S.B.
17
CHILD ABUSE AND NEGLECT REGISTRY - MANAGEMENT AND LICENSING
INFORMATION SYSTEMS AMENDMENTS
senate floor
Amendments
purposes described in Section 67-5b-102;
(i) a person engaged in bona fide research, when approved by the
director of the division, if the information does not include names
and addresses;
(j) the State Office of Education, acting on behalf of itself or on
behalf of a school district, for the purpose of evaluating whether an
individual should be permitted to obtain or retain a license as an
educator or serve as an employee or volunteer in a school, limited
to information with substantiated findings involving an alleged
sexual offense, an alleged felony or class A misdemeanor drug
offense, or any alleged offense against the person under Title 76,
Chapter 5, Offenses Against the Person, and with the
understanding that the office must provide the subject of a report
received under Subsection (1)(k) with an opportunity to respond to
the report before making a decision concerning licensure or
employment;
(k) any person identified in the report as a perpetrator or possible
perpetrator of child abuse or neglect, after being advised of the
screening prohibition in Subsection (2);
(l)
except as provided in Subsection 63-2-202(10),
a person filing
a petition for a child protective order on behalf of a child who is
the subject of the report; and
(m) a licensed child-placing agency or person who is performing a
preplacement adoptive evaluation in accordance with the
requirements of Section 78-30-3.5.
(2) (a) A person, unless listed in Subsection (1), may not request
another person to obtain or release a report or any other
information in the possession of the division obtained as a result of
the report that is available under Subsection (1)(k) to screen for
potential perpetrators of child abuse or neglect.
(b) A person who requests information knowing that it is a
violation of Subsection (2)(a) to do so is subject to the criminal
penalty in Subsection (4).
(3) (a) Except as provided in Section 62A-4a-1007 and Subsection
(3)(b), the division and law enforcement officials shall ensure the
anonymity of the person or persons making the initial report and
any others involved in its subsequent investigation.
(b) Notwithstanding any other provision of law, excluding Section
78-3a-314, but including this chapter and Title 63, Chapter 2,
Government Records Access and Management Act, when the
division makes a report or other information in its possession
available under Subsection (1)(e) to a subject of the report or a
parent of a child, the division shall remove from the report or other
information only the names, addresses, and telephone numbers of
individuals or specific information that could:
(i) identify the referent;
(ii) impede a criminal investigation; or
(iii) endanger a person's safety.
(4) Any person who wilfully permits, or aides and abets the release
of data or information obtained as a result of this part, in the
possession of the division or contained on any part of the
Management Information System, in violation of this part or
Sections 62A-4a-1003 through 62A-4a-1007, is guilty of a class C
misdemeanor.
(5) The physician-patient privilege is not a ground for excluding
evidence regarding a child's injuries or the cause of those injuries,
in any proceeding resulting from a report made in good faith
pursuant