that:&nbsp;</span></p> <p class="cls25"><span class="cls0">(a)&nbsp;&nbsp;is owned and controlled by a depository institution, and&nbsp;</span></p> <p class="cls25"><span class="cls0">(b)&nbsp;&nbsp;is regulated by a federal banking agency, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;an institution regulated by the Farm Credit Administration, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;is registered with and maintains a unique identifier through, the Nationwide Mortgage Licensing System and Registry;&nbsp;</span></p> <p><span class="cls0">19. "Residential mortgage loan" means any loan primarily for personal, family or household use that is secured by a mortgage, deed of trust, or other equivalent consensual security interest on a dwelling as defined in Section 103(v) of the Truth in Lending Act or residential real estate upon which is constructed or intended to be constructed such a dwelling;&nbsp;</span></p> <p><span class="cls0">20. "Residential real estate" means any real property located in this state upon which is constructed or intended to be constructed a dwelling as defined in paragraph 19 of this section; and&nbsp;</span></p> <p><span class="cls0">21. "Unique identifier" means a number or other identifier assigned by protocols established by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 5, eff. July 1, 2009. Amended by Laws 2013, c. 98, &sect; 1, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.3. Exemptions.&nbsp;</span></p> <p><span class="cls0">The following are exempt from all provisions of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act:&nbsp;</span></p> <p><span class="cls0">1. Registered mortgage loan originators, when acting for an entity described in divisions (1), (2) and (3) of subparagraph a of paragraph 17 of Section 2095.2 of this title;&nbsp;</span></p> <p><span class="cls0">2. An individual who offers or negotiates or modifies terms of a residential mortgage loan with or on behalf of an immediate family member of the individual;&nbsp;</span></p> <p><span class="cls0">3. An individual who offers or negotiates or modifies terms of a residential mortgage loan secured by a dwelling that served as the individual&rsquo;s residence;&nbsp;</span></p> <p><span class="cls0">4. A licensed attorney who negotiates or modifies the terms of a residential mortgage loan on behalf of a client as an ancillary matter to the attorney&rsquo;s representation of the client, unless the attorney is compensated by a lender, a mortgage broker or other mortgage loan originator or by any agent of such lender, mortgage broker, or other mortgage loan originator; or&nbsp;</span></p> <p><span class="cls0">5. Entities described in divisions (1), (2) and (3) of subparagraph a of paragraph 17 of Section 2095.2 of this title.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 6, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 25, eff. July 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.4. Unique identifier required on documents.&nbsp;</span></p> <p><span class="cls0">The unique identifier of any licensed mortgage broker, mortgage lender or licensed mortgage loan originator shall be clearly shown on all residential mortgage loan application forms, solicitations or advertisements, including business cards or websites, and any other documents as established by rule.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 7, eff. July 1, 2009. Amended by Laws 2013, c. 98, &sect; 2, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.5. License and registration requirements - Independent contractors - Rules and procedures.&nbsp;</span></p> <p><span class="cls0">A. 1. An entity or individual, unless specifically exempted from the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, as provided in Section 2095.3 of this title, shall not engage in the business of a mortgage broker, mortgage lender or mortgage loan originator with respect to any dwelling located in this state without first obtaining and maintaining annually a license under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. Each licensed mortgage broker, mortgage lender and mortgage loan originator must register with and maintain a valid unique identifier issued by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">2. In order to facilitate an orderly transition to licensing and minimize disruption in the mortgage marketplace, the effective date for licensing all entities and individuals as provided in this subsection, including those currently licensed as mortgage brokers or mortgage loan originators, shall be July 31, 2010, or such later date approved by the Secretary of the U.S. Department of Housing and Urban Development, pursuant to the authority granted under 12 U.S.C., Section 5107.&nbsp;</span></p> <p><span class="cls0">B. A loan processor or underwriter who is an independent contractor may not engage in the activities of a loan processor or underwriter unless such independent contractor loan processor or underwriter obtains and maintains a license as required by the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. Each independent contractor loan processor or underwriter licensed as a mortgage broker or mortgage loan originator must have and maintain a valid unique identifier issued by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">C. For the purposes of implementing an orderly and efficient licensing process, the Administrator of Consumer Credit may establish licensing rules, upon approval by the Commission, and the Administrator may establish interim procedures for licensing and acceptance of applications. For previously registered or licensed entities or individuals, the Administrator may establish expedited review and licensing procedures.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 8, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 26, eff. July 1, 2010; Laws 2013, c. 98, &sect; 3, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.6. License and registration - Application and renewal - Inactive status - Fees.&nbsp;</span></p> <p><span class="cls0">A. Applicants for a license shall apply on a form as prescribed by the Administrator of Consumer Credit.&nbsp;</span></p> <p><span class="cls0">B. In order to fulfill the purposes of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, the Administrator is authorized to establish relationships or contracts with the Nationwide Mortgage Licensing System and Registry or other entities designated by the Nationwide Mortgage Licensing System and Registry to collect and maintain records and process transaction fees or other fees related to licensees or other entities or individuals subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act.&nbsp;</span></p> <p><span class="cls0">C. In connection with an application for licensing as a mortgage loan originator, the applicant shall, at a minimum, furnish to the Nationwide Mortgage Licensing System and Registry information concerning the applicant's identity including:&nbsp;</span></p> <p><span class="cls0">1. Fingerprints for submission to the Federal Bureau of Investigation and any governmental agency or entity authorized to receive such information for a state, national and international criminal history background check; and&nbsp;</span></p> <p><span class="cls0">2. Personal history and experience in a form prescribed by the Nationwide Mortgage Licensing System and Registry and the Administrator to obtain:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an independent credit report obtained from a consumer reporting agency defined in 15 U.S.C., Section 1681a(p), and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;information related to any administrative, civil or criminal findings by any governmental jurisdiction.&nbsp;</span></p> <p><span class="cls0">D. In connection with an application for licensing as a mortgage broker or mortgage lender, the applicant shall, at a minimum, furnish to the Nationwide Mortgage Licensing System and Registry information concerning each owner, officer, director or partner, as applicable including:&nbsp;</span></p> <p><span class="cls0">1. Fingerprints for submission to the Federal Bureau of Investigation and any governmental agency or entity authorized to receive such information for a state, national and international criminal history background check; and&nbsp;</span></p> <p><span class="cls0">2. Personal history and experience in a form prescribed by the Nationwide Mortgage Licensing System and Registry and the Administrator to obtain:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;an independent credit report obtained from a consumer reporting agency described in 15 U.S.C., Section 1681a(p), and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;information related to any administrative, civil or criminal findings by any governmental jurisdiction.&nbsp;</span></p> <p><span class="cls0">E. For purposes of this section and in order to reduce points of contact which the Federal Bureau of Investigation may have to maintain for purposes of paragraph 1 and subparagraph b of paragraph 2 of subsection D of this section, the Administrator may use the Nationwide Mortgage Licensing System and Registry as a channeling agent for requesting information from and distributing information to the Department of Justice or any governmental agency.&nbsp;</span></p> <p><span class="cls0">F. For the purposes of this section and in order to reduce the points of contact which the Administrator may have to maintain for purposes of subparagraphs a and b of paragraph 2 of subsection D of this section, the Administrator may use the Nationwide Mortgage Licensing System and Registry as a channeling agent for requesting and distributing information to and from any source so directed by the Administrator.&nbsp;</span></p> <p><span class="cls0">G. A license issued under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act shall be valid for a period of one (1) year, unless otherwise revoked or suspended by the Administrator as provided in the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act.&nbsp;</span></p> <p><span class="cls0">H. The Administrator, on determining that the applicant is qualified and upon payment of the fees by the applicant, shall issue a license to the applicant. An applicant who has been denied a license may not reapply for the license for sixty (60) days from the date of the previous application. A new license issued on or after November 1 shall be effective through December 31 of the following calendar year.&nbsp;</span></p> <p><span class="cls0">I. A licensee shall pay the renewal fee on or before December 1. If the license is not renewed by December 1, the licensee shall pay a late renewal fee as prescribed by rule of the Commission on Consumer Credit. Licenses not renewed by December 31 shall expire and the licensee shall not act as a mortgage broker, mortgage lender or mortgage loan originator until a new license is issued pursuant to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. A license shall not be granted to the holder of an expired license except as provided in the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act for the issuance of an original license.&nbsp;</span></p> <p><span class="cls0">J. On or before December 31, a licensee may request inactive status for the following license year and the license shall be placed on inactive status after payment to the Administrator of the inactive status renewal fee prescribed in this section and the surrender of the license to the Administrator. During inactive status, an inactive licensee shall not act as a mortgage broker, mortgage lender or mortgage loan originator. A licensee may not be on inactive status for more than two (2) consecutive years, nor for more than four (4) years in any ten-year period. The license is deemed expired for violation of any of the limitations of this subsection.&nbsp;</span></p> <p><span class="cls0">K. An inactive licensee may return to active status notwithstanding the requirements of this section by making a request in writing to the Administrator for reactivation and paying the prorated portion of the annual fee that would have been charged to the licensee to maintain normal active status. The licensee shall also provide the Administrator with proof that the licensee meets all of the other requirements for acting as a mortgage broker, mortgage lender or mortgage loan originator, including any applicable education and testing requirements.&nbsp;</span></p> <p><span class="cls0">L. A licensee shall prominently display the mortgage broker, mortgage lender or mortgage loan originator license in the office of the mortgage broker, mortgage lender or mortgage loan originator and any branch office of the mortgage broker or mortgage lender.&nbsp;</span></p> <p><span class="cls0">M. 1. Initial and renewal license fees shall be as prescribed by rule of the Commission on Consumer Credit.&nbsp;</span></p> <p><span class="cls0">2. A late renewal fee shall be as prescribed by rule of the Commission on Consumer Credit.&nbsp;</span></p> <p><span class="cls0">3. Branch office fees shall be as prescribed by rule of the Commission on Consumer Credit for each year.&nbsp;</span></p> <p><span class="cls0">4. Inactive status fees shall be as prescribed by rule of the Commission on Consumer Credit for each year.&nbsp;</span></p> <p><span class="cls0">5. A fee as prescribed by rule of the Commission on Consumer Credit shall be charged for each license change, duplicate license or returned check.&nbsp;</span></p> <p><span class="cls0">6. A fee as prescribed by rule of the Commission on Consumer Credit shall be paid by applicants and licensees into the Oklahoma Mortgage Broker and Mortgage Loan Originator Recovery Fund as provided for in Section 2095.20 of this title for each initial application and each renewal application.&nbsp;</span></p> <p><span class="cls0">7. An examination fee shall be as prescribed by rule of the Commission on Consumer Credit.&nbsp;</span></p> <p><span class="cls0">8. An application fee shall be as prescribed by rule of the Commission on Consumer Credit.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 9, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 27, eff. July 1, 2010; Laws 2013, c. 98, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.7. Findings required for issuance of a mortgage loan originator license.&nbsp;</span></p> <p><span class="cls0">The Administrator of Consumer Credit shall not issue a mortgage loan originator license unless the Administrator makes at a minimum the following findings:&nbsp;</span></p> <p><span class="cls0">1. The applicant has never had a mortgage loan originator license revoked in any governmental jurisdiction, except that a subsequent formal vacation of such revocation shall not be deemed a revocation;&nbsp;</span></p> <p><span class="cls0">2. The applicant has not been convicted of, or pled guilty or nolo contendere to a felony in a domestic, foreign or military court:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;during the seven-year period preceding the date of the application for licensing and registration, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;at any time preceding such date of application, if such felony involved an act of fraud, dishonesty, a breach of trust or money laundering.&nbsp;</span></p> <p><span class="cls0">Provided, that any pardon of a conviction shall not be a conviction for purposes of this paragraph;&nbsp;</span></p> <p><span class="cls0">3. The applicant has demonstrated financial responsibility, character and general fitness such as to command the confidence of the community and to warrant a determination that the mortgage loan originator will operate honestly, fairly and efficiently within the purposes of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. For purposes of this paragraph, an individual has shown that he or she is not financially responsible when he or she has shown a disregard in the management of his or her own financial condition. A determination that an individual has not shown financial responsibility may include, but not be limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;current outstanding judgments, except judgments solely as a result of medical expenses,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;current outstanding tax liens or other government liens and filings,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;foreclosures within the past three (3) years, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;pattern of seriously delinquent accounts within the past three (3) years;&nbsp;</span></p> <p><span class="cls0">4. The applicant has completed the prelicensing education requirement described in Section 2095.8 of this title;&nbsp;</span></p> <p><span class="cls0">5. The applicant has passed a written test that meets the test requirement described in Section 2095.9 of this title;&nbsp;</span></p> <p><span class="cls0">6. The applicant has paid into the Oklahoma Mortgage Broker and Mortgage Loan Originator Recovery Fund as required by paragraph 6 of subsection M of Section 2095.6 of this title; and&nbsp;</span></p> <p><span class="cls0">7. The applicant is sponsored by a licensed mortgage broker or mortgage lender. The Administrator of Consumer Credit may authorize an entity exempt from the requirements of this act to sponsor an applicant that is an independent contractor of the exempt entity. The Administrator of Consumer Credit may promulgate administrative rules, subject to approval of the Commission on Consumer Credit, to implement sponsorship procedures and requirements.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 10, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 28, eff. July 1, 2010; Laws 2013, c. 98, &sect; 5, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.8. Prelicense education requirements - Course approval.&nbsp;</span></p> <p><span class="cls0">A. In order to meet the prelicensing education requirement referred to in Section 10 of this act, an individual shall complete at least twenty (20) hours of education approved in accordance with subsection B of this section, which shall include at least:&nbsp;</span></p> <p><span class="cls0">1. Three (3) hours of federal law and regulations;&nbsp;</span></p> <p><span class="cls0">2. Three (3) hours of ethics, which shall include instruction on fraud, consumer protection and fair lending issues; and&nbsp;</span></p> <p><span class="cls0">3. Two (2) hours of training related to lending standards for the nontraditional mortgage product marketplace.&nbsp;</span></p> <p><span class="cls0">B. For purposes of subsection A of this section, prelicensing education courses shall be reviewed and approved by the Nationwide Mortgage Licensing System and Registry based upon reasonable standards. Review and approval of a prelicensing education course shall include review and approval of the course provider.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this section shall preclude any prelicensing education course as approved by the Nationwide Mortgage Licensing System and Registry that is provided by the employer of the applicant or an entity which is affiliated with the applicant by an agency contract or any subsidiary or affiliate of such employer or entity.&nbsp;</span></p> <p><span class="cls0">D. Prelicensing education may be offered either in a classroom, online or by any other means approved by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">E. The prelicensing education requirements approved by the Nationwide Mortgage Licensing System and Registry in paragraph 1 of subsection A and subsections B and C of this section for any state shall be accepted as credit towards completion of prelicensing education requirements in this state.&nbsp;</span></p> <p><span class="cls0">F. An individual previously licensed under this act, subsequent to the effective date of this act and applying to be licensed again, must prove they have completed all of the continuing education requirements for the year in which the license was last held.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 11, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.9. Written test requirement.&nbsp;</span></p> <p><span class="cls0">A. In order to meet the written test requirement referred to in Section 10 of this act, an individual shall pass, in accordance with standards established under this section, a qualified written test developed by the Nationwide Mortgage Licensing System and Registry and administered by a test provider approved by the Nationwide Mortgage Licensing System and Registry based upon reasonable standards.&nbsp;</span></p> <p><span class="cls0">B. A written test shall not be treated as a qualified written test for purposes of subsection A of this section unless the test adequately measures the applicant&rsquo;s knowledge and comprehension in appropriate subject areas, including:&nbsp;</span></p> <p><span class="cls0">1. Ethics;&nbsp;</span></p> <p><span class="cls0">2. Federal law and regulations pertaining to mortgage origination;&nbsp;</span></p> <p><span class="cls0">3. State law and regulation pertaining to mortgage origination; and&nbsp;</span></p> <p><span class="cls0">4. Federal and state law and regulation, including instruction on fraud, consumer protection, the nontraditional mortgage marketplace and fair lending issues. &nbsp;</span></p> <p><span class="cls0">C. Nothing in this section shall prohibit a test provider approved by the Nationwide Mortgage Licensing System and Registry from providing a test at the location of the employer of the applicant or the location of any subsidiary or affiliate of the employer of the applicant or the location of any entity with which the applicant holds an exclusive arrangement to conduct the business of a mortgage loan originator.&nbsp;</span></p> <p><span class="cls0">D. 1. An individual shall not be considered to have passed a qualified written test unless the individual achieves a test score of not less than seventy-five percent (75%) correct answers to questions.&nbsp;</span></p> <p><span class="cls0">2. An individual may retake a test three consecutive times with each consecutive taking occurring at least thirty (30) days after the preceding test.&nbsp;</span></p> <p><span class="cls0">3. After failing three consecutive tests, an individual shall wait at least six (6) months before taking the test again.&nbsp;</span></p> <p><span class="cls0">4. A licensed mortgage loan originator who fails to maintain an active and valid license for a period of five (5) years or longer shall retake the test, not taking into account any time during which such individual is a registered mortgage loan originator.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 12, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.10. Minimum standards for mortgage loan originator license renewal.&nbsp;</span></p> <p><span class="cls0">A. The minimum standards for license renewal for mortgage loan originators shall include the following:&nbsp;</span></p> <p><span class="cls0">1. The mortgage loan originator continues to meet the minimum standards for license issuance under Section 10 of this act;&nbsp;</span></p> <p><span class="cls0">2. The mortgage loan originator has satisfied the annual continuing education requirements described in Section 24 of this act; and&nbsp;</span></p> <p><span class="cls0">3. The mortgage loan originator has paid all required fees for renewal of the license.&nbsp;</span></p> <p><span class="cls0">B. The license of a mortgage loan originator failing to satisfy the minimum standards for license renewal shall expire. The Administrator of Consumer Credit may adopt procedures in addition to the requirements of Section 9 of this act for the reinstatement of expired licenses consistent with the standards established by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 13, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.11. Findings required for issuance of a mortgage broker license.&nbsp;</span></p> <p><span class="cls0">A. The Administrator of Consumer Credit shall not issue a mortgage broker license unless the Administrator makes at a minimum the following findings:&nbsp;</span></p> <p><span class="cls0">1. The applicant or any owner, officer, director or partner has never had a mortgage broker or mortgage loan originator license revoked in any governmental jurisdiction, except that a subsequent formal vacation of such revocation shall not be deemed a revocation;&nbsp;</span></p> <p><span class="cls0">2. Any owner, officer, director or partner of the applicant has not been convicted of, or pled guilty or nolo contendere to a felony in a domestic, foreign or military court:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;during the seven-year period preceding the date of the application for licensing and registration, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;at any time preceding such date of application, if such felony involved an act of fraud, dishonesty, a breach of trust or money laundering.&nbsp;</span></p> <p><span class="cls0">Provided, that any pardon of a conviction shall not be a conviction for purposes of this paragraph;&nbsp;</span></p> <p><span class="cls0">3. The applicant&rsquo;s owners, officers, directors or partners have demonstrated financial responsibility, character and general fitness such as to command the confidence of the community and to warrant a determination that the mortgage broker will operate honestly, fairly and efficiently within the purposes of this act. For purposes of this paragraph, an applicant&rsquo;s owners, officers, directors or partners have shown they are not financially responsible when they have shown a disregard in the management of their own financial condition. A determination that an owner, officer, director or partner has not shown financial responsibility may include, but not be limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;current outstanding judgments, except judgments solely as a result of medical expenses,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;current outstanding tax liens or other government liens and filings,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;foreclosures within the past three (3) years, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a pattern of seriously delinquent accounts within the past three (3) years;&nbsp;</span></p> <p><span class="cls0">4. The applicant has paid into the Oklahoma Mortgage Broker and Mortgage Loan Originator Recovery Fund as required by paragraph 6 of subsection M of Section 9 of this act; and&nbsp;</span></p> <p><span class="cls0">5. The applicant has paid all required fees for issuance of the license.&nbsp;</span></p> <p><span class="cls0">B. Each mortgage broker applicant shall designate and maintain a principal place of business for the transaction of business. The applicant shall specify the address of the principal place of business and designate a licensed mortgage loan originator to oversee the operations of the principal place of business. If an applicant wishes to maintain one or more locations for the transaction of business in addition to a principal place of business, the applicant shall first obtain a branch office license from the Administrator and designate a licensed mortgage loan originator for each branch office to oversee the operations of that branch office. The applicant shall submit a fee as set forth in paragraph 3 of subsection M of Section 9 of this act for each branch office license issued. If the Administrator of Consumer Credit determines that the applicant is qualified, the Administrator shall issue a branch office license indicating the address of the branch office. If the address of the principal place of business or of any branch office is changed, the licensee shall immediately notify the Administrator of the change and the Administrator shall endorse the change of address on the license for a fee as prescribed in paragraph 5 of subsection M of Section 9 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 14, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.11.1. Findings required for issuance of a mortgage lender license.&nbsp;</span></p> <p><span class="cls0">The Administrator of Consumer Credit shall not issue a mortgage lender license unless the Administrator makes at a minimum the following findings:&nbsp;</span></p> <p><span class="cls0">1. The applicant or any owner, officer, director or partner has never had a mortgage lender, mortgage broker or mortgage loan originator license revoked in any governmental jurisdiction, except that a subsequent formal vacation of such revocation shall not be deemed a revocation;&nbsp;</span></p> <p><span class="cls0">2. Any owner, officer, director or partner of the applicant has not been convicted of, or pled guilty or nolo contendere to a felony in a domestic, foreign or military court:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;during the seven-year period preceding the date of the application for licensing and registration, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;at any time preceding such date of application, if such felony involved an act of fraud, dishonesty, a breach of trust or money laundering.&nbsp;</span></p> <p><span class="cls0">Provided, that any pardon of a conviction shall not be a conviction for purposes of this paragraph;&nbsp;</span></p> <p><span class="cls0">3. The applicant and the applicant's owners, officers, directors or partners have demonstrated financial responsibility, character and general fitness such as to command the confidence of the community and to warrant a determination that the mortgage lender will operate honestly, fairly and efficiently within the purposes of this act. For purposes of this paragraph, an applicant's owners, officers, directors or partners have shown they are not financially responsible when they have shown a disregard in the management of their own financial condition. A determination that an owner, officer, director or partner has not shown financial responsibility may include, but not be limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;current outstanding judgments, except judgments solely as a result of medical expenses,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;current outstanding tax liens or other government liens and filings,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;foreclosures within the past three (3) years, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;a pattern of seriously delinquent accounts within the past three (3) years;&nbsp;</span></p> <p><span class="cls0">4. The applicant has filed a bond in the amount of One Hundred Thousand Dollars ($100,000.00) securing the applicant's or licensee's faithful performance of all duties and obligations of a licensee. The bond shall meet the following requirements:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the bond shall be in a form acceptable to the Administrator,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the bond shall be issued by an insurance company authorized to conduct business in the State of Oklahoma,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;the bond shall be payable to the Oklahoma Department of Consumer Credit,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the bond is continuous in nature and shall be maintained at all times as a condition of licensure,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;the bond may not be terminated without thirty (30) days prior written notice to the Administrator and approval of the Administrator,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;the bond shall be available for the recovery of expenses, civil penalties and fees assessed pursuant to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act and for losses or damages which are determined by the Administrator to have been incurred by any borrower or consumer as a result of the applicant's or licensee's failure to comply with the requirements of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;when an action is commenced on a licensee's bond, the Administrator may require the filing of a new bond, and&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;whenever the principal sum of the bond is reduced by one or more recoveries or payments thereon, the licensee shall furnish a new or additional bond so that the total or aggregate principal sum of such bond or such bonds shall equal One Hundred Thousand Dollars ($100,000.00) or shall furnish an endorsement duly executed by the corporate surety reinstating the bond to the required principal sum;&nbsp;</span></p> <p><span class="cls0">5. The applicant has a net worth of at least Twenty-five Thousand Dollars ($25,000.00) as reflected by an audited financial statement prepared by a certified public accountant in accordance with generally accepted accounting principles that is accompanied by an opinion acceptable to the Administrator and is dated within fifteen (15) months of the date of application;&nbsp;</span></p> <p><span class="cls0">6. The applicant has paid all required fees for issuance of the license. The license fees for a mortgage lender shall be in the same amount as license fees applicable to a mortgage broker;&nbsp;</span></p> <p><span class="cls0">7. Each mortgage lender applicant shall designate and maintain a principal place of business for the transaction of business. If the mortgage lender applicant engages in activity that satisfies the definition of a mortgage broker, the mortgage lender shall designate a licensed mortgage loan originator to oversee the mortgage loan origination operations of the principal place of business and any branch office location where the mortgage lender applicant engages in activity that satisfies the definition of a mortgage broker. If an applicant wishes to maintain one or more locations for the transaction of business in addition to a principal place of business, the applicant shall first obtain a branch office license from the Administrator. The applicant shall submit a fee as set forth in paragraph 3 of subsection M of Section 2095.6 of Title 59 of the Oklahoma Statutes for each branch office license issued. If the Administrator of Consumer Credit determines that the applicant is qualified, the Administrator shall issue a branch office license indicating the address of the branch office. If the address of the principal place of business or of any branch office is changed, the licensee shall immediately notify the Administrator of the change and the Administrator shall endorse the change of address on the license for a fee as prescribed in paragraph 5 of subsection M of Section 2095.6 of Title 59 of the Oklahoma Statutes; and&nbsp;</span></p> <p><span class="cls0">8. A separate mortgage broker license is not required for a mortgage lender that engages in activity that satisfies the definition of a mortgage broker as provided in the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. A mortgage lender that engages in activity that satisfies the definition of a mortgage broker shall comply with all requirements of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act regarding mortgage brokers.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 98, &sect; 6, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2095.12. Minimum standards for mortgage broker license renewal.&nbsp;</span></p> <p><span class="cls0">A. The minimum standards for license renewal for mortgage brokers shall include the following:&nbsp;</span></p> <p><span class="cls0">1. The mortgage broker continues to meet the minimum standards for license issuance under Section 14 of this act; and&nbsp;</span></p> <p><span class="cls0">2. The mortgage broker has paid all required fees for renewal of the license.&nbsp;</span></p> <p><span class="cls0">B. The license of a mortgage broker failing to satisfy the minimum standards for license renewal shall expire. The Administrator of Consumer Credit may adopt procedures in addition to the requirements of Section 9 of this act for the reinstatement of expired licenses consistent with the standards established by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 15, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.12.1. Minimum standards for license renewal of mortgage lenders.&nbsp;</span></p> <p><span class="cls0">A. The minimum standards for license renewal for mortgage lenders shall include the following:&nbsp;</span></p> <p><span class="cls0">1. The mortgage lender continues to meet the minimum standards for license issuance under this act; and&nbsp;</span></p> <p><span class="cls0">2. The mortgage lender has paid all required fees for renewal of the license.&nbsp;</span></p> <p><span class="cls0">B. The license of a mortgage lender failing to satisfy the minimum standards for license renewal shall expire. The Administrator of Consumer Credit may adopt procedures for the reinstatement of expired licenses consistent with the standards established by the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 98, &sect; 7, eff. Nov. 1, 2013.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2095.13. Participation in the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">In addition to any other duties imposed upon the Administrator of Consumer Credit by law, the Administrator shall require mortgage brokers, mortgage lenders and mortgage loan originators to be licensed and registered through the Nationwide Mortgage Licensing System and Registry. In order to carry out this requirement, the Administrator is authorized to participate in the Nationwide Mortgage Licensing System and Registry. For this purpose, the Administrator, upon approval of the Commission, may establish requirements by rule as necessary and consistent with this act, including but not limited to:&nbsp;</span></p> <p><span class="cls0">1. Background checks for:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;criminal history through fingerprint or other databases,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;civil or administrative records,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;credit history, or&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;any other information as deemed necessary by the Nationwide Mortgage Licensing System and Registry;&nbsp;</span></p> <p><span class="cls0">2. The payment of fees to apply for or renew licenses through the Nationwide Mortgage Licensing System and Registry;&nbsp;</span></p> <p><span class="cls0">3. The setting or resetting as necessary of renewal or reporting dates; and&nbsp;</span></p> <p><span class="cls0">4. Requirements for amending or surrendering a license or any other such activities as the Administrator deems necessary for participation in the Nationwide Mortgage Licensing System and Registry.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 16, eff. July 1, 2009. Amended by Laws 2013, c. 98, &sect; 8, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.14. Rules for challenging information.&nbsp;</span></p> <p><span class="cls0">The Administrator of Consumer Credit shall, upon approval by the Commission on Consumer Credit, establish by rule a process whereby mortgage brokers, mortgage lenders and mortgage loan originators may challenge information entered into the Nationwide Mortgage Licensing System and Registry by the Administrator.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 17, eff. July 1, 2009. Amended by Laws 2013, c. 98, &sect; 9, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.15. Written agreement with a lender - Disclosures - Copies and forwarding of appraisals and reports - Rules.&nbsp;</span></p> <p><span class="cls0">A. A mortgage broker or mortgage loan originator shall have a written correspondent or loan brokerage agreement with a lender before any solicitation of, or contracting with, the public.&nbsp;</span></p> <p><span class="cls0">B. Upon receipt of a loan application and before the receipt of any monies from a borrower, a mortgage broker or mortgage loan originator shall provide to a borrower the disclosures required by the Real Estate Settlement Procedures Act, 12 U.S.C., Section 2601 et seq. (RESPA) and Regulation X, 24 C.F.R., Section 3500.1 et seq., as promulgated by HUD. Compliance with the disclosure requirements mandated by RESPA and HUD&rsquo;s Regulation X constitutes compliance with this act.&nbsp;</span></p> <p><span class="cls0">C. If a borrower is unable to obtain or modify a loan for any reason and the borrower has paid for an appraisal, title report, or credit report, the mortgage broker or mortgage loan originator shall give a copy of the appraisal, title report, or credit report to the borrower and transmit the originals to any other mortgage broker or lender to whom the borrower directs that the documents be transmitted. The mortgage broker or mortgage loan originator must provide the copies or transmit the documents within five (5) business days after the borrower has made the request in writing.&nbsp;</span></p> <p><span class="cls0">D. 1. Except as otherwise permitted by this subsection, no mortgage broker or mortgage loan originator shall receive a fee, commission, or compensation of any kind in connection with the preparation, negotiation, and brokering or modification of a residential mortgage loan unless a borrower actually obtains a loan or has a loan modified from or by a lender on the terms and conditions agreed upon by the borrower and mortgage broker or mortgage loan originator.&nbsp;</span></p> <p><span class="cls0">2. If a mortgage broker, banker or mortgage loan originator has assisted a borrower in obtaining a residential mortgage loan and the borrower decides to refinance or sell the property in question, the lender shall be prohibited from charging back any fee income paid by the lender to the mortgage broker, banker or loan originator unless the mortgage broker, banker or loan originator is involved in such refinance.&nbsp;</span></p> <p><span class="cls0">3. A mortgage broker or mortgage loan originator may solicit or receive fees for third-party provider goods or services in advance and may solicit and receive a reasonable administrative fee to recoup administrative costs, provided such a fee shall be disclosed in advance and shall be consistent across all borrowers. The mortgage broker or mortgage loan originator may not charge more for the goods and services than the actual costs of the goods or services charged by the third-party provider.&nbsp;</span></p> <p><span class="cls0">E. The Commission on Consumer Credit, in accordance with the Administrative Procedures Act shall have the authority to adopt rules not inconsistent with disclosures mandated by RESPA and HUD&rsquo;s Regulation X and which are within, but not beyond, the statutory scope and other provisions of this act to facilitate compliance with the disclosure and other requirements of this act.&nbsp;</span></p> <p><span class="cls0">F. The provisions of subsections B and C of this section shall not apply to a depository institution as defined in Section 5 of this act, its subsidiaries and affiliates or any employee or exclusive agent thereof.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 18, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.16. Trust account.&nbsp;</span></p> <p><span class="cls0">A. A mortgage broker or mortgage loan originator shall deposit, prior to the end of the next business day, all monies received from borrowers for third-party provider services in a trust account of a federally insured financial institution. The trust account shall be designated and maintained for the benefit of borrowers. Monies maintained in the trust account shall be exempt from execution, attachment, or garnishment. A mortgage broker or mortgage loan originator shall not in any way encumber the corpus of the trust account or commingle any other operating funds with trust account funds.&nbsp;</span></p> <p><span class="cls0">B. Withdrawals from the trust account shall be only for the payment of bona fide services rendered by a third-party provider or for refunds to borrowers. Any interest earned on the trust account shall be refunded or credited to the borrowers at closing. Any monies remaining in the trust account after payment to third-party providers shall be refunded to the borrower.&nbsp;</span></p> <p><span class="cls0">C. The mortgage broker or mortgage loan originator shall pay third-party providers no later than thirty (30) days after completion of the third-party service.&nbsp;</span></p> <p><span class="cls0">D. A mortgage broker or mortgage loan originator shall maintain accurate, current, and readily available records of the trust account until at least three (3) years have elapsed following the effective period to which the records relate. The records shall be subject to audit by the Administrator of Consumer Credit pursuant to an examination or investigation.&nbsp;</span></p> <p><span class="cls0">E. The provisions of this section shall not apply to a depository institution as defined in Section 2095.2 of this title, its subsidiaries and affiliates or any employee or exclusive agent thereof.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 19, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 29, eff. July 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.17. Penalties authorized - Cease and desist orders - Administrative hearings.&nbsp;</span></p> <p><span class="cls0">A. In order to ensure the effective supervision and enforcement of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, the Administrator of Consumer Credit may, after notice and hearing pursuant to Article II of the Administrative Procedures Act, impose any or any combination of the following penalties:&nbsp;</span></p> <p><span class="cls0">1. Deny, suspend, revoke, censure, place on probation or decline to renew a license for a violation of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, any rules promulgated pursuant to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act and any order of the Administrator or an independent hearing examiner issued pursuant to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act;&nbsp;</span></p> <p><span class="cls0">2. Deny, suspend, revoke, censure, place on probation or decline to renew a license if an applicant or licensee fails at any time to meet the requirements of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act or withholds information or makes a material misstatement in an application for a license or renewal of a license;&nbsp;</span></p> <p><span class="cls0">3. Order restitution against entities or individuals subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act for violations of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act; or&nbsp;</span></p> <p><span class="cls0">4. Issue orders or directives under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act as follows:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;order or direct entities or individuals subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act to cease and desist from conducting business, including immediate temporary orders to cease and desist,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;order or direct entities or individuals subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act to cease any harmful activities or violations of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, including immediate temporary orders to cease and desist,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;enter immediate temporary orders to cease business under a license issued pursuant to the authority of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act if the Administrator or an independent hearing examiner determines that such license was erroneously granted or the licensee is currently in violation of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;order or direct such other affirmative action as the Administrator or an independent hearing examiner deems necessary, or&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;impose a civil penalty of not less than One Hundred Dollars ($100.00) nor more than Two Thousand Five Hundred Dollars ($2,500.00) for each violation of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act against a licensee or any other entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, not to exceed Five Thousand Dollars ($5,000.00) for all violations resulting from a single incident or transaction.&nbsp;</span></p> <p><span class="cls0">B. Any immediate temporary order to cease and desist issued pursuant to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act shall comply with the requirements for emergency orders under Article II of the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">C. Any administrative order or settlement agreement imposing a civil penalty pursuant to this section may be enforced in the same manner as civil judgments in this state. The Administrator may file an application to enforce an administrative order or settlement agreement in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">D. The Administrator shall appoint an independent hearing examiner to conduct all administrative hearings involving alleged violations of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. The independent hearing examiner shall have authority to exercise all powers granted by Article II of the Administrative Procedures Act in conducting hearings. The independent hearing examiner shall have authority to recommend penalties authorized by the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act and issue proposed orders, with proposed findings of fact and proposed conclusions of law, to the Administrator pursuant to Article II of the Administrative Procedures Act. The Administrator shall review the proposed order and issue a final agency order in accordance with Article II of the Administrative Procedures Act. Any person aggrieved by a final agency order of the Administrator may obtain judicial review in accordance with the Oklahoma Administrative Procedures Act. The venue of any such action shall be in the district court of Oklahoma County. The costs of the hearing examiner may be assessed against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 20, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 30, eff. July 1, 2010; Laws 2013, c. 98, &sect; 10, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.18. Specific violations.&nbsp;</span></p> <p><span class="cls0">It is a violation of this act for an entity or individual subject to this act to:&nbsp;</span></p> <p><span class="cls0">1. Directly or indirectly employ any scheme, device, or artifice to defraud or mislead borrowers or lenders or to defraud any entity or individual;&nbsp;</span></p> <p><span class="cls0">2. Engage in any unfair or deceptive practice toward any entity or individual;&nbsp;</span></p> <p><span class="cls0">3. Obtain property by fraud or misrepresentation;&nbsp;</span></p> <p><span class="cls0">4. Solicit or enter into a contract with a borrower that provides in substance that the entity or individual subject to this act may earn a fee or commission through "best efforts" to obtain or modify a loan even though a loan is not actually obtained or modified for the borrower;&nbsp;</span></p> <p><span class="cls0">5. Solicit, advertise or enter into a contract for specific interest rates, points or other financing terms unless the terms are actually available at the time of soliciting, advertising or contracting;&nbsp;</span></p> <p><span class="cls0">6. Conduct any business covered by this act without holding a valid license as required under this act or assist or aide and abet any entity or individual in the conduct of business under this act without a valid license as required under this act;&nbsp;</span></p> <p><span class="cls0">7. Fail to make disclosures as required by this act and any other applicable state or federal law including regulations thereunder;&nbsp;</span></p> <p><span class="cls0">8. Fail to comply with this act or rules promulgated under this act or fail to comply with any other state or federal law, including any rules thereunder, applicable to any business authorized or conducted under this act;&nbsp;</span></p> <p><span class="cls0">9. Make, in any manner, any false or deceptive statement or representation, including, with regard to the rates, points, or other financing terms or conditions for a residential mortgage loan or engage in bait and switch advertising;&nbsp;</span></p> <p><span class="cls0">10. Negligently make any false statement or knowingly and willfully make any omission of material fact in connection with any information or reports filed with a governmental agency or the Nationwide Mortgage Licensing System and Registry or in connection with any investigation conducted by the Administrator of Consumer Credit or another governmental agency;&nbsp;</span></p> <p><span class="cls0">11. Make any payment, threat or promise, directly or indirectly, to any entity or individual for the purposes of influencing the independent judgment of the entity or individual in connection with a residential mortgage loan or make any payment, threat or promise, directly or indirectly, to any appraiser of a property, for the purposes of influencing the independent judgment of the appraiser with respect to the value of the property;&nbsp;</span></p> <p><span class="cls0">12. Collect, charge, attempt to collect or charge or use or propose any agreement purporting to collect or charge any fee prohibited by this act;&nbsp;</span></p> <p><span class="cls0">13. Cause or require a borrower to obtain property insurance coverage in an amount that exceeds the replacement cost of the improvements as established by the property insurer; or&nbsp;</span></p> <p><span class="cls0">14. Fail to truthfully account for monies belonging to a party to a residential mortgage loan transaction.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 21, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.19. Fines - Injunctions and restraining orders.&nbsp;</span></p> <p><span class="cls0">A. In addition to any other penalties provided by law, any entity or individual without a license as required by the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act who engages in the business of a mortgage broker, mortgage lender or mortgage loan originator or who willingly and knowingly violates any provision of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, upon conviction, shall be guilty of a misdemeanor which shall be punishable by a fine of not more than One Thousand Dollars ($1,000.00) for each violation. Each violation shall be a separate offense under this section.&nbsp;</span></p> <p><span class="cls0">B. In addition to any civil or criminal actions authorized by law, the Administrator of Consumer Credit, the Attorney General, or the district attorney may apply to the district court in the county in which a violation of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act has allegedly occurred for an order enjoining or restraining the entity or individual from continuing the acts specified in the complaint. The court may grant any temporary or permanent injunction or restraining order, without bond, as it deems just and proper.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 22, eff. July 1, 2009. Amended by Laws 2013, c. 98, &sect; 11, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.20. Oklahoma Mortgage Broker and Mortgage Loan Originator Recovery Fund - Reimbursement and payments.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created in the State Treasury a revolving fund for the Commission on Consumer Credit to be designated the "Oklahoma Mortgage Broker and Mortgage Loan Originator Recovery Fund". The fund shall consist of fees received by the Administrator of Consumer Credit as required by paragraph 6 of subsection M of Section 2095.6 of this title to be paid into the fund.&nbsp;</span></p> <p><span class="cls0">2. The revolving fund shall be a continuing fund not subject to fiscal year limitations and shall be under the administrative direction of the Administrator. Monies accruing to the credit of this fund are hereby appropriated and may be budgeted and expended by the Commission, pursuant to rules promulgated by the Commission, for the purposes specified in subsection B of this section. The provisions of this paragraph shall have retroactive and prospective application.&nbsp;</span></p> <p><span class="cls0">3. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">B. 1. Subject to the limitations of this subsection, monies in the fund shall be used to reimburse any entity or individual in an amount not to exceed Five Thousand Dollars ($5,000.00) who has been adjudged by a court of competent jurisdiction to have suffered monetary damages by an entity or individual required to have a license under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act in any transaction or series of transactions for which a license is required under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act because of the acquisition of money or property by fraud, misrepresentation, deceit, false pretenses, artifice, trickery, or by any other act which would constitute a violation of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act.&nbsp;</span></p> <p><span class="cls0">2. Payments for claims based on judgments against any one person required to have a license under this act shall not exceed in the aggregate Thirty Thousand Dollars ($30,000.00).&nbsp;</span></p> <p><span class="cls0">3. Payments for claims may only be made for a cause of action which has accrued on or after November 1, 1997, and which has accrued not more than two (2) years prior to filing the action in district court.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 23, eff. July 1, 2009. Amended by Laws 2012, c. 304, &sect; 292.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.21. Licensed mortgage loan originator continuing education requirements.&nbsp;</span></p> <p><span class="cls0">A. In order to meet the annual continuing education requirements as provided in subsection A of Section 2095.10 of this title, a licensed mortgage loan originator shall complete at least eight (8) hours of education approved as provided in subsection B of this section, which shall include at least:&nbsp;</span></p> <p><span class="cls0">1. Three (3) hours of federal law and regulations;&nbsp;</span></p> <p><span class="cls0">2. Two (2) hours of ethics, which shall include instruction on fraud, consumer protection and fair lending issues; and&nbsp;</span></p> <p><span class="cls0">3. Two (2) hours of training related to lending standards for the nontraditional mortgage product marketplace.&nbsp;</span></p> <p><span class="cls0">B. For purposes of subsection A of this section, continuing education courses shall be reviewed and approved by the Nationwide Mortgage Licensing System and Registry based upon reasonable standards. Review and approval of a continuing education course shall include review and approval of the course provider.&nbsp;</span></p> <p><span class="cls0">C. Nothing in this section shall preclude any education course as approved by the Nationwide Mortgage Licensing System and Registry that is provided by the employer of the mortgage loan originator or an entity which is affiliated with the mortgage loan originator by an agency contract or any subsidiary or affiliate of such employer or entity.&nbsp;</span></p> <p><span class="cls0">D. Continuing education may be offered either in a classroom, online or by any other means approved by the Nationwide Mortgage Licensing System and Registry. A licensed mortgage loan originator shall complete annual continuing education requirements in a classroom setting at least every two (2) years.&nbsp;</span></p> <p><span class="cls0">E. A licensed mortgage loan originator, except as provided in subsection B of Section 2095.10 of this title and subsection I of this section:&nbsp;</span></p> <p><span class="cls0">1. May only receive credit for a continuing education course in the year in which the course is taken; and&nbsp;</span></p> <p><span class="cls0">2. May not take the same approved course in the same or successive years to meet the annual requirements for continuing education.&nbsp;</span></p> <p><span class="cls0">F. A licensed mortgage loan originator who is an approved instructor of an approved continuing education course may receive credit for the licensed mortgage loan originator's own annual continuing education requirement at the rate of two (2) hours credit for every one (1) hour taught.&nbsp;</span></p> <p><span class="cls0">G. An individual having successfully completed the education requirements approved by the Nationwide Mortgage Licensing System and Registry in paragraph 1 of subsection A and subsections B and C of this section for any state shall be accepted as credit towards completion of continuing education requirements in this state.&nbsp;</span></p> <p><span class="cls0">H. A licensed mortgage loan originator who subsequently becomes unlicensed must complete the continuing education requirements for the last year in which the license was held prior to issuance of a new or renewed license.&nbsp;</span></p> <p><span class="cls0">I. An individual meeting the requirements of paragraphs 1 and 2 of subsection A of Section 2095.10 of this title may make up any deficiency in continuing education as established by rule.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 24, eff. July 1, 2009. Amended by Laws 2013, c. 98, &sect; 12, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.22. Supervisory information sharing.&nbsp;</span></p> <p><span class="cls0">In order to promote more effective regulation and reduce regulatory burden through supervisory information sharing:&nbsp;</span></p> <p><span class="cls0">1. Except as otherwise provided in 12 U.S.C., Section 5111, the requirements under federal or Oklahoma law, regarding the privacy or confidentiality of any information or material provided to the Nationwide Mortgage Licensing System and Registry and any privilege arising under federal or state law, including the rules of any federal or state court, with respect to such information or material, shall continue to apply to such information or material after the information or material has been disclosed to the Nationwide Mortgage Licensing System and Registry. Such information and material may be shared with all state and federal regulatory officials with mortgage industry oversight authority without the loss of privilege or the loss of confidentiality protections provided by federal or Oklahoma law.&nbsp;</span></p> <p><span class="cls0">2. For these purposes, the Administrator of Consumer Credit is authorized to enter into agreements or sharing arrangements with other governmental agencies, the Conference of State Bank Supervisors, the American Association of Residential Mortgage Regulators or other associations representing governmental agencies.&nbsp;</span></p> <p><span class="cls0">3. Information or material that is subject to a privilege or confidentiality under paragraph 1 of this section shall not be subject to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;disclosure under any federal or state law governing the disclosure to the public of information held by an officer or an agency of the federal government or the respective state, or&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;subpoena or discovery, or admission into evidence, in any private civil action or administrative process, unless with respect to any privilege held by the Nationwide Mortgage Licensing System and Registry with respect to such information or material, the entity or individual to whom such information or material pertains waives, in whole or in part, in the discretion of such entity or individual, that privilege.&nbsp;</span></p> <p><span class="cls0">4. Any provision of Oklahoma law relating to the disclosure of confidential supervisory information or any information or material described in paragraph 1 of this section that is inconsistent with paragraph 1 of this section shall be superseded by the requirements of this section.&nbsp;</span></p> <p><span class="cls0">5. This section shall not apply with respect to the information or material relating to the employment history of and publicly adjudicated disciplinary and enforcement actions against mortgage brokers and mortgage loan originators that is included in the Nationwide Mortgage Licensing System and Registry for access by the public.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 25, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.23. Authority to conduct investigations and examinations.&nbsp;</span></p> <p><span class="cls0">A. In addition to any authority allowed under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, the Administrator of Consumer Credit shall have the authority to conduct investigations and examinations of the following:&nbsp;</span></p> <p><span class="cls0">1. Criminal, civil and administrative history information, including nonconviction data;&nbsp;</span></p> <p><span class="cls0">2. Personal history and experience information including independent credit reports obtained from a consumer reporting agency described in 15 U.S.C., Section 1681a(p);&nbsp;</span></p> <p><span class="cls0">3. The financial condition and internal management policies and procedures of any entity licensed or required to be licensed as a mortgage lender for purposes of determining that the entity is operating honestly, fairly and efficiently within the purposes of this act; and&nbsp;</span></p> <p><span class="cls0">4. Any other documents, information or evidence the Administrator deems relevant to the inquiry or investigation regardless of the location, possession, control or custody of such documents, information or evidence.&nbsp;</span></p> <p><span class="cls0">B. For the purposes of investigating violations or complaints arising under the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act or for the purposes of examination, the Administrator may review, investigate or examine any licensee or entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, as often as necessary in order to carry out the purposes of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. The Administrator may direct, subpoena or order the attendance of and examine under oath all individuals whose testimony may be required about the loans or the business or subject matter of any such examination or investigation and may direct, subpoena or order such individual to produce books, accounts, records, files and any other documents the Administrator deems relevant to the inquiry. Any examination or investigation report and any information obtained during an examination or investigation shall not be subject to disclosure under the Oklahoma Open Records Act. However, any examination or investigation report and any information obtained during an examination or investigation shall be subject to disclosure pursuant to a court order and may also be disclosed in an individual proceeding and any order issued pursuant to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act.&nbsp;</span></p> <p><span class="cls0">C. The Administrator may require payment of an examination fee either at the time of initial application, renewal of the license or after an examination has been conducted. The examination fee shall be prescribed by rule of the Commission on Consumer Credit. The Administrator shall require a licensee or an entity or individual subject to the requirements of this act to pay travel costs for conducting examinations or investigations outside of the State of Oklahoma.&nbsp;</span></p> <p><span class="cls0">D. Each licensee or entities or individuals subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act shall make available to the Administrator, upon request, any books and records relating to the requirements of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. The Administrator shall have access to such books and records and interview the officers, principals, mortgage loan originators, employees, independent contractors, agents and customers of the licensee, entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act concerning the requirements of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act. Books and records shall be maintained for a period of time required by rule of the Administrator.&nbsp;</span></p> <p><span class="cls0">E. Each licensee or entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act shall make or compile reports or prepare other information as directed by the Administrator in order to carry out the purposes of this section including, but not limited to:&nbsp;</span></p> <p><span class="cls0">1. Accounting compilations;&nbsp;</span></p> <p><span class="cls0">2. Information lists and data concerning loan transactions in a format prescribed by the Administrator; or&nbsp;</span></p> <p><span class="cls0">3. Such other information deemed necessary to carry out the purposes of this section.&nbsp;</span></p> <p><span class="cls0">F. In making any examination or investigation authorized by the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, the Administrator may control access to any documents and records of the licensee or entity or individual under examination or investigation. The Administrator may take possession of the documents and records or place an entity or individual in exclusive charge of the documents and records in the place where they are usually kept. During the period of control, no entity or individual shall remove or attempt to remove any of the documents and records except pursuant to a court order or with the consent of the Administrator. Unless the Administrator has reasonable grounds to believe the documents or records of the licensee have been, or are at risk of being altered or destroyed for purposes of concealing a violation of the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act, the licensee or owner of the documents and records shall have access to the documents or records as necessary to conduct its ordinary business affairs.&nbsp;</span></p> <p><span class="cls0">G. In order to carry out the purposes of this section, the Administrator may:&nbsp;</span></p> <p><span class="cls0">1. Retain attorneys, accountants, or other professionals and specialists as examiners, auditors or investigators to conduct or assist in the conduct of examinations or investigations;&nbsp;</span></p> <p><span class="cls0">2. Enter into agreements or relationships with other government officials or regulatory associations in order to improve efficiencies and reduce regulatory burden by sharing resources, standardized or uniform methods or procedures and documents, records, information or evidence obtained under this section;&nbsp;</span></p> <p><span class="cls0">3. Use, hire, contract or employ public or privately available analytical systems, methods or software to examine or investigate the licensee, entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act;&nbsp;</span></p> <p><span class="cls0">4. Accept and rely on examination or investigation reports made by other government officials, within or without this state;&nbsp;</span></p> <p><span class="cls0">5. Accept audit reports made by an independent certified public accountant for the licensee or entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act in the course of that part of the examination covering the same general subject matter as the audit and may incorporate the audit report in the report of the examination, report of investigation or other writing of the Administrator; or&nbsp;</span></p> <p><span class="cls0">6. Participate in multistate mortgage examinations as scheduled by the Multi-State Mortgage Committee established by the Conference of State Bank Supervisors and the American Association of Residential Mortgage Regulators.&nbsp;</span></p> <p><span class="cls0">H. The authority of this section shall remain in effect, whether such a licensee or entity or individual subject to the Oklahoma Secure and Fair Enforcement for Mortgage Licensing Act acts or claims to act under any licensing or registration law of this state or claims to act without such authority.&nbsp;</span></p> <p><span class="cls0">I. No licensee or entity or individual subject to investigation or examination under this section may knowingly withhold, abstract, remove, mutilate, destroy or secrete any books, records, computer records or other information.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 26, eff. July 1, 2009. Amended by Laws 2010, c. 415, &sect; 31, eff. July 1, 2010; Laws 2013, c. 98, &sect; 13, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.24. Submission of reports of condition.&nbsp;</span></p> <p><span class="cls0">Each licensee shall submit to the Nationwide Mortgage Licensing System and Registry reports of condition, which shall be in such form and shall contain such information as the Nationwide Mortgage Licensing System and Registry may require.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 27, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.25. Reporting of violations and enforcement actions.&nbsp;</span></p> <p><span class="cls0">Notwithstanding or subject to state privacy law, the Administrator of Consumer Credit is required to regularly report violations of this act as well as enforcement actions and other relevant information to the Nationwide Mortgage Licensing System and Registry subject to the provisions contained in Section 25 of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2009, c. 190, &sect; 28, eff. July 1, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2095.26. Repealed by Laws 2010, c. 415, &sect; 41, eff. July 1, 2010.&nbsp;</span></p> <p><span class="cls0">&sect;59-2301. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Oklahoma Licensed Pedorthists Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 1, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2302. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Licensed Pedorthists Act:&nbsp;</span></p> <p><span class="cls0">1. "Accommodative device" means a device designed with a primary goal of conforming to the individual's anatomy;&nbsp;</span></p> <p><span class="cls0">2. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">3. "Certified Pedorthist (C. Ped.)&rdquo; means a professional whose competence in the practice of pedorthics is attested to by issuance of a credential by the Board for Certification in Pedorthics;&nbsp;</span></p> <p><span class="cls0">4. "Committee" means the Advisory Committee on Pedorthics created by Section 5 of this act;&nbsp;</span></p> <p><span class="cls0">5. "Department" means the State Department of Health;&nbsp;</span></p> <p><span class="cls0">6. "Licensed Pedorthist" means a person who is licensed as required by the Oklahoma Licensed Pedorthists Act, who regularly practices pedorthics, and who is therefore entitled to represent himself or herself to the public by a title or description of services that includes the term "pedorthist";&nbsp;</span></p> <p><span class="cls0">7. "Pedorthic devices" means therapeutic shoes, shoe modifications made for therapeutic purposes, partial foot prostheses, and custom made orthoses, inserts, inlays or variants thereof for use from the ankle and below, but does not include nontherapeutic accommodative inlays or nontherapeutic accommodative footwear, regardless of method of manufacture, unmodified over-the-counter shoes, or prefabricated foot care products;&nbsp;</span></p> <p><span class="cls0">8. "Practice of pedorthics" means the practice, pursuant to a written prescription from a physician when addressing a medical condition, of evaluating, planning treatment, measuring, designing, fabricating, assembling, fitting, adjusting, managing of the patient, or servicing necessary to accomplish the application of a pedorthic device for the prevention or amelioration of painful and/or disabling conditions of the foot and ankle; and&nbsp;</span></p> <p><span class="cls0">9. "Therapeutic device" means a device that addresses a medical condition.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 2, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2303. Persons to whom act does not apply.&nbsp;</span></p> <p><span class="cls0">The Oklahoma Licensed Pedorthists Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. Physicians licensed by this state to practice medicine and surgery (M.D.), chiropractic (D.C.), osteopathy (D.O.), or podiatry (D.P.M.) when engaging in the practice or practices for which the person is licensed;&nbsp;</span></p> <p><span class="cls0">2. A person licensed by this state as a physical therapist when engaging in the practice for which licensed;&nbsp;</span></p> <p><span class="cls0">3. Persons whose competence is credentialed by a certifying agency recognized by the State Board of Medical Licensure and Supervision; or&nbsp;</span></p> <p><span class="cls0">4. The practice of pedorthics by:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;a person who is employed by the United States government or any entity thereof while in the discharge of the employee's assigned duties,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;a student enrolled in a school of pedorthics recognized by the Board, or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;a student participating in a Board-recognized work experience program or internship in pedorthics.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 3, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2304. Powers of Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision is hereby authorized to adopt and promulgate rules, pursuant to the Oklahoma Administrative Procedures Act, that it deems necessary for the implementation and enforcement of the Oklahoma Licensed Pedorthists Act, including but not limited to, qualifications for licensure, qualifications for registration, renewals, reinstatements, continuing education requirements, and fees. In doing so the Board shall give utmost consideration to the recommendations of the Advisory Committee on Pedorthics.&nbsp;</span></p> <p><span class="cls0">B. The Board is hereby empowered to perform investigations, to require the production of records and other documents relating to practices regulated by the Oklahoma Licensed Pedorthists Act, and to seek injunctive relief.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 4, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2305. Advisory Committee on Pedorthics &ndash; Members - Duties.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created, to continue until July 1, 2019, in accordance with the provisions of the Oklahoma Sunset Law, an Advisory Committee on Pedorthics, which shall consist of five (5) voting members to be appointed by the State Board of Medical Licensure and Supervision to three-year terms ending December 31; provided, initial appointments shall be staggered such that two members are appointed for one (1) year, two members are appointed for two (2) years, and one member is appointed for three (3) years.&nbsp;</span></p> <p><span class="cls0">B. One member shall be a licensed physician who is a member of the State Board of Medical Licensure and Supervision. One member shall be a physician licensed to practice podiatric medicine by the Board of Podiatric Medical Examiners. One member shall be a member of the public who is a consumer of pedorthic services. Two members shall be pedorthists certified by the Board for Certification in Pedorthics or pedorthists licensed by the State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">C. Members shall serve until their successors are appointed and qualified; provided, no member shall serve more than eight (8) consecutive years or two full terms, whichever is greater.&nbsp;</span></p> <p><span class="cls0">D. The Committee shall annually elect a chair and vice-chair from among the members. The chair or vice-chair and two other members shall constitute a quorum. Members shall be reimbursed from funds available to the State Board of Medical Licensure and Supervision pursuant to the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">E. 1. The Committee shall advise the Board on matters pertaining to pedorthics, including but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;scope and standards of practice,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensure and registration requirements, examination requirements, exceptions thereto, renewal requirements, temporary licensure or registration, and endorsement or reciprocity requirements,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;methods and requirements for ensuring the continued competence of licensed and registered persons,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;grounds for probation, revocation or suspension of license or registration, reinstatement provisions,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;fees, and&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;all other matters which may pertain to the practice of pedorthics.&nbsp;</span></p> <p><span class="cls0">2. The Committee shall review and make recommendations to the Board on all applications for licensure and registration.&nbsp;</span></p> <p><span class="cls0">3. The Committee shall assist and advise the Board in all hearings related to the enforcement of the Oklahoma Licensed Pedorthists Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 5, eff. Nov. 1, 2001. Amended by Laws 2007, c. 21, &sect; 1; Laws 2013, c. 346, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-2306. Licensure and registration &ndash; Qualifications - Alternative qualification contracts - Licensure and registration without examination.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision, with the assistance of the Advisory Committee on Pedorthics, shall establish qualifications for licensure and registration under the Oklahoma Licensed Pedorthists Act. The Board shall also provide, as set forth herein, an alternative qualification licensure opportunity for current practitioners in this state and for practitioners coming into this state prior to November 1, 2004, who are unable to meet standard qualifications.&nbsp;</span></p> <p><span class="cls0">B. To be licensed to practice pedorthics according to standard qualifications, a person shall have passed all examinations required for certification by an entity approved by the Board as a certification organization for licensure purposes. Once licensed, a pedorthist shall meet continuing education and annual renewal requirements to maintain pedorthic licensure. The licensed pedorthist shall also adhere to a code of ethics adopted by the Board upon recommendation of the Committee. Absent another professional certification or credential, a licensed pedorthist shall not diagnose, prescribe, provide prognosis, perform invasive procedures, or make, without a prescription, any custom or customized shoe, device, or modification addressing a medical condition.&nbsp;</span></p> <p><span class="cls0">C. To be licensed under alternative qualification a person shall:&nbsp;</span></p> <p><span class="cls0">1. Pass an examination, which may be an available examination designated by the State Board of Medical Licensure and Supervision or an examination developed by the Board; or&nbsp;</span></p> <p><span class="cls0">2. Enter into an alternative qualification contract with the State Board of Medical Licensure and Supervision, the conditions of which shall be based on the Board's evaluation of the applicant's experience and the Board's determination of further experience needed or other requirements to be met, which contract shall specify a period of time not to exceed ten (10) years for completion of the further experience or requirements.&nbsp;</span></p> <p><span class="cls0">D. Upon execution of the alternative qualification contract, the Board shall issue a license and shall renew the license subject to the licensee&rsquo;s making satisfactory progress as required by the contract. Persons who satisfactorily complete the alternative qualification contract shall be thereafter considered as having met the qualification necessary for license renewal.&nbsp;</span></p> <p><span class="cls0">E. No person shall be permitted to enter into an alternative qualification contract after October 31, 2004. A person who has not done so by October 31, 2004, shall not be issued a license to practice pedorthics without meeting standard qualifications.&nbsp;</span></p> <p><span class="cls0">F. Notwithstanding any other provision of this section, a person who has practiced full time during the three-year period immediately preceding the effective date of this act in a pedorthic facility as a pedorthist, may file an application with the Board within ninety (90) days from the effective date of this act for permission to continue to practice at his or her identified level of practice. The Board, after verifying the applicant&rsquo;s work history and receiving payment of the application fee as established pursuant to this act, shall without examination of the applicant, issue the applicant a license or certificate of registration. For making investigations necessary to verify the work history, the Board may require that the applicant complete a questionnaire regarding the work history and scope of practice. The Board shall take no more than six (6) months to make the investigations necessary to verify the work history. Applicants applying after the ninety-day application period of this subsection has expired, shall meet the qualifications elsewhere set forth for standard or alternative qualification for licensure or for registration as determined by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 6, eff. Nov. 1, 2001. Amended by Laws 2008, c. 149, &sect; 4, emerg. eff. May 12, 2008.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2307. Circumstances under which care or services may be provided - Practice without license or registration - Fines.&nbsp;</span></p> <p><span class="cls0">A. A licensed pedorthist may only provide care or services pursuant to an order from a licensed podiatrist, physician, or chiropractor, when addressing a medical condition, or when evaluating, planning treatment, measuring, designing, fabricating, assembling, fitting, adjusting, managing of the patient, or servicing necessary to accomplish the application of a pedorthic device for the prevention or amelioration of painful or disabling conditions of the foot and ankle.&nbsp;</span></p> <p><span class="cls0">B. Effective January 1, 2002, any person who holds himself or herself out to be a pedorthist or uses the title pedorthist or common variants of that title without holding an appropriate license issued by the State Board of Medical Licensure and Supervision, or who, without being registered by the Board, dispenses pedorthic devices, or who is in violation of any provision of the Oklahoma Licensed Pedorthists Act shall be subject to an administrative fine for each day found to be in violation. The amount of any fine shall be determined by the Board within limits set by the Board pursuant to rules adopted and promulgated by the Board and may be in addition to any other penalty provided by the Board or otherwise provided by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 7, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-2308. Public roster of names and addresses.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision shall maintain a current roster of the names and addresses of all persons licensed or registered pursuant to the Oklahoma Licensed Pedorthists Act and of all persons whose licenses or registrations have been suspended or revoked pursuant to the act. This roster shall be a public document available pursuant to the Oklahoma Open Records Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 190, &sect; 8, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3001. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Orthotics and Prosthetics Practice Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 1, eff. Nov 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3002. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Orthotics and Prosthetics Practice Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">2. "Committee" means the Advisory Committee on Orthotics and Prosthetics;&nbsp;</span></p> <p><span class="cls0">3. "Licensed orthotist" means a person licensed under the Orthotics and Prosthetics Practice Act to practice orthotics and who is entitled to represent himself or herself to the public by a title or description of services that includes the term "orthotic" or "orthotist";&nbsp;</span></p> <p><span class="cls0">4. "Licensed prosthetist" means a person licensed under the Orthotics and Prosthetics Practice Act to practice prosthetics and who is entitled to represent himself or herself to the public by a title or description of services that includes the term "prosthetic" or "prosthetist";&nbsp;</span></p> <p><span class="cls0">5. "Orthosis" means a custom-fabricated or custom-fitted brace or support designed to provide for alignment, correction, or prevention of neuromuscular or musculoskeletal dysfunction, disease, injury, or deformity, not excluding those of the foot; provided, however, "orthosis" does not include soft goods such as fabric or elastic supports, corsets, arch supports, low-temperature plastic splints, trusses, elastic hose, canes, crutches, soft cervical collars, dental appliances, or essentially equivalent devices commonly sold as over-the-counter items requiring no professional advice or judgment in either size selection or use;&nbsp;</span></p> <p><span class="cls0">6. "Orthotics" means the science and practice of evaluating, measuring, designing, fabricating, assembling, fitting, adjusting, or servicing an orthosis under a prescription from a licensed physician for the correction or alleviation of neuromuscular or musculoskeletal dysfunction, disease, injury, or deformity;&nbsp;</span></p> <p><span class="cls0">7. "Orthotist" means a person who evaluates, measures, designs, fabricates, assembles, fits, adjusts, or services an orthosis as prescribed by a licensed physician for the support or correction of disabilities caused by neuro-musculoskeletal diseases, injuries, or deformities;&nbsp;</span></p> <p><span class="cls0">8. "Prosthesis" means an artificial medical device that is not surgically implanted and that is used to replace a missing limb, appendage, or another external human body part including an artificial limb, hand, or foot; provided, however, "prosthesis" does not include artificial eyes, ears, fingers, toes, dental applicances, cosmetic devices such as artificial breasts, eyelashes, or wigs, or other devices that do not have a significant impact on the musculoskeletal functions of the body;&nbsp;</span></p> <p><span class="cls0">9. "Prosthetics" means the science and practice of evaluating, measuring, designing, fabricating, assembling, fitting, adjusting, or servicing prostheses under a prescription from a licensed physician;&nbsp;</span></p> <p><span class="cls0">10. "Prosthetist" means a person who evaluates, measures, designs, fabricates, fits, or services a prosthesis as prescribed by a licensed physician for the replacement of external parts of the human body lost due to amputation or congenital deformities or absences;&nbsp;</span></p> <p><span class="cls0">11. "Registered prosthetist/orthotist assistant" means a person registered under the Orthotics and Prosthetics Practice Act who, under the direct supervision of a licensed orthotist or prosthetist, assists with patient care services or the fabrication of orthoses or prostheses;&nbsp;</span></p> <p><span class="cls0">12. "Registered prosthetic/orthotic technician" means a person registered under the Orthotics and Prosthetics Practice Act who, under the direct supervision of a licensed orthotist or prosthetist, assists with the fabrication of orthoses or prostheses but who does not provide direct patient care; and&nbsp;</span></p> <p><span class="cls0">13. "Resident" means a person who has completed an education program in either orthotics or prosthetics recognized by the Board and is continuing clinical education in a residency recognized by the Board and accredited by the National Commission on Orthotic and Prosthetic Education or other accrediting group recognized by the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 2, eff. Nov 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3003. Persons to whom act does not apply.&nbsp;</span></p> <p><span class="cls0">The Orthotics and Prosthetics Practice Act shall not apply to:&nbsp;</span></p> <p><span class="cls0">1. Persons licensed by this state as practitioners of the healing arts when engaging in the practice or practices for which licensed;&nbsp;</span></p> <p><span class="cls0">2. A person who is employed by the government of the United States or any entity thereof while in the discharge of the employee&rsquo;s assigned duties;&nbsp;</span></p> <p><span class="cls0">3. A student enrolled in a school of orthotics or prosthetics recognized by the State Board of Medical Licensure and Supervision or a resident as defined by Section 3002 of this title who is continuing clinical education;&nbsp;</span></p> <p><span class="cls0">4. A person licensed by this state as a physical therapist, occupational therapist, or physician assistant when engaging in the practice for which licensed; &nbsp;</span></p> <p><span class="cls0">5. A person certified by the Board for Certification in Pedorthics when practicing pedorthics at the ankle or below; or&nbsp;</span></p> <p><span class="cls0">6. A person engaged in the practice of orthotics as an employee or authorized representative of an orthotics manufacturer with employment responsibilities that include, but are not limited to, evaluating, measuring, designing, fabricating, assembling, fitting, adjusting, servicing, training, repairing, replacing or delivering an orthotic device under order, direction or prescription of a physician or health-care provider operating within the licensed scope of practice of such physician or health-care provider.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 3, eff. Nov 1, 2001. Amended by Laws 2004, c. 523, &sect; 13, emerg. eff. June 9, 2004; Laws 2005, c. 357, &sect; 2, emerg. eff. June 6, 2005.&nbsp;</span></p> <p><span class="cls0">NOTE: Laws 2005, c. 285, &sect; 3 repealed by Laws 2006, c. 16, &sect; 43, emerg. eff. March 29, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3004. Rules &ndash; Investigations - Injunctions.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision is hereby authorized to adopt and promulgate rules, pursuant to the Administrative Procedures Act, that it deems necessary for the implementation and enforcement of the Orthotics and Prosthetics Practice Act, including but not limited to, qualifications for licensure, qualifications for registration, renewals, reinstatements, continuing education requirements, and fees. In so doing the Board shall give utmost consideration to the recommendations of the Advisory Committee on Orthotics and Prosthetics created by Section 5 of this act.&nbsp;</span></p> <p><span class="cls0">B. The Board is hereby empowered to perform investigations, require the production of records and other documents relating to practices regulated by the Orthotics and Prosthetics Practice Act, and seek injunctive relief.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 4, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3005. Advisory Committee on Orthotics and Prosthetics - Assistance and advice to the Board.&nbsp;</span></p> <p><span class="cls0">A. There is hereby re-created, to continue until July 1, 2019, in accordance with the provisions of the Oklahoma Sunset Law, an Advisory Committee on Orthotics and Prosthetics, which shall consist of seven (7) voting members to be appointed by the State Board of Medical Licensure and Supervision to three-year terms ending December 31; provided, initial appointments shall be staggered such that two members are appointed for one (1) year, two members are appointed for two (2) years, and three members are appointed for three (3) years.&nbsp;</span></p> <p><span class="cls0">B. One member shall be a licensed physician who is a member of the State Board of Medical Licensure and Supervision. Two members shall be lay persons who are consumers of orthotic or prosthetic services. Two members shall be licensed orthotists, not more than one of whom may also be a licensed prosthetist. Two members shall be licensed prosthetists, not more than one of whom may also be a licensed orthotist; provided, licensure under the Orthotics and Prosthetics Practice Act not being possible until the act is implemented, two of the initial appointees to positions requiring licensure as an orthotist or prosthetist shall, in lieu of licensure, be certified by the American Board for Certification in Orthotics and Prosthetics and two shall be certified by the Board for Orthotist/Prosthetist Certification.&nbsp;</span></p> <p><span class="cls0">C. Members shall serve until their successors are appointed and qualified; provided, no member shall serve more than eight (8) consecutive years or two full terms, whichever is greater.&nbsp;</span></p> <p><span class="cls0">D. The Committee shall annually elect a chair and vice-chair from among the members required to be licensed. The chair or vice-chair and three other members shall constitute a quorum. Members shall be reimbursed from funds available to the State Board of Medical Licensure and Supervision pursuant to the State Travel Reimbursement Act.&nbsp;</span></p> <p><span class="cls0">E. 1. The Committee shall advise the Board on matters pertaining to orthotics and prosthetics, including but not limited to:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;scope and standards of practice,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;licensure and registration requirements, examination requirements, exceptions thereto, renewal requirements, temporary licensure or registration, and endorsement or reciprocity requirements,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;methods and requirements for ensuring the continued competence of licensed and registered persons,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;grounds for probation, revocation, or suspension of license or registration, reinstatement provisions,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;fees, and&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;all other matters which may pertain to the practice of orthotics or prosthetics.&nbsp;</span></p> <p><span class="cls0">2. The Committee shall review and make recommendations to the Board on all applications for licensure and registration.&nbsp;</span></p> <p><span class="cls0">3. The Committee shall assist and advise the Board in all hearings related to the enforcement of the Orthotics and Prosthetics Practice Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 5, eff. Nov. 1, 2001. Amended by Laws 2007, c. 22, &sect; 1; Laws 2013, c. 347, &sect; 1.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3006. Qualifications for licensure and registration - Alternative requirements &ndash; Temporary licensure without examination.&nbsp;</span></p> <p><span class="cls0">A. The State Board of Medical Licensure and Supervision, with the assistance of the Advisory Committee on Orthotics and Prosthetics, shall establish qualifications for licensure and registration under the Orthotics and Prosthetics Practice Act. Until November 1, 2004, the Board shall provide, as set forth herein, an alternative qualification licensure opportunity for current practitioners in this state who are unable to meet standard qualifications. Persons meeting the qualifications of more than one discipline may be licensed in more than one discipline.&nbsp;</span></p> <p><span class="cls0">B. To be licensed to practice orthotics or prosthetics according to standard qualifications, a person shall: &nbsp;</span></p> <p><span class="cls0">1. Demonstrate certification by the Board for Orthotist/Prosthetist Certification (BOC), or the American Board for Certification in Orthotics, Prosthetics & Pedorthics (ABC); or&nbsp;</span></p> <p class="cls2"><span class="cls0">2. a. Possess a baccalaureate degree from an institution of higher education accredited by a general accrediting agency recognized by the Oklahoma State Regents for Higher Education;&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;Have completed an orthotic or prosthetic education program that meets or exceeds the requirements, including clinical practice, of the Commission on Accreditation of Allied Health Education Programs; &nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;Have completed a clinical residency in the professional area for which the license is sought that meets or exceeds the standards, guidelines, and procedures for residencies of the National Commission on Orthotic and Prosthetic Education or of any other such group that is recognized by the State Board of Medical Licensure and Supervision; and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;Demonstrate attainment of internationally accepted standards of orthotic and prosthetic care as outlined by the International Society of Prosthetics and Orthotics professional profile for Category I orthotic and prosthetic personnel.&nbsp;</span></p> <p><span class="cls0">C. To be licensed to practice orthotics or prosthetics under alternative qualification requirements, a person shall:&nbsp;</span></p> <p><span class="cls0">1. Pass an examination in the area of licensure, which may be an available examination designated by the State Board of Medical Licensure and Supervision or an examination developed by the Board; and&nbsp;</span></p> <p><span class="cls0">2. Execute an alternative qualification contract with the State Board of Medical Licensure and Supervision the conditions of which shall be based on the Board's evaluation of the applicant's experience and the Board's determination of further experience needed or other requirements to be met, which contract shall specify a period of time not to exceed ten (10) years for completion of the further experience or requirements.&nbsp;</span></p> <p><span class="cls0">D. Upon execution of the alternative qualification contract, the Board shall issue a license and shall renew the license subject to the licensee's making satisfactory progress as required by the contract. Persons who satisfactorily complete the alternative qualification contract shall be thereafter considered as having met the qualifications necessary for license renewal.&nbsp;</span></p> <p><span class="cls0">E. No person shall be permitted to enter into an alternative qualification contract after October 31, 2004. A person who has not done so by October 31, 2004, shall not be issued a license to practice orthotics or prosthetics without meeting standard qualifications.&nbsp;</span></p> <p><span class="cls0">F. Notwithstanding any other provision of this section, a person who has practiced full time during the three-year period preceding the effective date of this act in a prosthetic or orthotic facility as a prosthetist or orthotist and has a high school diploma or equivalent, or who has practiced as an assistant or technician, may file an application with the Board within ninety (90) days from the effective date of this act for permission to continue to practice at his or her identified level of practice. The Board, after verifying the applicant's work history and receiving payment of the application fee as established pursuant to this act, shall, without examination of the applicant, issue the applicant a license or certificate of registration. To make the investigations necessary to verify the applicant&rsquo;s work history, the Board may require that the applicant complete a questionnaire regarding the work history and scope of practice. The Board shall take no more than six (6) months to verify the work history. Applicants applying after the ninety-day application period of this subsection has expired shall meet the qualifications elsewhere set forth for standard or alternative qualification for licensure or for registration as determined by the Board.&nbsp;</span></p> <p><span class="cls0">G. The Board may authorize the Board Secretary to issue a temporary license for up to two (2) years to individuals who have graduated from a program and completed their residency as outlined in subsection B of this section, but not yet passed the licensure exam. A temporary license authorizing practice under supervision shall be granted only when the Board Secretary is satisfied as to the qualifications of the applicant to be licensed under the Orthotics and Prosthetics Practice Act except for examination. A temporary license shall be granted only to an applicant demonstrably qualified for a full and unrestricted license under the requirements set by the Orthotics and Prosthetics Practice Act and the rules of the Board.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 6, eff. Nov. 1, 2001. Amended by Laws 2009, c. 261, &sect; 9, eff. July 1, 2009.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3007. Prescription from licensed physician required - Penalties for practicing without license.&nbsp;</span></p> <p><span class="cls0">A. A licensed orthotist may only provide care or services pursuant to a prescription from a licensed physician. A licensed prosthetist may only provide care or services pursuant to a prescription from a licensed physician.&nbsp;</span></p> <p><span class="cls0">B. Effective July 1, 2002, any person who holds himself or herself out as an orthotist or prosthetist or uses the titles Orthotist, Prosthetist, Orthotist/Prosthetist, or common variants of those titles without holding an appropriate license issued by the State Board of Medical Licensure and Supervision, or who, without being registered by the Board, represents himself or herself to be a prosthetic/orthotic technician, or prosthetist/orthotist assistant, or who is in violation of any provision of the Orthotics and Prosthetics Practice Act shall be subject to an administrative fine for each day found to be in violation. The amount of any fine shall be determined by the Board within limits set by the Board pursuant to rules adopted and promulgated by the Board and may be in addition to any other penalty provided by the Board or otherwise provided by law.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 7, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3008. Roster of names and addresses.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision shall maintain a current roster of the names and addresses of all persons licensed or registered pursuant to the Orthotics and Prosthetics Practice Act and of all persons whose licenses or registrations have been suspended or revoked. This roster shall be a public document available pursuant to the Oklahoma Open Records Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2001, c. 158, &sect; 8, eff. Nov. 1, 2001.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3009. Repealed by Laws 2006, c. 207, &sect; 7, eff. Nov. 1, 2006.&nbsp;</span></p> <p><span class="cls0">&sect;59-3010. Repealed by Laws 2006, c. 207, &sect; 7, eff. Nov. 1, 2006.&nbsp;</span></p> <p><span class="cls0">&sect;59-3011. Repealed by Laws 2006, c. 207, &sect; 7, eff. Nov. 1, 2006.&nbsp;</span></p> <p><span class="cls0">&sect;59-3020. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Elevator Safety Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 207, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3021. Legislative findings - Elevator mechanic's license required - Temporary cessation of operation - Hearings - Registration of elevator - Exemptions - Other laws - Interference with Commissioner.&nbsp;</span></p> <p><span class="cls0">A. The Legislature, finding that the protection of public health and safety requires that elevators and similar devices be installed, maintained, and regularly inspected in compliance with recognized safety standards and codes, declares that elevator contractors, elevator mechanics, and elevator inspectors shall be licensed by this state pursuant to the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">B. 1. Effective November 1, 2006, except as otherwise provided for by the Elevator Safety Act or rules promulgated pursuant thereto, no person shall erect, construct, install, wire, alter, replace, maintain, remove, repair, or dismantle any elevator unless the person holds a valid elevator mechanic's license pursuant to the Elevator Safety Act and is employed by a person or business entity licensed as an elevator contractor pursuant to the Elevator Safety Act. Any person violating the provisions of this subsection shall be guilty of a misdemeanor and, upon conviction, subject to a fine of not more than Five Hundred Dollars ($500.00) for the first offense and up to One Thousand Dollars ($1,000.00) for each additional offense, or imprisonment in the county jail for not more than ten (10) days, or both such fine and imprisonment. Each day's violation shall constitute a separate offense. Conviction as provided herein shall not preclude any filing of a civil action.&nbsp;</span></p> <p><span class="cls0">2. Whenever an emergency exists in this state due to disaster, act of God or work stoppage, and the number of persons in the state holding licenses issued by the Commissioner of Labor is insufficient to cope with the emergency, licensed elevator contractors shall respond as necessary to assure the safety of the public. Any person certified by a licensed elevator contractor to have an acceptable combination of documented experience and education to perform elevator work without direct and immediate supervision shall apply for an emergency elevator mechanic license from the Department of Labor within five (5) business days after commencing work requiring a license. The Commissioner shall issue emergency elevator mechanic licenses. The licensed elevator contractor shall furnish proof of competency as the Commissioner may require. Each such license shall state that it is valid for a period of forty-five (45) days from the date thereof and for such particular elevators or geographical areas as the Commissioner may designate and otherwise shall entitle the licensee to the rights and privileges of an elevator mechanic license issued pursuant to the Elevator Safety Act. The Commissioner shall renew an emergency elevator mechanic license upon proper application during the existence of an emergency. No fee shall be charged for any emergency elevator mechanic license or renewal thereof.&nbsp;</span></p> <p><span class="cls0">3. A licensed elevator contractor shall notify the Commissioner of Labor when there are no licensed personnel available to perform elevator work. The licensed elevator contractor may request that the Commissioner issue temporary elevator mechanic licenses to persons certified by the licensed elevator contractor to have an acceptable combination of documented experience and education to perform elevator work without direct and immediate supervision. Any person certified by a licensed elevator contractor to have any combination of documented experience and education to perform elevator work without direct and immediate supervision shall immediately apply for a temporary elevator mechanic license from the Commissioner and shall pay such fee as the Commissioner shall determine. Each such license shall state that it is valid for a period not to exceed forty-five (45) days and while employed by the licensed elevator contractor that certified the individual as qualified. The Commissioner shall renew such licenses upon proper application and payment of any required fees as long as the shortage of license holders shall continue.&nbsp;</span></p> <p><span class="cls0">4. The Commissioner of Labor or an authorized representative may issue a written order for the temporary cessation of operation of an elevator if it has been determined after inspection to be hazardous, unsafe, or in violation of any provisions of the Elevator Safety Act or rules promulgated by the Commissioner. Operations shall not resume until such conditions are corrected to the satisfaction of the Commissioner. The Commissioner or an authorized representative may inspect any elevator without notice. The Commissioner or an authorized representative may issue a written order for the temporary cessation of any licensing violations and/or any violations of any rule or order promulgated pursuant to the provisions of the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">5. Any alleged violator of paragraph 2 of this subsection shall be afforded an opportunity for a fair and swift administrative hearing. The hearing may be conducted by the Commissioner or his/her designated hearing officer in conformity with, and records made thereof as provided by, Sections 308a through 323 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">6. Any order issued by the Commissioner or an authorized representative may be enforced in the district court in an action for an injunction or writ of mandamus upon the petition of the district attorney or Attorney General, upon the request of the Commissioner. Provided further, an injunction without bond may be granted by the district court to the Commissioner, for the purpose of enforcing the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">C. Effective November 1, 2006, except as otherwise provided by the Elevator Safety Act, every elevator in this state shall be subject to the provisions as required by this act. Within six (6) months of November 1, 2006, the owner or lessee of every elevator already in service or put into service by November 1, 2006, shall register the elevator with the Department of Labor, giving the type, rated load and speed, name of manufacturer, location of the elevator, and purpose for which used, as well as such other information as the Commissioner of Labor may require. Elevators newly constructed or installed on or after November 1, 2006, shall be registered and inspected before being put into service.&nbsp;</span></p> <p><span class="cls0">D. The provisions of the Elevator Safety Act shall not apply to elevators that are:&nbsp;</span></p> <p><span class="cls0">1. In or adjacent to buildings or excavations owned by and/or under the operational control of the government of the United States or located on federal property and/or a sovereign tribal nation. Such elevators shall be inspected if the authorized representative of the owner request such an inspection in writing and agrees to pay inspection fees established pursuant to the Elevator Safety Act;&nbsp;</span></p> <p><span class="cls0">2. In an existing owner-occupied private residence or an existing building of not more than two floors owned by a municipal public trust that is used solely for independent living apartments for persons sixty-two (62) years of age or older; provided, such elevators shall be inspected if the property owner so requests and pays inspection fees established pursuant to the Elevator Safety Act. Inspection of an elevator pursuant to this paragraph shall not cause any other provision of the Elevator Safety Act to apply to the owner with respect to the private residence or building; or&nbsp;</span></p> <p><span class="cls0">3. Located in or adjacent to a building or structure within a manufacturing, utility or industrial facility. Such elevators shall be inspected if the authorized representative of the facility requests such an inspection in writing and agrees to pay inspection fees established pursuant to the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">E. Nothing in the Elevator Safety Act shall be construed as prohibiting municipalities, counties, or other political subdivisions of the state from enacting and enforcing licensure requirements or safety standards exceeding those required by the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">F. Provisions of Section 863.1 et seq. of Title 19 of the Oklahoma Statutes that are in conflict with provisions of the Elevator Safety Act shall prevail over provisions of the Elevator Safety Act unless the provisions of Section 863.1 et seq. of Title 19 of the Oklahoma Statutes are less stringent than the provisions of the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">G. No person, firm, or corporation shall interfere with, obstruct, or hinder by force or otherwise the Commissioner of Labor or an authorized representative while in the performance of their duties, or refuse to properly answer questions asked by such officers pertaining to the laws over which he or she has supervision under the provisions of the Elevator Safety Act, or refuse them admittance to any place where an elevator is located which is affected by the act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 207, &sect; 2, eff. Nov. 1, 2006. Amended by Laws 2008, c. 4, &sect; 16, eff. Nov. 1, 2008; Laws 2008, c. 312, &sect; 16, eff. Nov. 1, 2008; Laws 2009, c. 2, &sect; 15, emerg. eff. March 12, 2009; Laws 2010, c. 230, &sect; 1, eff. Nov. 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2008, c. 260, &sect; 4 repealed by Laws 2009, c. 2, &sect; 16, emerg. eff. March 12, 2009.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3022. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Elevator Safety Act: &nbsp;</span></p> <p><span class="cls0">1. "Agency" means the Oklahoma Department of Labor;&nbsp;</span></p> <p><span class="cls0">2. "Certificate of operation" means a document issued by the Commissioner and affixed to an elevator that indicates that the elevator has been inspected and tested and found to be in compliance with all applicable standards of operation as determined by the Department of Labor;&nbsp;</span></p> <p><span class="cls0">3. "Certificate of operation - temporary" means a document issued by the Commissioner that permits temporary use of a noncompliant elevator by the general public for not more than thirty (30) days while minor repairs are being completed;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Commissioner&rdquo; means the Commissioner of Labor or his/her authorized representative;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Chief elevator inspector&rdquo; means the chief elevator inspector appointed under the Elevator Safety Act;&nbsp;</span></p> <p><span class="cls0">6. "Deputy inspector" means an inspector appointed by the chief elevator inspector subject to the approval of the Commissioner under the provisions of the Elevator Safety Act;&nbsp;</span></p> <p class="cls2"><span class="cls0">7.&nbsp;&nbsp;a.&nbsp;&nbsp;"Elevator" means any device for lifting or moving people, cargo, or freight within, or adjacent and connected to, a structure or excavation, and includes any escalator, power-driven stairway, moving walkway or stairway chair lift.&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;The term "elevator" does not mean any:&nbsp;</span></p> <p class="cls3"><span class="cls0">(1)&nbsp;&nbsp;amusement ride or device subject to inspection and regulation under the provisions of Section 460 et seq. of Title 40 of the Oklahoma Statutes,&nbsp;</span></p> <p class="cls3"><span class="cls0">(2)&nbsp;&nbsp;mining equipment subject to inspection and regulation by the Department of Mines,&nbsp;</span></p> <p class="cls3"><span class="cls0">(3)&nbsp;&nbsp;aircraft, railroad car, boat, barge, ship, truck, or other self-propelled vehicle or component thereof,&nbsp;</span></p> <p class="cls3"><span class="cls0">(4)&nbsp;&nbsp;boiler grate stoker or other similar firing mechanism subject to inspection under the provisions of the Oklahoma Boiler and Pressure Vessel Safety Act,&nbsp;</span></p> <p class="cls3"><span class="cls0">(5)&nbsp;&nbsp;dumbwaiter, conveyor, chain or bucket hoist, construction hoist or similar devices used for the primary purpose of elevating or lowering materials, or&nbsp;</span></p> <p class="cls3"><span class="cls0">(6)&nbsp;&nbsp;elevator, conveyance, manlift or similar device in grain elevators, grain warehouses, seed processing facilities, feed mills and/or flour mills which is used by employees, but is not accessible to or used by customers or members of the general public.&nbsp;</span></p> <p class="cls3"><span class="cls0">This list is not exhaustive;&nbsp;</span></p> <p><span class="cls0">8. "Elevator apprentice" means an unlicensed person registered with the Department of Labor who works under the direct supervision of a licensed elevator mechanic, licensed elevator contractor, or licensed elevator inspector;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Licensed elevator contractor" means a person or business entity that possesses a valid elevator contractor's license issued by the Department of Labor pursuant to the provisions of the Elevator Safety Act and is thus entitled to engage in the business of erecting, constructing, installing, altering, servicing, repairing, or maintaining elevators;&nbsp;</span></p> <p><span class="cls0">10. "Licensed elevator inspector" means a person who possesses a valid elevator inspector's license issued by the Department of Labor pursuant to the provisions of the Elevator Safety Act and is thus entitled to engage in the business of inspecting elevators;&nbsp;</span></p> <p><span class="cls0">11. "Licensed elevator mechanic" means a person who possesses a valid elevator mechanic's license issued by the Department of Labor in accordance with the provisions of the Elevator Safety Act and is thus, when employed by a licensed elevator contractor, entitled to install, construct, alter, service, repair, perform electrical work on, test, and maintain elevators; and&nbsp;</span></p> <p><span class="cls0">12. "Private residence" means a separate dwelling or a separate apartment in a multiple dwelling that is occupied by members of a single-family unit.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 207, &sect; 3, eff. Nov. 1, 2006. Amended by Laws 2007, c. 42, &sect; 5, eff. Jan. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Laws 2007, c. 38, &sect; 1 repealed by Laws 2008, c. 3, &sect; 31, emerg. eff. Feb. 28, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3023. Elevator Inspection Bureau - Adoption and promulgation of rules - Inspections.&nbsp;</span></p> <p><span class="cls0">A. There is hereby established an Elevator Inspection Bureau in the Department of Labor under the direction of the chief elevator inspector, who shall be responsible to the Commissioner of Labor or a duly authorized representative for the supervision, inspection, alteration, installation, testing, and maintenance of elevators and other such devices within the definitions of the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">The Elevator Inspection Bureau shall be furnished with sufficient personnel, deputy inspectors, and clerical aids to perform the assigned duties within the limits prescribed by the Commissioner of Labor.&nbsp;</span></p> <p><span class="cls0">The chief elevator inspector and deputy inspectors, under the supervision of the Commissioner of Labor, shall:&nbsp;</span></p> <p><span class="cls0">1. Take action necessary for the enforcement of the Elevator Safety Act and these rules;&nbsp;</span></p> <p><span class="cls0">2. Make available upon request copies of the rules promulgated by the agency; and&nbsp;</span></p> <p><span class="cls0">3. Issue, suspend, or revoke for cause certificates, licenses, and registrations as may be issued by the provisions of the Elevator Safety Act, and administer other disciplinary actions as prescribed in rules as promulgated by the Commissioner of Labor.&nbsp;</span></p> <p><span class="cls0">B. The Commissioner of Labor is authorized to adopt and promulgate rules pursuant to the Administrative Procedures Act. Definitions, rules, and regulations so adopted shall be based upon and follow generally accepted national engineering standards, formula, and practices. The Commissioner of Labor may adopt an existing American national standard known as the Safety Code for Elevators and Escalators of the American Society of Mechanical Engineers (&ldquo;ASME&rdquo;).&nbsp;</span></p> <p><span class="cls0">C. Under the provisions of the Elevator Safety Act, the Commissioner of Labor is responsible to provide rules for the safety of life, limb, and property and therefore has jurisdiction over the interpretation and application of the inspection requirements as provided for in the rules. Inspection during construction and installation shall certify as to the minimum requirements for safety as defined in the American Society of Mechanical Engineers Code or other construction standards acceptable to the Commissioner of Labor. Inspection requirements of operating equipment shall be in accordance with generally accepted practice and compatible with the actual service conditions such as:&nbsp;</span></p> <p><span class="cls0">1. History of previous experience, previous records of inspection, performance, and maintenance;&nbsp;</span></p> <p><span class="cls0">2. Location, with respect to personnel hazard;&nbsp;</span></p> <p><span class="cls0">3. Quality of inspection and operating personnel;&nbsp;</span></p> <p><span class="cls0">4. Provisions for related safe operating controls; and&nbsp;</span></p> <p><span class="cls0">5. Interrelation with other operations outside the scope of the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">D. Inspections required by the Elevator Safety Act shall be conducted by inspectors licensed by the Department of Labor.&nbsp;</span></p> <p><span class="cls0">E. Inspections conducted for the issuance of a certificate of operation may be performed by:&nbsp;</span></p> <p><span class="cls0">1. The chief elevator inspector, deputy elevator inspector or licensed third party inspector who at the time of inspection possesses a valid elevator inspector&rsquo;s license issued by the Department of Labor; or&nbsp;</span></p> <p><span class="cls0">2. An elevator inspector employed by the liability insurance company of record of the owner of the elevator or device who at the time of inspection is in possession of a valid elevator inspector&rsquo;s license issued by the Department of Labor.&nbsp;</span></p> <p><span class="cls0">F. Elevator Inspectors, not employed by the Department of Labor, shall submit to the Commissioner of Labor, an insurance policy or certified copy thereof, issued by an insurance company authorized to do business in this state to provide general liability coverage of a least One Million Dollars ($1,000,000.00) for injury or death of any number of persons in any one occurrence, with the coverage of at least Five Hundred Thousand Dollars ($500,000.00) for property damage in any one occurrence and proof of workers&rsquo; compensation coverage.&nbsp;</span></p> <p><span class="cls0">G. Elevators, escalators, and other such devices within the definitions of the Elevator Safety Act shall receive an inspection for the purpose of obtaining a certificate of operation:&nbsp;</span></p> <p><span class="cls0">1. Two-floor to four-floor elevator units, not to exceed two (2) years;&nbsp;</span></p> <p><span class="cls0">2. Any wire-rope elevator, regardless of floors, annually;&nbsp;</span></p> <p><span class="cls0">3. Escalators and moving walkways, annually;&nbsp;</span></p> <p><span class="cls0">4. Wheelchair lifts, triennially;&nbsp;</span></p> <p><span class="cls0">5. Temporary elevators shall be inspected at each erection and every ninety (90) days or as the code requires; and&nbsp;</span></p> <p><span class="cls0">6. Any elevator or other such device subject to the provisions of the Elevator Safety Act located in a structure whose occupants are mobility restricted, such as hospitals, nursing homes, and residential care facilities, shall be inspected annually.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 207, &sect; 4, eff. Nov. 1, 2006. Amended by Laws 2008, c. 312, &sect; 17, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3024. Commissioner of Labor, powers and duties - Fees - Deposit of revenues - License and certification renewal.&nbsp;</span></p> <p><span class="cls0">A. The Commissioner of Labor shall have the following powers and duties:&nbsp;</span></p> <p><span class="cls0">1. The Commissioner shall:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;adopt or determine standards of elevator safety,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;license elevator contractors, elevator mechanics, and elevator inspectors,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;register elevator apprentices,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;determine qualifications for examination, establish application processes, and examine applicants for licensure,&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;establish terms of licensure and renewal procedures,&nbsp;</span></p> <p class="cls2"><span class="cls0">f.&nbsp;&nbsp;attempt to achieve reciprocity agreements whereby licenses issued by other jurisdictions may be accepted in this state in lieu of examination,&nbsp;</span></p> <p class="cls2"><span class="cls0">g.&nbsp;&nbsp;establish grounds for revocation, suspension, and nonrenewal of licenses and policies for reinstatement of licenses and for imposition of lesser disciplinary measures,&nbsp;</span></p> <p class="cls2"><span class="cls0">h.&nbsp;&nbsp;establish continuing education requirements,&nbsp;</span></p> <p class="cls2"><span class="cls0">i.&nbsp;&nbsp;provide for the inspection and certification of elevators,&nbsp;</span></p> <p class="cls2"><span class="cls0">j.&nbsp;&nbsp;provide for the enforcement of the Elevator Safety Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">k.&nbsp;&nbsp;hear appeals pursuant to the Administrative Procedures Act,&nbsp;</span></p> <p class="cls2"><span class="cls0">l.&nbsp;&nbsp;establish a procedure for the reporting and investigation of accidents, and&nbsp;</span></p> <p class="cls2"><span class="cls0">m.&nbsp;&nbsp;establish a procedure to allow variances from the literal requirement of the code;&nbsp;</span></p> <p><span class="cls0">2. The Commissioner shall publish informational brochures about license examinations that indicate the scope of the examinations, include suggestions about how to prepare for the examinations, and may include sample questions of the type to be expected, but shall never include test items that will be used in future examinations. In no case shall information about forthcoming examinations, that is not generally available, be given to any school, coaching service, or individual privately; and&nbsp;</span></p> <p><span class="cls0">3. The Commissioner shall have subpoena powers and shall have the right to seek injunctive relief to prevent the operation of elevators lacking a certificate of operation after November 1, 2006, or failing inspection. For any violation of the Elevator Safety Act, the Commissioner may assess an administrative fine of not more than Five Hundred Dollars ($500.00), which fine may be assessed in addition to any other penalties provided pursuant to the Elevator Safety Act.&nbsp;</span></p> <p><span class="cls0">B. Fees shall be as follows:&nbsp;</span></p> <p class="cls27"><span class="cls0">1. Elevator contractor examination&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls27"><span class="cls0">2. Elevator inspector examination&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls27"><span class="cls0">3. Elevator mechanic examination&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls28"><span class="cls0">4. Initial and renewal elevator contractor license&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls29"><span class="cls0">5. Initial and renewal elevator inspector License&nbsp;&nbsp;$ 75.00&nbsp;</span></p> <p class="cls30"><span class="cls0">6. Initial and renewal elevator mechanic License&nbsp;&nbsp;$ 50.00&nbsp;</span></p> <p class="cls28"><span class="cls0">7. Annual elevator apprentice registration&nbsp;&nbsp;$ 25.00&nbsp;</span></p> <p class="cls31"><span class="cls0">8. Late renewal - in addition to license fee&nbsp;&nbsp;$ 10.00&nbsp;</span></p> <p class="cls31"><span class="cls0">9. Replacement of lost or mutilated license&nbsp;&nbsp;$ 10.00&nbsp;</span></p> <p class="cls27"><span class="cls0">10. Reinstatement - in addition to license fee&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls27"><span class="cls0">11. Existing elevator - certification of operation&nbsp;&nbsp;$ 25.00&nbsp;</span></p> <p class="cls27"><span class="cls0">12. New elevator - inspection and certification&nbsp;&nbsp;$150.00&nbsp;</span></p> <p class="cls27"><span class="cls0">13. Elevator temporary certification&nbsp;&nbsp;$ 25.00&nbsp;</span></p> <p class="cls27"><span class="cls0">14. Elevator temporary mechanic license for 30 days&nbsp;&nbsp;$ 10.00&nbsp;</span></p> <p class="cls27"><span class="cls0">15. Labor for chief elevator inspector or deputy elevator inspector to perform inspection for issuance of certificate of operation:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;any escalator or moving walkway&nbsp;&nbsp;$125.00&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;elevator, two-four floors&nbsp;&nbsp;$ 75.00&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;elevator, five-ten floors&nbsp;&nbsp;$100.00&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;elevator, eleven floors and over&nbsp;&nbsp;$125.00&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;wheelchair lift&nbsp;&nbsp;$ 25.00&nbsp;</span></p> <p><span class="cls0">C. All revenues received shall be deposited to the Department of Labor Revolving Fund. It is the intent of the Legislature that fees charged pursuant to the Elevator Safety Act be adjusted to provide sufficient income, but not substantially more than sufficient income, to ensure elevator safety as provided by the Elevator Safety Act. Accordingly, the Commissioner of Labor shall make an annual study of the revenues to and expenditures from the Department of Labor Revolving Fund related to elevator safety and shall prepare a report indicating what fee adjustments, if any, shall be recommended. The report shall be submitted by September 1 each year to the Director of the Office of Management and Enterprise Services, the Chair of the Appropriations Committee of the Senate, and the Chair of the Appropriations and Budget Committee of the House of Representatives, and shall be filed with the Department of Labor.&nbsp;</span></p> <p><span class="cls0">D. Licenses and certifications issued in accordance with the provisions of the Elevator Safety Act shall be renewed according to the following schedule:&nbsp;</span></p> <p><span class="cls0">1. Elevator contractor, elevator inspector, elevator mechanic licenses and elevator apprentice registration shall be renewed annually prior to the last day of the calendar month in which the license or registration was initially issued;&nbsp;</span></p> <p><span class="cls0">2. Any such license, registration or certificate required by the Elevator Safety Act not renewed by the last day of the calendar month in which renewal is required shall be subject to a late fee as provided by this act;&nbsp;</span></p> <p><span class="cls0">3. Any elevator contractor, elevator inspector, elevator mechanic license or apprentice registration having been expired for a period of not less than thirty (30) days nor more than three hundred sixty-five (365) days shall be subject to a reinstatement fee as provided for in the Elevator Safety Act; and&nbsp;</span></p> <p><span class="cls0">4. Any elevator contractor, elevator inspector, elevator mechanic license or apprentice registration being expired for a period of one (1) year or longer from the last day of the month in which renewal was required shall be considered void and the licensee shall be subject to all requirements for new issuance.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 207, &sect; 5, eff. Nov. 1, 2006. Amended by Laws 2008, c. 312, &sect; 18, eff. Nov. 1, 2008; Laws 2010, c. 414, &sect; 4, eff. July 1, 2010; Laws 2012, c. 304, &sect; 293.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3025. Repealed by Laws 2010, c. 414, &sect; 5, eff. July 1, 2010.&nbsp;</span></p> <p><span class="cls0">&sect;59-3101. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Deferred Deposit Lending Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 1, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3102. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Deferred Deposit Lending Act:&nbsp;</span></p> <p><span class="cls0">1. &ldquo;Administrative Procedures Act&rdquo; means the general act of this state governing administrative procedures and is cited in Section 250 et seq. of Title 75 of the Oklahoma Statutes;&nbsp;</span></p> <p><span class="cls0">2. &ldquo;Administrator&rdquo; means the Administrator as defined in the Uniform Consumer Credit Code;&nbsp;</span></p> <p><span class="cls0">3. &ldquo;Business instrument&rdquo; means a draft, check or evidence of the proceeds paid to a debtor in a deferred deposit loan transaction by a deferred deposit lender;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Consecutive loan&rdquo; means a new deferred deposit loan that any lender enters into with a debtor no later than seven (7) days after the date on which a previous deferred deposit loan made to the same debtor is paid in full;&nbsp;</span></p> <p><span class="cls0">5. &ldquo;Debtor&rdquo; means the signer of an instrument which is initially payable to a deferred deposit lender;&nbsp;</span></p> <p><span class="cls0">6. &ldquo;Deferred deposit lender&rdquo; or &ldquo;lender&rdquo; means any person licensed under this act to make deferred deposit loans, including an assignee of the lender&rsquo;s right to payment, but use of the term does not itself impose on an assignee any obligation of the lender with respect to events occurring before the assignment;&nbsp;</span></p> <p><span class="cls0">7. &ldquo;Deferred deposit loan&rdquo; means a transaction whereby a lender makes a cash advance to a debtor not as part of a revolving loan account as defined in Section 3-108 of Title 14A of the Oklahoma Statutes and, for a finance charge or other consideration, does the following:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;accepts a dated instrument from the debtor,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;agrees to hold the instrument for a period of time prior to negotiation, deposit or presentation of the instrument for payment, and&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;advances to the debtor, credits to the debtor&rsquo;s account, or pays to another person on the debtor&rsquo;s behalf, the amount of the instrument, less the finance charge permitted by this act;&nbsp;</span></p> <p><span class="cls0">8. &ldquo;Finance charge&rdquo; means the finance charge as defined in Regulation Z;&nbsp;</span></p> <p><span class="cls0">9. &ldquo;Instrument&rdquo; means a personal check, negotiable order of withdrawal, or authorization to transfer or withdraw funds from a deposit account of the debtor signed by the debtor and made payable to a deferred deposit lender in a deferred deposit loan subject to this act;&nbsp;</span></p> <p><span class="cls0">10. &ldquo;Licensed location&rdquo; means the place of business where a lender is allowed to make deferred deposit loans under a license issued pursuant to this act;&nbsp;</span></p> <p><span class="cls0">11. &ldquo;Licensee&rdquo; means a person licensed to make deferred deposit loans pursuant to this act;&nbsp;</span></p> <p><span class="cls0">12. &ldquo;Loan amount&rdquo; means the principal which the debtor actually receives after signing an instrument payable initially to a deferred deposit lender;&nbsp;</span></p> <p><span class="cls0">13. &ldquo;Person&rdquo; includes a natural person, an individual, organization, partnership, corporation, joint venture, trust, association or any other legal entity, however organized;&nbsp;</span></p> <p><span class="cls0">14. &ldquo;Principal of a deferred deposit loan&rdquo; means the total of the net amount paid to, receivable by or paid or payable for the account of the debtor;&nbsp;</span></p> <p><span class="cls0">15. &ldquo;Regulation Z&rdquo; means Title 160, Chapter 45 of the Oklahoma Administrative Code, adopted in conformity with the Consumer Credit Protection Act, Public Law 90-321, 82 Stat. 146, as amended, including the amendments to the Federal Consumer Credit Protection Act in the Truth in Lending Simplification and Reform Act, Public Law 96-221, 94 Stat. 168-185; and&nbsp;</span></p> <p><span class="cls0">16. &ldquo;Renewal&rdquo; means a transaction in which a debtor pays in cash the finance charge payable under a deferred deposit loan and refinances all or part of the unpaid balance of the principal of the deferred deposit loan with a new deferred deposit loan. A transaction is also considered a renewal if a debtor pays off an existing deferred deposit loan with the proceeds of a deferred deposit loan from another lender.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 2, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 1, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3103. Application of act.&nbsp;</span></p> <p><span class="cls0">A. The scope of this act shall not apply to a supervised lender licensed under the Uniform Consumer Credit Code. Further, nothing in this act shall modify, affect, alter, change or restrict practices or operations of supervised lenders under the Uniform Consumer Credit Code, rules of the Oklahoma Department of Consumer Credit or rules or interpretations of the Administrator of the Department of Consumer Credit.&nbsp;</span></p> <p><span class="cls0">B. Except as otherwise provided in subsection A of this section, the provisions of this act shall apply to all deferred deposit loans made; provided, the following lenders shall not be subject to the licensing requirements of this act:&nbsp;</span></p> <p><span class="cls0">1. A bank, savings institution, credit union or farm credit system organized under and regulated by the laws of the United States or any state;&nbsp;</span></p> <p><span class="cls0">2. Government or governmental agencies or instrumentalities; or&nbsp;</span></p> <p><span class="cls0">3. Pawnbrokers engaged in pawn transactions as defined in the Oklahoma Pawnshop Act.&nbsp;</span></p> <p><span class="cls0">C. The provisions of this act shall apply to transactions if the lender, wherever located, enters into the transaction with the debtor by mail, brochure, telephone, print, radio, television, Internet, or any other means.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 3, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 2, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3103.1. Confidential information - Disclosure exemption.&nbsp;</span></p> <p><span class="cls0">All information contained in the database for deferred deposit lenders, which is authorized under the Deferred Deposit Lending Act, shall be confidential. The information contained in the database for deferred deposit lenders shall be exempt from disclosure under the provisions of the Oklahoma Open Records Act and the provisions of the Deferred Deposit Lending Act, including, but not limited to, Section 3104 of Title 59 of the Oklahoma Statutes, except that the information in the database may be accessed by deferred deposit lenders to verify whether any deferred deposit transaction is outstanding for a particular person and by the Oklahoma Department of Consumer Credit for regulatory purposes consistent with the provisions of the Deferred Deposit Lending Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 117, &sect; 1, emerg. eff. April 23, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3104. Loan agreement - Disclosure of credit terms - Payment of proceeds - Notices.&nbsp;</span></p> <p><span class="cls0">A. Each deferred deposit loan shall be documented by a written agreement executed by both the lender and the debtor. The written agreement shall contain the name or trade name of the lender, the license number of the lender, the toll-free telephone number of the Department of Consumer Credit, the transaction date, the loan amount, and a statement of the total amount of fees charged. The written agreement must expressly authorize the lender to defer presentment or deposit of the instrument until a specific date; provided, unless the debtor has entered into an installment payment plan pursuant to Section 3109 of this title, such date shall be not later than forty-five (45) days from the date the instrument is accepted by the lender.&nbsp;</span></p> <p><span class="cls0">B. The disclosure of the credit terms of a deferred deposit loan shall be according to and governed by the requirements of Regulation Z. The definitions and requirements of that act, regulation and commentary shall apply to deferred deposit loans as if those provisions are fully set out in this act.&nbsp;</span></p> <p><span class="cls0">C. A completed copy of the written agreement and &ldquo;Notice of Cancellation&rdquo; form as prescribed by the Administrator shall be given to and acknowledged in writing by the debtor when the written agreement is signed.&nbsp;</span></p> <p><span class="cls0">D. A lender may pay the proceeds of a deferred deposit loan to the debtor by a business instrument, money order or cash. A lender may not charge the debtor an additional fee for cashing the lender&rsquo;s business instrument.&nbsp;</span></p> <p><span class="cls0">E. A lender shall provide the following notices in a prominent place on each deferred deposit loan agreement in at least twelve-point type:&nbsp;</span></p> <p class="cls32"><span class="cls0">&ldquo;A deferred deposit loan is not intended to meet long-term financial needs. This loan should be used only to meet short-term cash needs.&rdquo;&nbsp;</span></p> <p class="cls32"><span class="cls0">&ldquo;You have the right to rescind this deferred deposit loan no later than 5 p.m. of the next business day following this loan transaction.&rdquo;&nbsp;</span></p> <p class="cls32"><span class="cls0">&ldquo;If you enter into a deferred deposit loan and three consecutive deferred deposit loans, you have the right to pay off the fourth loan pursuant to an installment payment plan, subject to certain conditions.&rdquo;&nbsp;</span></p> <p><span class="cls0">F. A lender shall post at the licensed location a notice of the charges, terms, and effective annual percentage rate for deferred deposit loans made by the lender.&nbsp;</span></p> <p><span class="cls0">G. Prior to sale or assignment of instruments held by the lender as a result of a deferred deposit loan, the lender shall place a notice on the instrument in at least twelve-point type to read:&nbsp;</span></p> <p><span class="cls0">&ldquo;This is a deferred deposit loan instrument regulated by the Oklahoma Department of Consumer Credit, Title 59, Sections 3101 et seq. and any holder of this check takes it subject to all claims and defenses of the originator.&rdquo;&nbsp;</span></p> <p><span class="cls0">and shall include the address and toll-free telephone number of the Department of Consumer Credit.&nbsp;</span></p> <p><span class="cls0">H. At the time a debtor enters into a deferred deposit loan transaction, the lender shall provide the debtor with a pamphlet, approved by the Administrator of Consumer Credit, describing the availability of debt management and credit counseling services, the debtor&rsquo;s right to an installment payment plan and the debtor&rsquo;s rights and responsibilities in the transaction. The pamphlet shall indicate a toll-free telephone number for the Administrator that the debtor may contact to receive information relating to debt management and credit counseling services.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 4, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 3, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3105. Right of rescission.&nbsp;</span></p> <p><span class="cls0">Without penalty or cost of any kind, a debtor in a deferred deposit loan transaction shall have the right to rescind in writing the deferred deposit loan until 5 p.m. on the next business day following the day the debtor signs the deferred deposit loan agreement; provided, any attempted rescission will not be effective unless the notice is timely and is accompanied by a return of the full principal advanced by the lender to the debtor. Exercising rescission entitles the debtor to a full refund of all fees paid by the debtor as part of the deferred deposit loan transaction. Rescission occurs when the debtor gives written notice of rescission to the lender at the address of the office of the licensee as stated in the deferred deposit agreement or at the location where the transaction occurred.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 5, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3106. Prohibited acts.&nbsp;</span></p> <p><span class="cls0">A deferred deposit lender shall not:&nbsp;</span></p> <p><span class="cls0">1. Charge fees other than, or in excess of those authorized by the Deferred Deposit Lending Act;&nbsp;</span></p> <p><span class="cls0">2. Make deferred deposit loans at unlicensed locations;&nbsp;</span></p> <p><span class="cls0">3. Alter or delete the date on an instrument after it has been accepted by the lender pursuant to a deferred deposit loan;&nbsp;</span></p> <p><span class="cls0">4. Accept an undated instrument or an instrument dated on a date other than the date of the deferred deposit loan;&nbsp;</span></p> <p><span class="cls0">5. Accept an instrument unless the account on which the instrument is drawn is a legitimate, open and active account;&nbsp;</span></p> <p><span class="cls0">6. Require a debtor to provide security for the deferred deposit loan or require a debtor to provide a guaranty from another person;&nbsp;</span></p> <p><span class="cls0">7. Advance a loan amount greater than Five Hundred Dollars ($500.00) to a borrower in one deferred deposit loan transaction exclusive of the finance charge allowed in Section 3108 of this title;&nbsp;</span></p> <p><span class="cls0">8. Engage in a deferred deposit loan with a term of less than twelve (12) days or more than forty-five (45) days;&nbsp;</span></p> <p><span class="cls0">9. Negotiate or present an instrument for payment unless the instrument is endorsed with the actual business name of the lender;&nbsp;</span></p> <p><span class="cls0">10. Negotiate any instrument presented by a borrower if the borrower has redeemed the instrument by paying the full amount due under the deferred deposit loan;&nbsp;</span></p> <p><span class="cls0">11. Make any charge for insurance in connection with a deferred deposit loan transaction;&nbsp;</span></p> <p><span class="cls0">12. Refuse the borrower&rsquo;s right to rescind the deferred deposit loan at any time between the time of the deferred deposit loan transaction and 5 p.m. of the next business day following the deferred deposit loan transaction;&nbsp;</span></p> <p><span class="cls0">13. Charge the borrower an additional finance charge or fee for cashing a lender&rsquo;s business instrument, if the lender pays the proceeds from the loan transaction in the form of a business instrument;&nbsp;</span></p> <p><span class="cls0">14. Require or accept more than one dated instrument per deferred deposit loan; or&nbsp;</span></p> <p><span class="cls0">15. Refuse the borrower&rsquo;s right to enter into an installment payment plan, pursuant to this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 6, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 4, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3107. Nonpayment on account - Collection practices.&nbsp;</span></p> <p><span class="cls0">A. A lender shall collect past-due accounts in a professional, fair and lawful manner, in accordance with the federal Fair Debt Collection Practices Act.&nbsp;</span></p> <p><span class="cls0">B. A lender shall not threaten or pursue criminal action against a debtor as a result of the debtor&rsquo;s instrument being returned unpaid or the debtor&rsquo;s deferred deposit loan account not being paid.&nbsp;</span></p> <p><span class="cls0">C. A debtor shall not be subject to any criminal penalty if an instrument is dishonored.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 7, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3108. Finance charges - Dishonored instruments.&nbsp;</span></p> <p><span class="cls0">A. Regardless of any other law governing the imposition of interest, fees, loan finance charges or the extension of credit, a deferred deposit lender may charge a finance charge for each deferred deposit loan that does not exceed Fifteen Dollars ($15.00) for every One Hundred Dollars ($100.00) advanced up to the first Three Hundred Dollars ($300.00) of the amount advanced; for the advance amounts in excess of Three Hundred Dollars ($300.00), the lender may charge an additional finance charge of Ten Dollars ($10.00) for every One Hundred Dollars ($100.00) advanced in excess of Three Hundred Dollars ($300.00). The credit terms of the deferred deposit loan shall be disclosed in accordance with Regulation Z, including the terms &ldquo;finance charge&rdquo; and &ldquo;annual percentage rate&rdquo;. The finance charge under this subsection shall be deemed fully earned as of the date of the transaction. Except for a fee for a dishonored instrument and the actual database verification fee pursuant to subparagraph b of paragraph 2 of subsection B of Section 3109 of this title, the lender may charge only those charges expressly authorized in this subsection in connection with a deferred deposit loan.&nbsp;</span></p> <p><span class="cls0">B. If an instrument held by a lender as a result of a deferred deposit loan is returned to the lender from a payor financial institution due to insufficient funds, a closed account or a stop payment order, the lender shall have the right to exercise all civil means authorized by law to collect the amount of the instrument. In addition, the lender may contract for and collect a dishonored instrument charge, not to exceed Twenty-five Dollars ($25.00); however, a dishonored instrument charge shall not be allowed if the instrument is dishonored by a financial institution, or the debtor places a stop payment order, due to forgery or theft of the instrument.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 8, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 5, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3109. Renewal of deferred deposit loan transaction - Determination of outstanding loans - Completion of transaction - Repayment plan - Redemption of instrument.&nbsp;</span></p> <p><span class="cls0">A. A lender may not enter into a renewal of a deferred deposit loan transaction.&nbsp;</span></p> <p><span class="cls0">B. Upon any application being made for a deferred deposit loan, the lender shall determine if the applicant has any outstanding deferred deposit loans as follows:&nbsp;</span></p> <p><span class="cls0">1. The applicant shall be required to sign an affidavit stating whether the applicant has any deferred deposit loans outstanding with the lender or any other deferred deposit lender and if so, the status of each such loan; and&nbsp;</span></p> <p><span class="cls0">2. The lender shall be required to verify the accuracy of the affidavit through commercially reasonable means. A lender&rsquo;s method of so verifying shall be considered in compliance with the provisions of this section if the verification method includes a manual investigation or an electronic query of:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the lender&rsquo;s own records, including both records maintained at the location where the loan is being applied for and records maintained at other locations that are owned and operated by the lender or the lender&rsquo;s affiliates, and&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;any private database approved by the Administrator of Consumer Credit, if the lender subscribes to such a database; provided, all lenders shall be required to subscribe to such a database or otherwise obtain the required information in a manner approved by the Administrator not later than July 1, 2004. The lender may charge the applicant a fee for database verification not to exceed the actual fee charged to the lender by the database provider.&nbsp;</span></p> <p><span class="cls0">If the lender determines that the applicant has more than one outstanding deferred deposit loan, the loan applied for shall not be made.&nbsp;</span></p> <p><span class="cls0">C. A deferred deposit loan transaction is completed when the lender presents the instrument for payment or initiates an ACH debit to the debtor&rsquo;s bank account to collect on the instrument, or the debtor redeems the instrument by paying the full amount of the instrument to the lender. Once the debtor has completed the deferred deposit loan transaction, the lender may enter into a new deferred deposit loan agreement with the debtor, and the new deferred deposit loan transaction shall not be deemed to be a renewal of the previous deferred deposit loan; provided, a new deferred deposit loan made within thirteen (13) calendar days after a previous deferred deposit loan has been entered into between the lender and the debtor shall be considered a renewal and shall not be made.&nbsp;</span></p> <p><span class="cls0">D. If a debtor enters into a third consecutive loan, the lender shall provide the consumer an option to repay such loan and each consecutive loan pursuant to a written repayment plan subject to the following terms:&nbsp;</span></p> <p><span class="cls0">1. The debtor shall request the repayment plan, either orally or in writing, prior to the due date of the loan;&nbsp;</span></p> <p><span class="cls0">2. The debtor shall repay the loan in four equal installments with one installment due on each of the next four dates on which the customer receives regular wages or compensation from an employer, pursuant to a written repayment plan agreement;&nbsp;</span></p> <p><span class="cls0">3. The consumer shall pay a processing fee of ten percent (10%) of the principal amount of the loan per loan not to exceed Fifteen Dollars ($15.00) for administration of the payment plan;&nbsp;</span></p> <p><span class="cls0">4. The consumer shall agree not to enter into any additional deferred presentment loans during the repayment plan term and for a period of fifteen (15) days after termination of the repayment plan term; and&nbsp;</span></p> <p><span class="cls0">5. Upon positive completion of the repayment plan, the lender shall report the debtor&rsquo;s positive payment history to at least one national consumer credit reporting agency.&nbsp;</span></p> <p><span class="cls0">E. A lender shall negotiate or present an instrument for payment only if the instrument is endorsed with the actual business name of the lender.&nbsp;</span></p> <p><span class="cls0">F. Prior to the lender negotiating or presenting the instrument, the debtor shall have the right to redeem any instrument held by a lender as a result of a deferred deposit loan if the debtor pays to the lender the unpaid balance of the principal and all accrued fees and charges.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 9, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 6, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3110. Limit on number of loans - Payment in full required.&nbsp;</span></p> <p><span class="cls0">After the debtor has entered into a fifth consecutive deferred deposit loan, a lender shall not make a deferred deposit loan to a debtor until 8:00 a.m. on the second business day after the fifth consecutive deferred deposit loan has been paid in full.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 10, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 7, emerg. eff. June 10, 2004.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3111. Advertising.&nbsp;</span></p> <p><span class="cls0">A. No lender shall engage in this state in false or misleading advertising concerning the terms or conditions of credit with respect to a deferred deposit loan.&nbsp;</span></p> <p><span class="cls0">B. Advertising which complies with Regulation Z does not violate subsection A of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 11, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3112. License required - Separate license required for each business location.&nbsp;</span></p> <p><span class="cls0">A. No person may engage in the business of making deferred deposit loans without first obtaining a license pursuant to this act, unless exempt under subsection B of Section 3 of this act. A separate license is required for each location where deferred deposit loans are made. The licensee shall post its license to engage in the business of making deferred deposit loans at each licensed location.&nbsp;</span></p> <p><span class="cls0">B. The Administrator may initiate administrative action against an unlicensed person as if the person held a license under this act if the person is found to be engaged in the business of making deferred deposit loans.&nbsp;</span></p> <p><span class="cls0">C. The Administrator may issue a license for each location at which deferred deposit loans are to be made to any person making deferred deposit loans at multiple locations; provided, if such licensee is not in compliance with this act as to each license, any action to revoke, suspend or not renew one license shall be applicable to all licenses issued to that licensee. This subsection shall not be construed to require a license for any place of business devoted to accounting or other record keeping and where deferred deposit loans are not made.&nbsp;</span></p> <p><span class="cls0">D. When a licensee wishes to move a licensed location to another licensed location, the licensee shall give thirty (30) days&rsquo; written notice to the Administrator, who shall amend the license accordingly.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 12, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3113. License qualifications - Application - Investigation of qualifications - Issuance or denial - Appeal - Fees.&nbsp;</span></p> <p><span class="cls0">A. To qualify for a license issued pursuant to the Deferred Deposit Lending Act, an applicant shall have:&nbsp;</span></p> <p><span class="cls0">1. A minimum net worth, determined in accordance with generally accepted accounting principles, of at least Twenty-five Thousand Dollars ($25,000.00) available for operation of each licensed location, with a maximum aggregate net worth requirement of Two Hundred Fifty Thousand Dollars ($250,000.00) for an owner of multiple locations; and&nbsp;</span></p> <p><span class="cls0">2. The financial responsibility, character, experience and general fitness so as to command the confidence of the public and to warrant the belief that the business will be operated lawfully, honestly, fairly and efficiently.&nbsp;</span></p> <p><span class="cls0">B. An application for a license pursuant to the Deferred Deposit Lending Act must be in writing, under oath, and on a form prescribed by the Administrator of Consumer Credit. The application must set forth all of the following:&nbsp;</span></p> <p><span class="cls0">1. The legal name and residence and business addresses of the applicant and, if the applicant is a partnership, association or corporation, of every member, officer, managing employee and director of it;&nbsp;</span></p> <p class="cls7"><span class="cls0">2. The location of the registered office of the applicant;&nbsp;</span></p> <p><span class="cls0">3. The registered agent of the applicant if the applicant is required by other law to have a registered agent;&nbsp;</span></p> <p><span class="cls0">4. The addresses of the locations to be licensed; and&nbsp;</span></p> <p><span class="cls0">5. Other information concerning the financial responsibility, background, experience and activities, such as other partnerships, associations and corporations located at or adjacent to the licensed location of the applicant and its members, officers, managing employees and directors as the Administrator may require.&nbsp;</span></p> <p><span class="cls0">C. On receipt of an application in the form prescribed by the Administrator and accompanied by the required license fee, the Administrator shall investigate whether the qualifications for license are satisfied. If the Administrator finds that the qualifications are satisfied, the Administrator shall issue to the applicant a license to engage in the business of making deferred deposit loans. If the Administrator fails to issue a license, the Administrator shall notify the applicant of the denial and the reasons for the denial. The provisions of the Administrative Procedures Act shall apply to the appeal of the denial of a license.&nbsp;</span></p> <p><span class="cls0">D. Each application, regardless of the number of locations to be operated by a single licensee, must be accompanied by payment of an application fee as prescribed by rule of the Commission on Consumer Credit and an investigation fee as prescribed by rule of the Commission on Consumer Credit. These fees shall not be refundable or abatable. If the license is granted, however, payment of the application fee shall satisfy the fee requirement for the first license year or its remainder.&nbsp;</span></p> <p><span class="cls0">E. Each license shall remain in full force and effect until relinquished, suspended, revoked or expired. A license expires annually and may be renewed on payment of a license fee as prescribed by rule of the Commission on Consumer Credit. The annual license renewal fee for an application with more than one location shall be as prescribed by rule of the Commission on Consumer Credit for each location.&nbsp;</span></p> <p><span class="cls0">F. The Commission on Consumer Credit shall prescribe by rule a fee for each license change, duplicate license or returned check.&nbsp;</span></p> <p><span class="cls0">G. The Commission on Consumer Credit shall prescribe by rule a late fee if a license is not renewed on or before the expiration of the license.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 13, eff. Sept. 1, 2003. Amended by Laws 2010, c. 415, &sect; 32, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3114. Examination of locations, loans, records, etc. - Assessments - Investigation of possible violations - Orders compelling compliance.&nbsp;</span></p> <p><span class="cls0">A. At such times as the Administrator of Consumer Credit shall deem necessary, the Administrator or a duly authorized representative shall make an examination of all licensed locations of each licensee and shall inquire into and examine the loans, transactions, books, accounts, papers, correspondence and records of the licensee insofar as they pertain to the business regulated by this act. In the course of the examination, the Administrator or a duly authorized representative shall have free access to the office, place of business, files, safes and vaults of the licensee, and shall have the right to make copies of the books, accounts, papers, correspondence and records. The Administrator or a duly authorized representative may, during the course of the examination, administer oaths and examine any person under oath on any subject pertinent to any matter about which the Administrator is authorized or required by this act to consider, investigate or secure information. Any licensee who shall fail or refuse to let the Administrator or a duly authorized representative examine or make copies of the books, or other relevant documents shall be deemed in violation of this act and the failure or refusal shall constitute grounds for administrative action against the licensee. The information obtained in the course of the examination shall be confidential. Each licensee shall pay to the Administrator an amount assessed by the Administrator to cover the direct and indirect cost of the examination and a proportionate share of general administrative expense, not to exceed Three Hundred Dollars ($300.00) for each location; provided, however, that for any examination which lasts in excess of eight (8) hours, the Administrator shall charge an additional fee of Fifty Dollars ($50.00) per hour for each examiner required to complete the examination; provided, further, that the Administrator may waive the examination fee for any examination which takes one (1) hour or less. If an examination fee is due and is not paid on completion of an examination, the Administrator shall bill the licensee, and there shall be a late fee of Fifty Dollars ($50.00) if the amount due is not received within thirty (30) days of the invoice date.&nbsp;</span></p> <p><span class="cls0">B. For the purpose of discovering violations of this act or of securing information required under this act, the Administrator or a duly authorized representative may investigate the books, accounts, papers, correspondence and records of any licensee or other person whom the Administrator has reasonable cause to believe is in violation of any provision of this act whether or not that person shall claim to be within the authority or scope of this act. For the purpose of this subsection, any person who advertises for, solicits or otherwise communicates a willingness to make deferred payment loans shall be presumed to be engaged in the business of making deferred deposit loans.&nbsp;</span></p> <p><span class="cls0">C. Every licensee shall maintain on file with the Administrator a written appointment of a resident of this state as the agent for service of all judicial or other process or legal notice, unless the licensee has appointed an agent under another statute of this state. In case of noncompliance, such service may be made on the Administrator.&nbsp;</span></p> <p><span class="cls0">D. Each licensee shall keep or make available in this state the books and records relating to loans made under this act as are necessary to enable the Administrator to determine whether the licensee is complying with this act. The books and records shall be maintained in a manner consistent with accepted accounting practices.&nbsp;</span></p> <p><span class="cls0">E. Each licensee shall preserve or make available its books and records in the state relating to each of its loans for four (4) years from the date of the loan, or two (2) years from the date of the final entry made thereon, whichever is later. Each licensee&rsquo;s system of records shall be accepted if it discloses its information as may be reasonably required under this act. All deferred deposit loan agreements and notices of cancellation signed by debtors shall be kept at an office in this state designated by the licensee, except when transferred under an agreement which gives the Administrator access to the agreements.&nbsp;</span></p> <p><span class="cls0">F. Each lender shall, annually on or before the first day of May, file a report with the Administrator setting forth such relevant information as the Administrator may reasonably require concerning the business and operations during the preceding calendar year for each place of business conducted by such lender. Such report shall be made under oath and shall be in the form prescribed by the Administrator, who shall make and publish annually a consolidated analysis and recapitulation of such reports, but the individual reports and their contents shall be held confidential. There shall be a late fee of Twenty-five Dollars ($25.00) for any annual report received after May 1.&nbsp;</span></p> <p><span class="cls0">G. Any transcript of any hearing held by the Administrator or an independent hearing examiner under this act shall be a public record and open to inspection at all reasonable times.&nbsp;</span></p> <p><span class="cls0">H. On failure without lawful excuse to obey a subpoena or to give testimony and on reasonable notice to all persons affected, the Administrator or a representative may apply to a court for an order compelling compliance, as provided by the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 14, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3115. Investigations - Powers of Administrator - Subpoenas - Orders compelling compliance - Censure, probation, suspension, revocation or refusal to renew license - Injunction - Notice and hearing - Cease and desist orders - Judicial review.&nbsp;</span></p> <p><span class="cls0">A. If the Administrator of Consumer Credit has reasonable cause to believe a lender has violated any provision of the Deferred Deposit Lending Act, the Administrator may make an investigation to determine whether the act has been committed, and, to the extent necessary for this purpose, may administer oaths or affirmations, and upon the Administrator&rsquo;s own motion or upon request of any party may subpoena witnesses, compel their attendance, adduce evidence, and require the production of any matter which is relevant to the investigation, including the existence, description, nature, custody, condition, and location of any books, documents, or other tangible things and the identity and location of persons having knowledge of relevant facts, or any other matter reasonably calculated to lead to the discovery of admissible evidence.&nbsp;</span></p> <p><span class="cls0">B. If the person's records are located outside this state, the person shall, at the person&rsquo;s option, either make them available to the Administrator at a convenient location within this state, or pay the reasonable and necessary expenses for the Administrator or a representative to examine them at the place where they are maintained. Payments for such necessary expenses shall be made to the Commission on Consumer Credit. Any such payments so received by the Department shall be deposited in the Oklahoma Deferred Deposit Lending Regulatory Revolving Fund. The Administrator may designate representatives, including comparable officials of the state in which the records are located, to inspect them on the Administrator&rsquo;s behalf.&nbsp;</span></p> <p><span class="cls0">C. Upon failure without lawful excuse to obey a subpoena or to give testimony and upon reasonable notice to all persons affected thereby the Administrator may apply to a court for an order compelling compliance, as provided by the Administrative Procedures Act, Sections 250.1 through 323 of Title 75 of the Oklahoma Statutes.&nbsp;</span></p> <p><span class="cls0">D. The Administrator shall not make public the name or identity of a person whose acts or conduct are investigated pursuant to this section or the facts disclosed in the investigation, but this subsection does not apply to disclosures in actions or enforcement proceedings pursuant to the Deferred Deposit Lending Act.&nbsp;</span></p> <p><span class="cls0">E. The Administrator may, after notice and hearing, censure, probate, suspend, revoke or refuse to renew any license or enjoin violations of the Deferred Deposit Lending Act if the Administrator finds that:&nbsp;</span></p> <p><span class="cls0">1. The licensee has failed to pay the annual license fee imposed by the Deferred Deposit Lending Act, or an examination fee, investigation fee or other fee or charge imposed by the Administrator under the authority of the Deferred Deposit Lending Act;&nbsp;</span></p> <p><span class="cls0">2. The licensee, either knowingly or without the exercise of due care to prevent the same, has violated any provision of the Deferred Deposit Lending Act or any rule or order lawfully made pursuant to and within the authority of the Deferred Deposit Lending Act;&nbsp;</span></p> <p><span class="cls0">3. Any fact or condition exists which, if it had existed or had been known to exist at the time of the original application for the license, clearly would have justified the Administrator in refusing to issue the license;&nbsp;</span></p> <p><span class="cls0">4. The licensee has refused to permit examination by the Administrator;&nbsp;</span></p> <p><span class="cls0">5. The licensee has demonstrated incompetency or untrustworthiness to engage in the business of making deferred deposit loans; or&nbsp;</span></p> <p><span class="cls0">6. The licensee, as an individual, has been convicted of a felony or misdemeanor involving fraud, misrepresentation or deceit.&nbsp;</span></p> <p><span class="cls0">F. The hearing shall be held on not less than twenty (20) days&rsquo; notice in writing setting forth the time and place of the hearing and a concise statement of the facts alleged to sustain the administrative action, and its effective date shall be set forth in a written order accompanied by finding of fact and a copy of the findings shall be delivered immediately to the licensee. The order, findings and evidence considered by the Administrator shall be filed with the public records of the Administrator.&nbsp;</span></p> <p><span class="cls0">G. Any licensee may surrender any license by delivering it to the Administrator with written notice of its surrender, but the surrender shall not affect the responsibility of the licensee for acts occurring prior to surrender of a license.&nbsp;</span></p> <p><span class="cls0">H. No revocation, suspension, or surrender of any license shall impair or affect the obligation of any preexisting lawful contract between the licensee and any debtor.&nbsp;</span></p> <p><span class="cls0">I. The Administrator may reinstate suspended licenses or issue new licenses to a person whose license or licenses have been revoked if no fact or condition then exists which clearly would have justified the Administrator or the independent hearing examiner in refusing originally to issue such license under these subsections.&nbsp;</span></p> <p><span class="cls0">J. Every licensee shall notify the Administrator of the conviction of or plea of guilty or nolo contendere to any felony within thirty (30) days after the plea is taken and also within thirty (30) days of the entering of an order of judgment and sentencing and shall notify the Administrator of any administrative action resulting in revocation, suspension or amendment of a license taken against the licensee in another state within thirty (30) days of the entering of the administrative order in that state.&nbsp;</span></p> <p><span class="cls0">K. Except as otherwise provided, the Administrative Procedures Act applies to and governs all administrative action taken by the Administrator pursuant to the Deferred Deposit Lending Act.&nbsp;</span></p> <p><span class="cls0">L. 1. After notice and hearing, the Administrator may order a lender or a person acting in the lender's behalf to cease and desist from engaging in violations of the Deferred Deposit Lending Act.&nbsp;</span></p> <p><span class="cls0">2. A respondent aggrieved by an order of the Administrator may obtain judicial review of the order as provided by the Administrative Procedures Act. In such a review proceeding, the Administrator may apply for a decree enforcing the order. All such proceedings shall be conducted and the court's authority in review shall be exercised in accordance with the provisions of the Administrative Procedures Act, with the following additions: &nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;the court may grant any temporary relief or restraining order it deems just, &nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;if the court affirms or modifies the order, it shall enter a decree enforcing and requiring compliance with the order as affirmed or as modified, &nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;an objection to the order not urged at the hearing shall not be considered by the court unless the failure to urge the objection is excused for good cause shown, and &nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;the copy of the testimony from the administrative hearing shall be available at reasonable times to all parties for examination without cost.&nbsp;</span></p> <p><span class="cls0">3. If no proceeding for review has been filed within the time specified by law, the Administrator or a representative may obtain from a court having jurisdiction over the respondent a decree for enforcement of the order upon a showing that the order was issued in compliance with this section, that no proceeding for review was initiated within the time specified by law, and that the respondent is subject to the jurisdiction of the court.&nbsp;</span></p> <p><span class="cls0">M. The Administrator shall appoint an independent hearing examiner to conduct all administrative hearings involving alleged violations of the Deferred Deposit Lending Act. The independent hearing examiner shall have authority to exercise all powers granted by Article II of the Administrative Procedures Act in conducting hearings. The independent hearing examiner shall have authority to recommend penalties authorized by the Deferred Deposit Lending Act and issue proposed orders, with proposed findings of fact and proposed conclusions of law, to the Administrator pursuant to Article II of the Administrative Procedures Act. The Administrator shall review the proposed order and issue a final agency order in accordance with Article II of the Administrative Procedures Act. A final agency order issued by the Administrator shall be appealable by all parties to the district court as provided in Article II of the Administrative Procedures Act. The costs of the hearing examiner may be assessed by the hearing examiner against the respondent, unless the respondent is the prevailing party.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 15, eff. Sept. 1, 2003. Amended by Laws 2010, c. 415, &sect; 33, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3116. Additional powers of Administrator.&nbsp;</span></p> <p><span class="cls0">A. In addition to other powers granted by this act, the Administrator of Consumer Credit may, within the limitations provided by law:&nbsp;</span></p> <p><span class="cls0">1. Maintain a list of licensees, which shall be available to interested persons and the public. The Administrator shall also provide a toll-free number whereby consumers may obtain information about licensees;&nbsp;</span></p> <p><span class="cls0">2. Establish a complaint process whereby an aggrieved debtor or a member of the public may file a complaint against a licensee or nonlicensee who violates any provision of this act. The Administrator shall hold hearings upon the request of a party to the complaint, make findings of fact and conclusions of law, issue cease and desist orders and suspend or revoke a license granted under this act;&nbsp;</span></p> <p><span class="cls0">3. Take action designed to obtain voluntary compliance with this act or commence proceedings on the Administrator&rsquo;s own initiative;&nbsp;</span></p> <p><span class="cls0">4. Counsel persons and groups on their rights and duties under this act; and&nbsp;</span></p> <p><span class="cls0">5. With approval of the Commission on Consumer Credit, promulgate, amend and repeal administrative rules to carry out the provisions of the act, as provided by the Administrative Procedures Act.&nbsp;</span></p> <p><span class="cls0">B. The Administrator may conduct a study regarding the system of verification of the existence of deferred deposit loans as provided in paragraph 2 of subsection B of Section 9 of this act to determine:&nbsp;</span></p> <p><span class="cls0">1. If the system adequately provides lenders with information as to the existence of outstanding deferred deposit loans made by other lenders; and&nbsp;</span></p> <p><span class="cls0">2. If it is feasible for the Department of Consumer Credit to develop and maintain a database of outstanding deferred deposit loans to provide such information to lenders.&nbsp;</span></p> <p><span class="cls0">The Administrator shall consult with representatives of deferred deposit lenders, advocates for consumers of this state and other interested parties to conduct the study. The Administrator shall issue a report of any such findings to the President Pro Tempore of the Senate and the Speaker of the House of Representatives not later than December 1, 2004.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 16, eff. Sept. 1, 2003.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3117. Civil penalties - Repayment of fees.&nbsp;</span></p> <p><span class="cls0">A. The Administrator of Consumer Credit may order and impose civil penalties upon a person subject to the provisions of the Deferred Deposit Lending Act for violations of the Deferred Deposit Lending Act or the rules promulgated to implement the Deferred Deposit Lending Act in an amount not to exceed One Thousand Dollars ($1,000.00) per violation. The Administrator may also order repayment of unlawful fees charged to debtors.&nbsp;</span></p> <p><span class="cls0">B. Any administrative order or settlement agreement imposing a civil penalty pursuant to this section may be enforced in the same manner as civil judgments in this state. The Administrator may file an application to enforce an administrative order or settlement agreement imposing a civil penalty in the district court of Oklahoma County.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 17, eff. Sept. 1, 2003. Amended by Laws 2010, c. 415, &sect; 34, eff. July 1, 2010.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-3118. Consumer Credit Counseling Revolving Fund.&nbsp;</span></p> <p><span class="cls0">There is hereby created in the State Treasury a revolving fund for the Commission on Consumer Credit to be designated the "Consumer Credit Counseling Revolving Fund". The fund shall consist of fees received by the Administrator of Consumer Credit from deferred deposit lenders for consumer credit counseling services pursuant to the provisions of Section 3119 of this title. The revolving fund shall be a continuing fund not subject to fiscal year limitations and shall be under the administrative direction of the Administrator. Monies accruing to the credit of this fund are hereby appropriated and may be budgeted and expended by the Administrator upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2003, c. 240, &sect; 18, eff. Sept. 1, 2003. Amended by Laws 2004, c. 557, &sect; 8, emerg. eff. June 10, 2004; Laws 2010, c. 415, &sect; 35, eff. July 1, 2010; Laws 2012, c. 304, &sect; 294.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3119. Fee for deferred deposit loan - Funds to consumer credit counseling provider.&nbsp;</span></p> <p><span class="cls0">A. Each lender shall pay five cents ($0.05) for each deferred deposit loan entered into to be deposited into the Consumer Credit Counseling Revolving Fund. The schedule for payment shall be determined by the Administrator of Consumer Credit. Lenders shall be prohibited from including such payment in the fees and charges provided for under Section 3108 of this title. Ten percent (10%) of each scheduled payment of fees pursuant to this section may be transferred to the Consumer Credit Administrative Expenses Revolving Fund established in Section 6-301 of Title 14A of the Oklahoma Statutes for expenses incurred in administering the requirements of this section.&nbsp;</span></p> <p><span class="cls0">B. Funds collected pursuant to this section shall be paid by the Administrator to a third-party, Oklahoma-based consumer credit counseling provider with a verifiable history of work with both industry and consumers in the appropriate field for a program of research and implementation of voluntary consumer counseling and education specifically designed for consumers utilizing deferred deposit loans. The program shall be:&nbsp;</span></p> <p><span class="cls0">1. Selected by a bid process, pursuant to The Oklahoma Central Purchasing Act; and&nbsp;</span></p> <p><span class="cls0">2. Designed in consultation with representatives of both the industry and consumers.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2004, c. 557, &sect; 9, emerg. eff. June 10, 2004. Amended by Laws 2010, c. 415, &sect; 36, eff. July 1, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3201. Short title.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the &ldquo;Oklahoma Anesthesiologist Assistant Act&rdquo;.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 1, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3202. Definitions.&nbsp;</span></p> <p><span class="cls0">As used in the Oklahoma Anesthesiologist Assistant Act:&nbsp;</span></p> <p><span class="cls0">1. "Board" means the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">2. "Anesthesiologist assistant" means a graduate of an approved program who is licensed to perform medical services delegated and directly supervised by a supervising anesthesiologist;&nbsp;</span></p> <p><span class="cls0">3. "Approved program" means a program for the education and training of anesthesiologist assistants approved by the State Board of Medical Licensure and Supervision;&nbsp;</span></p> <p><span class="cls0">4. &ldquo;Direct supervision" means the on-site, personal supervision by an anesthesiologist who is present in the office when the procedure is being performed in that office, or is present in the surgical or obstetrical suite when the procedure is being performed in that surgical or obstetrical suite and who is in all instances immediately available to provide assistance and direction to the anesthesiologist assistant while anesthesia services are being performed; and&nbsp;</span></p> <p><span class="cls0">5. &ldquo;NCCAA&rdquo; means the National Commission for Certification of Anesthesiologist Assistants.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 2, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3203. Duties of State Board Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision shall:&nbsp;</span></p> <p><span class="cls0">1. Examine, license and renew the licenses of duly qualified applicants;&nbsp;</span></p> <p><span class="cls0">2. Maintain an up-to-date list of every person licensed to practice pursuant to the Oklahoma Anesthesiologist Assistant Act. The list shall show the licensee's last-known place of employment, last-known place of residence, and the date and number of the license;&nbsp;</span></p> <p><span class="cls0">3. Cause the prosecution of all persons violating the Oklahoma Anesthesiologist Assistant Act and incur necessary expenses therefor;&nbsp;</span></p> <p><span class="cls0">4. Keep a record of all proceedings of the Board and make such record available to the public for inspection during reasonable business hours;&nbsp;</span></p> <p><span class="cls0">5. Conduct hearings upon charges calling for discipline of a licensee, or denial, revocation or suspension of a license; and&nbsp;</span></p> <p><span class="cls0">6. Share information on a case-by-case basis of any person whose license has been suspended, revoked or denied. The information shall include the name, social security number, type and cause of action, date and penalty incurred, and the length of penalty. The information shall be available for public inspection during reasonable business hours and shall be supplied to similar boards in other states upon request.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 3, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3204. Powers of State Board of Medical Licensure and Supervision.&nbsp;</span></p> <p><span class="cls0">The State Board of Medical Licensure and Supervision may:&nbsp;</span></p> <p><span class="cls0">1. Promulgate rules, consistent with the laws of this state, as may be necessary to enforce the provisions of the Oklahoma Anesthesiologist Assistant Act. Rules shall be promulgated in accordance with Article I of the Administrative Procedures Act;&nbsp;</span></p> <p><span class="cls0">2. Employ such personnel as necessary to assist the Board in performing its function;&nbsp;</span></p> <p><span class="cls0">3. Establish license renewal requirements and procedures as deemed appropriate;&nbsp;</span></p> <p><span class="cls0">4. Secure the services of resource consultants as deemed necessary by the Board. Resource consultants shall be reimbursed for all actual and necessary expenses incurred while engaged in consultative service to the Board, pursuant to the State Travel Reimbursement Act;&nbsp;</span></p> <p><span class="cls0">5. Enter into agreements or contracts, consistent with state law, with outside organizations for the purpose of developing, administering, grading or reporting the results of licensing examinations. Such groups shall be capable of providing an examination which meets the standards of the NCCAA, or their equivalent; and&nbsp;</span></p> <p><span class="cls0">6. Establish by rule license examination fees.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 4, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3205. Application for licensure.&nbsp;</span></p> <p><span class="cls0">A. All persons applying for licensure as an anesthesiologist assistant shall submit an application to the State Board of Medical Licensure and Supervision on forms approved by the Board.&nbsp;</span></p> <p><span class="cls0">B. The application shall not be used for more than one (1) year from the date of original submission of the application and fee. After one (1) year from the date that the original application and fee have been received in the Board office, a new application and fee shall be required from any applicant who desires licensure as an anesthesiologist assistant.&nbsp;</span></p> <p><span class="cls0">C. All application information must be submitted no later than fifteen (15) days prior to the meeting at which the applicant desires the application to be considered.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 5, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3206. Application requirements - Exam score - Certification - Notarized statements.&nbsp;</span></p> <p><span class="cls0">A. All applicants for licensure as an anesthesiologist assistant must submit an application as set forth in Section 5 of this act. The applicant must submit two personalized and individualized letters of recommendation from anesthesiologists. Letters of recommendation must be composed and signed by the applicant&rsquo;s supervising physician, or, for recent graduates, the faculty physician, and give details of the applicant&rsquo;s clinical skills and ability. Each letter must be addressed to the State Board of Medical Licensure and Supervision and must have been written no more than six (6) months prior to the filing of the application for licensure.&nbsp;</span></p> <p><span class="cls0">B. The applicant must have obtained a passing score on the examination administered through the NCCAA. The passing score shall be established by the NCCAA.&nbsp;</span></p> <p><span class="cls0">C. The applicant must be certified in advanced cardiac life support.&nbsp;</span></p> <p><span class="cls0">D. The applicant must submit notarized statements containing the following information:&nbsp;</span></p> <p><span class="cls0">1. Completion of three (3) hours of all Category I, American Medical Association Continuing Medical Education or American Osteopathic Association approved Category I-A continuing education related to the practice of osteopathic medicine or under osteopathic auspices which includes the topics of Human Immunodeficiency Virus and Acquired Immune Deficiency Syndrome: the disease and its spectrum of clinical manifestations; epidemiology of the disease; related infections including TB; treatment, counseling, and prevention; transmission from healthcare worker to patient and patient to healthcare worker; universal precautions and isolation techniques; and legal issues related to the disease. If the applicant has not already completed the required continuing medical education, upon submission of an affidavit of good cause, the applicant shall be allowed six (6) months to complete this requirement;&nbsp;</span></p> <p><span class="cls0">2. Completion of one (1) hour of continuing medical education on domestic violence which includes information on the number of patients in that professional's practice who are likely to be victims of domestic violence and the number who are likely to be perpetrators of domestic violence, screening procedures for determining whether a patient has any history of being either a victim or a perpetrator of domestic violence, and instruction on how to provide such patients with information on, or how to refer such patients to, resources in the local community, such as domestic violence centers and other advocacy groups, that provide legal aid, shelter, victim counseling, batterer counseling, or child protection services, and which is approved by any state or federal government agency, or nationally affiliated professional association, or any provider of Category I or II American Medical Association Continuing Medical Education or American Osteopathic Association approved Category I-A continuing education related to the practice of osteopathic medicine or under osteopathic auspices. Home study courses approved by the above agencies shall be acceptable. If the applicant has not already completed the required continuing medical education, upon submission of an affidavit of good cause, the applicant shall be allowed six (6) months to complete this requirement; and&nbsp;</span></p> <p><span class="cls0">3. Completion of two (2) hours of continuing medical education relating to prevention of medical errors which includes a study of root cause analysis, error reduction and prevention, and patient safety, and which is approved by any state or federal government agency, or nationally affiliated professional association, or any provider of Category I or II American Medical Association Continuing Medical Education or American Osteopathic Association approved Category I-A continuing education related to the practice of osteopathic medicine or under osteopathic auspices.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 6, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3207. Supervisory protocol - Authorized assistant duties.&nbsp;</span></p> <p><span class="cls0">A. Every anesthesiologist or group of anesthesiologists, upon entering into a supervisory relationship with an anesthesiologist assistant must file with the State Board of Medical Licensure and Supervision a written protocol, to include, at a minimum, the following:&nbsp;</span></p> <p><span class="cls0">1. Name, address, and license number of the anesthesiologist assistant;&nbsp;</span></p> <p><span class="cls0">2. Name, address, license number and federal Drug Enforcement Administration (DEA) number of each anesthesiologist who will supervise the anesthesiologist assistant;&nbsp;</span></p> <p><span class="cls0">3. Address of the anesthesiologist assistant&rsquo;s primary practice location and any other locations where the assistant may practice;&nbsp;</span></p> <p><span class="cls0">4. The date the protocol was developed and the dates of all revisions;&nbsp;</span></p> <p><span class="cls0">5. The designation and signature of the primary supervising anesthesiologist;&nbsp;</span></p> <p><span class="cls0">6. Signatures of the anesthesiologist assistant and all supervising anesthesiologists;&nbsp;</span></p> <p><span class="cls0">7. The duties and functions of the anesthesiologist assistant;&nbsp;</span></p> <p><span class="cls0">8. Conditions or procedures that require the personal provision of care by an anesthesiologist; and&nbsp;</span></p> <p><span class="cls0">9. The procedures to be followed in the event of an anesthetic emergency.&nbsp;</span></p> <p><span class="cls0">B. The protocol must be on file with the Board prior to the time the anesthesiologist assistant begins practice with the anesthesiologist or the anesthesiology group.&nbsp;</span></p> <p><span class="cls0">C. The protocol must be updated biennially.&nbsp;</span></p> <p><span class="cls0">D. Anesthesiologist assistants may perform the following duties under the direct supervision of an anesthesiologist:&nbsp;</span></p> <p><span class="cls0">1. Obtaining a comprehensive patient history and presenting the history to the supervising anesthesiologist;&nbsp;</span></p> <p><span class="cls0">2. Pretesting and calibration of anesthesia delivery systems and monitoring, obtaining and interpreting information from the systems and monitors;&nbsp;</span></p> <p><span class="cls0">3. Assisting the anesthesiologist with implementation of monitoring techniques;&nbsp;</span></p> <p><span class="cls0">4. Establishing basic and advanced airway interventions, including intubations of the trachea and performing ventilatory support;&nbsp;</span></p> <p><span class="cls0">5. Administering intermittent vasoactive drugs and starting and adjusting vasoactive infusions;&nbsp;</span></p> <p><span class="cls0">6. Administering anesthetic drugs, adjuvant drugs, and accessory drugs;&nbsp;</span></p> <p><span class="cls0">7. Assisting the anesthesiologist with the performance of epidural anesthetic procedures and spinal anesthetic procedures;&nbsp;</span></p> <p><span class="cls0">8. Administering blood, blood products, and supportive fluids;&nbsp;</span></p> <p><span class="cls0">9. Supporting life functions during anesthesia health care, including induction and intubation procedures, the use of appropriate mechanical supportive devices, and the management of fluid, electrolyte, and blood component balances;&nbsp;</span></p> <p><span class="cls0">10. Recognizing and taking appropriate corrective action for abnormal patient responses to anesthesia, adjunctive medication or other forms of therapy;&nbsp;</span></p> <p><span class="cls0">11. Participating in management of the patient while in the post-anesthesia recovery area, including the administration of supporting fluids; and&nbsp;</span></p> <p><span class="cls0">12. Placing special peripheral and central venous and arterial lines for blood sampling and monitoring as appropriate.&nbsp;</span></p> <p><span class="cls0">E. The supervising anesthesiologist shall delegate only tasks and procedures to the anesthesiologist assistant which are within the supervising physician's scope of practice. The anesthesiologist assistant may work in any setting that is within the scope of practice of the supervising anesthesiologist&rsquo;s practice.&nbsp;</span></p> <p><span class="cls0">F. Continuity of supervision in practice settings requires the anesthesiologist assistant to document in the anesthesia record any change in supervisor.&nbsp;</span></p> <p><span class="cls0">G. All tasks and procedures performed by the anesthesiologist assistant must be documented in the appropriate medical record.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 7, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-3208. Malpractice insurance.&nbsp;</span></p> <p><span class="cls0">All anesthesiologist assistants shall carry malpractice insurance or demonstrate proof of financial responsibility. Any applicant for licensure shall submit proof of compliance or exemption to the Board office prior to licensure. All licensees shall submit such proof as a condition of biennial renewal or reactivation. Acceptable proof of financial responsibility shall include:&nbsp;</span></p> <p><span class="cls0">1. Professional liability coverage of at least One Hundred Thousand Dollars ($100,000.00) per claim with a minimum annual aggregate of at least Three Hundred Thousand Dollars ($300,000.00) from an authorized insurer, a surplus lines insurer, a joint underwriting association, a self-insurance plan, or a risk retention group; or&nbsp;</span></p> <p><span class="cls0">2. An unexpired irrevocable letter of credit, which is in the amount of at least One Hundred Thousand Dollars ($100,000.00) per claim with a minimum aggregate availability of at least Three Hundred Thousand Dollars ($300,000.00) and which is payable to the anesthesiologist assistant as beneficiary. Any person claiming exemption from the financial responsibility law must timely document such exemption at initial certification, biennial renewal, and reactivation.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2008, c. 161, &sect; 8, eff. Nov. 1, 2008.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4000. Exemptions.&nbsp;</span></p> <p><span class="cls0">A. All state entities that are charged with oversight of occupational licenses shall establish procedures by which individuals who are convicted of a felony or misdemeanor where substance abuse or mental illness is the underlying cause of the crime, or plead guilty or nolo contendere to a felony or misdemeanor where substance abuse or mental illness is the underlying cause of the crime, may appeal to have an occupational license reinstated.&nbsp;</span></p> <p><span class="cls0">B. All state entities described in this section may consider the length of time since the plea or conviction. Other items that may be considered are education since the plea or conviction, recovery status since the plea or conviction if the underlying crime was alcohol- or drug-related, and the public safety of allowing an individual to return to the specific occupation.&nbsp;</span></p> <p><span class="cls0">C. The provisions of this section shall not apply to professional licensure boards that currently recognize and comply with the spirit and intent of this act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 196, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-4001. Participation in execution of death sentence barred as basis for revoking, suspending, or denying professional license.&nbsp;</span></p> <p><span class="cls0">No licensing entity, board, commission, association, or agency shall file, attempt to file, initiate a proceeding, or take any action to revoke, suspend, or deny a license to any person authorized to operate as a professional in the State of Oklahoma, for the reason that the person participated in any manner in the execution of a judgment of death pursuant to Sections 1014 and 1015 of Title 22 of the Oklahoma Statutes as required or authorized by law or the Director of the Department of Corrections.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2006, c. 139, &sect; 1, eff. Nov. 1, 2006.&nbsp;</span></p> <p class="cls1">&nbsp;</p> <p><span class="cls0">&sect;59-4002. Liability for acts of licensed profession or trade.&nbsp;</span></p> <p><span class="cls0">The owner of property, or an owner&rsquo;s agent, or a lumber yard or building material center, or its agents or employees, who attempts to determine cost estimates, determine various material options, secure a detailed list of materials, or prepare a material takeoff based upon a drawing, plan, computer program calculation or any professional source of written information for his or her construction project, shall not be held liable for the acts of, nor deemed to practice, a profession or trade required to be licensed in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2010, c. 337, &sect; 3, emerg. eff. June 6, 2010.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100. Post-Military Service Occupation, Education and Credentialing Act.&nbsp;</span></p> <p><span class="cls0">This act shall be known and may be cited as the "Post-Military Service Occupation, Education and Credentialing Act".&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 1, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.1. Legislative findings.&nbsp;</span></p> <p><span class="cls0">The Legislature finds that military service members after separating from military service are frequently delayed in getting post-military employment even though the service member may have applicable military education, training, and experience which could qualify for an occupational license or certification, or which could provide academic credit toward college, university or technical degree requirements. The Legislature finds it is advantageous to the state to create occupational and educational opportunities for post-military service members who are honorably discharged and spouses of active-duty service members who must leave work in another state to accompany their service member on transfer and assignment for military duty in this state. The Legislature additionally finds that the spouse of an active-duty service member assigned for duty in this state who possesses a valid professional license or certification with current experience in another state should be allowed to apply for the same professional license or certification in this state and such application should be expedited for better employment opportunities and based upon the person having substantially equivalent education, training and experience for licensure in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 2, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.2. Guide to the Evaluation of Educational Experiences in the Armed Services.&nbsp;</span></p> <p><span class="cls0">The Legislature hereby authorizes the public and private institutions of higher education and the career and technology centers in this state to utilize the Guide to the Evaluation of Educational Experiences in the Armed Services, published by the American Council on Education (ACE), to compare and apply academic credit for education, training and experience received through military duty or service which is applicable to the selected program of study for an honorably discharged military service member who becomes a student at an institution of higher education or career and technology center within three (3) years after separation from military service.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 3, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.3. Award of educational credits.&nbsp;</span></p> <p><span class="cls0">A. In addition to any other power, duty or function authorized for institutions of higher education or career and technology centers, each governing board shall adopt, not later than January 1, 2013, a policy authorizing the institution or career and technology center under the board&rsquo;s supervision and management to award educational credits to a student enrolled in the institution or career and technology center who is also honorably discharged from the Armed Forces of the United States within three (3) years of initial enrollment, for courses that are part of the student&rsquo;s military training or service and that meet the standards of the American Council on Education (ACE) or equivalent standards for awarding academic credit if the award of educational credit is based upon the institution&rsquo;s or technical career center&rsquo;s admission standards and its role, scope and mission.&nbsp;</span></p> <p><span class="cls0">B. Each governing board shall adopt necessary rules and procedures to implement the provisions of this section effective beginning with the 2013-2014 academic year, and continuing thereafter.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 4, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.4. Satisfactory evidence of equivalent education.&nbsp;</span></p> <p><span class="cls0">A. Every administrative body, state agency director or official with authority over any occupational or professional license or certification, and each of the respective examining and licensing boards, shall, upon presentation of satisfactory evidence of equivalent education, training and experience by an applicant for certification or licensure, accept the education, training, and experience completed by the individual as a member of the Armed Forces or Reserves of the United States, National Guard of any state, the Military Reserves of any state, or the Naval Militias of any state, and apply it in the manner most favorable toward satisfying the qualifications for issuance of the requested license or certification or approval for license examination in this state.&nbsp;</span></p> <p><span class="cls0">B. Each agency director or official, and each examining and licensing board, shall promulgate rules to implement the provisions of this section.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 5, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.5. Expediting endorsement of licenses or certifications for military spouses.&nbsp;</span></p> <p><span class="cls0">A. Every agency, board or commission shall establish a procedure to expedite endorsement of licenses or certifications for military spouse applicants; provided, the military service member is on active duty within this state or claims permanent residency in this state for the six (6) months prior to assignment to active duty or during the period of active duty.&nbsp;</span></p> <p><span class="cls0">B. Notwithstanding any other law to the contrary, each board shall establish a procedure to expedite the issuance of a license, certification or permit to perform professional services regulated by each such board to a person:&nbsp;</span></p> <p><span class="cls0">1. Who is certified or licensed in another state to perform professional services in a state other than the State of Oklahoma;&nbsp;</span></p> <p><span class="cls0">2. Whose spouse is an active-duty member of the Armed Forces of the United States;&nbsp;</span></p> <p><span class="cls0">3. Whose spouse is subject to a military transfer to this state; and&nbsp;</span></p> <p><span class="cls0">4. Who left employment in another state to accompany the person&rsquo;s spouse to this state.&nbsp;</span></p> <p><span class="cls0">C. The procedures to expedite licensure or certification shall include:&nbsp;</span></p> <p><span class="cls0">1. Issuing the person a license, certificate or permit, if, in the opinion of the board, the requirements for certification or licensure of the other state are substantially equivalent to those required by this state; or&nbsp;</span></p> <p><span class="cls0">2. Developing a method to authorize the person to perform professional services regulated by the board in this state by issuing the person a temporary permit for a limited period of time to allow the person to perform professional services while completing any specific requirements in this state that were not required in the state in which the person was licensed or certified.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 6, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.6. Automatic extension of licensure or certification.&nbsp;</span></p> <p><span class="cls0">A. Every agency, board or commission in this state with authority to issue and regulate professional licenses or certifications is authorized to provide for the automatic extension of such professional license or certification for active-duty military service members and to provide a reasonable period of time after military service to activate the license or certification for employment purposes.&nbsp;</span></p> <p><span class="cls0">B. Notwithstanding any other statutes to the contrary, any member of the Armed Forces of the United States on active duty who at the time of activation was:&nbsp;</span></p> <p><span class="cls0">1. A member in good standing with any administrative body of the state; and&nbsp;</span></p> <p><span class="cls0">2. Duly licensed or certified to engage in his or her profession or vocation in this state,&nbsp;</span></p> <p><span class="cls0">may be kept in good standing by the administrative body with which he or she is licensed or certified.&nbsp;</span></p> <p><span class="cls0">C. While a licensee or certificate holder is deployed on active duty as a member of the Armed Forces of the United States, the license or certificate referenced in subsection B of this section may be renewed without:&nbsp;</span></p> <p><span class="cls0">1. The payment of dues or fees; and&nbsp;</span></p> <p><span class="cls0">2. Obtaining continuing education credits when:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;circumstances associated with military duty prevent obtaining training and a waiver request has been submitted to the appropriate administrative body,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;the active-duty military member performs the licensed or certified occupation as part of his or her military duties as annotated in Defense Department Form 214 (DD 214), or&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;performing any other act typically required for the renewal of the license or certificate.&nbsp;</span></p> <p><span class="cls0">D. The license or certificate issued pursuant to the provisions of this section may be continued as long as the licensee or certificate holder is a member of the Armed Forces of the United States on active duty and for a period of at least one (1) year after discharge from active duty.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 7, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-4100.7. Interpretation of act.&nbsp;</span></p> <p><span class="cls0">Nothing in the Post-Military Service Occupation, Education and Credentialing Act shall be construed to require the issuance of any license or certificate to an applicant who does not otherwise meet the stated eligibility standards, criteria, qualifications or requirements for licensure or certification, nor shall the provisions be construed to automatically allow issuance of any license or certificate without testing or examination, without proper consideration by the licensing and examination board, or without proper verification that the applicant is not subject to pending criminal charges or disciplinary actions, has not been convicted of any offense prohibiting licensure or certification, and has no other impairment which would prohibit licensure or certification in this state.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2012, c. 226, &sect; 8, eff. Nov. 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">&sect;59-5001. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5002. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5003. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5004. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5005. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5006. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5007. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5008. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5009. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Subsequent to repeal, this section was amended by Laws 2012, c. 304, &sect; 295 to read as follows:&nbsp;</span></p> <p class="cls7"><span class="cls0">There is established in the State Treasury a revolving fund to be known as the "Commercial Pet Breeders Enforcement Fund". The fund shall:&nbsp;</span></p> <p class="cls7"><span class="cls0">1. Be a continuing fund, not subject to fiscal year limitations, and shall consist of all fees, fines, penalties, and other monies paid, donated, received, recovered, or collected under the provisions of the Commercial Pet Breeders Act; and&nbsp;</span></p> <p class="cls7"><span class="cls0">2. Be available to the Board solely for the payment of all expenses incurred in issuing, processing, inspecting, or supervising the issuance of commercial pet breeder licenses, and enforcement of the Commercial Pet Breeders Act. Expenditures from the fund shall be made upon warrants issued by the State Treasurer against claims filed as prescribed by law with the Director of the Office of Management and Enterprise Services for approval and payment.&nbsp;</span></p> <p><span class="cls0">&sect;59-5010. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5011. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5012. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5013. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5014. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5015. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5016. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5017. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5018. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5019. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5020. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5021. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5022. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5023. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5024. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5025. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5026. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5027. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5028. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-5029. Repealed by Laws 2012, c. 302, &sect; 18, eff. July 1, 2012.&nbsp;</span></p> <p><span class="cls0">&sect;59-6001. State Board of Behavioral Health Licensure.&nbsp;</span></p> <p><span class="cls0">A. 1. There is hereby created the State Board of Behavioral Health Licensure to continue until July 1, 2019, in accordance with the provisions of the Oklahoma Sunset Law.&nbsp;</span></p> <p><span class="cls0">2. Members of the Board shall serve at the pleasure of and may be removed from office by the appointing authority. Members shall continue to serve until their successors are appointed. Any vacancy shall be filled in the same manner as the original appointments. Four members shall constitute a quorum.&nbsp;</span></p> <p><span class="cls0">3. The Board shall meet at least twice a year, but no more than four (4) times a year and shall elect a chair and a vice-chair from among its members. The Board shall only meet as required for:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;election of officers,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;establishment of meeting dates and times,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;rule development,&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;review and recommendation, and&nbsp;</span></p> <p class="cls2"><span class="cls0">e.&nbsp;&nbsp;adoption of nonbinding resolutions to the Board concerning matters brought before the Board.&nbsp;</span></p> <p><span class="cls0">4. Special meetings may be called by the chair or by concurrence of any three members.&nbsp;</span></p> <p><span class="cls0">B. 1. All members of the Board shall be knowledgeable of counseling issues. The Board shall be appointed by the Governor with the advice and consent of the Senate:&nbsp;</span></p> <p class="cls2"><span class="cls0">a.&nbsp;&nbsp;four members who are licensed professional counselors,&nbsp;</span></p> <p class="cls2"><span class="cls0">b.&nbsp;&nbsp;three members who are licensed family and marital therapists,&nbsp;</span></p> <p class="cls2"><span class="cls0">c.&nbsp;&nbsp;two members who are licensed behavioral practitioners, and&nbsp;</span></p> <p class="cls2"><span class="cls0">d.&nbsp;&nbsp;two members representing the public and possessing knowledge of counseling issues.&nbsp;</span></p> <p><span class="cls0">2. Members of the Board shall serve for a period of three (3) years and may be removed at any time by the appointing authority. Vacancies on the Board shall be filled by the appointing authority. A majority of the Board shall constitute a quorum for the transaction of business.&nbsp;</span></p> <p><span class="cls0">3. All appointees who are licensed professional counselors shall be selected from a list of qualified candidates submitted by the Executive Committee of the Oklahoma Counseling Association acting in conjunction with the executive committees of all state professional counseling associations which represent a specialty recognized pursuant to the Licensed Professional Counselors Act. Appointees who are licensed marital and family therapists shall be selected from a list of qualified candidates submitted by the Oklahoma Association for Marriage and Family Therapy and who represent a specialty recognized by the Marital and Family Therapist Licensure Act. Appointees who are licensed behavioral therapists shall be selected from a list of qualified candidates submitted by the National Association for Masters in Psychology and who represent a specialty recognized by the Licensed Behavioral Practitioner Act.&nbsp;</span></p> <p><span class="cls0">4. The members of the Board from each professional area of behavioral health counseling shall comprise separate committees and shall consult on professional issues within their respective areas of behavioral health counseling. Each committee shall recommend to the Board approval or disapproval of all licenses to be issued within its specialty. Each committee shall be authorized to recommend approval or disapproval of the examination requirements for all applicants for licensure in the respective area of behavioral health counseling, provide grading standards for examinations, and provide for other matters relating to licensure in that area of behavioral health counseling. Each committee may create advisory committees to consult on professional duties and responsibilities pursuant to the provisions of this act.&nbsp;</span></p> <p><span class="cls0">5. Any and all recommendations, approvals, or disapprovals made by a committee pursuant to the provisions of this section shall not become effective without the approval of a majority of members of the Board.&nbsp;</span></p> <p><span class="cls0">6. The jurisdictional areas of the Board shall include professional counseling licensing and practice issues, marital and family therapist licensing and practice issues, behavioral practitioner licensing and practice issues and such other areas as authorized by the Licensed Professional Counselors Act.&nbsp;</span></p> <p><span class="cls0">C. The Board shall not recommend rules for promulgation unless all applicable requirements of the Administrative Procedures Act have been followed, including but not limited to notice, rule impact statements and rule-making hearings.&nbsp;</span></p> <p><span class="cls0">D. Members of the Board shall serve without compensation but may be reimbursed for expenses incurred in the performance of their duties, as provided in the State Travel Reimbursement Act. The Board is authorized to utilize the conference rooms of and obtain administrative assistance from the State Board of Medical Licensure and Supervision as required.&nbsp;</span></p> <p><span class="cls0">E. The Board is authorized and empowered to:&nbsp;</span></p> <p><span class="cls0">1. Establish and maintain a system of licensure and certification pursuant to the provisions of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">2. Adopt and enforce standards governing the professional conduct of persons licensed pursuant to the provisions of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">3. Lease office space for the purpose of operating and maintaining a state office, and pay rent thereon; provided, however, such state office shall not be located in or directly adjacent to the office of any person licensed pursuant to the provisions of the Licensed Professional Counselors Act;&nbsp;</span></p> <p><span class="cls0">4. Purchase office furniture, equipment, and supplies;&nbsp;</span></p> <p><span class="cls0">5. Employ such office personnel as may be necessary, and fix and pay their salaries or wages;&nbsp;</span></p> <p><span class="cls0">6. Contract with state agencies for the purposes of investigating written complaints regarding the conduct of persons licensed pursuant to the provisions of the Licensed Professional Counselors Act and obtaining administrative assistance as deemed necessary by the Executive Director; and&nbsp;</span></p> <p><span class="cls0">7. Make such other expenditures as may be necessary in the performance of its duties.&nbsp;</span></p> <p><span class="cls0">F. The Board shall employ an Executive Director. The Executive Director shall be authorized to:&nbsp;</span></p> <p><span class="cls0">1. Employ and maintain an office staff;&nbsp;</span></p> <p><span class="cls0">2. Enter into contracts on behalf of the Board; and&nbsp;</span></p> <p><span class="cls0">3. Perform other duties on behalf of the Board as needed or directed.&nbsp;</span></p> <p><span class="cls0">G. All employees and positions shall be placed in unclassified status, exempt from the provisions of the Oklahoma Personnel Act.&nbsp;</span></p> <p><span class="cls0">Added by Laws 2013, c. 229, &sect; 4, eff. Nov. 1, 2013.&nbsp;</span></p> <p>&nbsp;</p> <p><span class="cls0">NOTE: Editorially renumbered from &sect; 5001 of this title to prevent a duplication in numbering.&nbsp;</span></p> <p>&nbsp;</p> <p>&nbsp;</p> </body> </html>

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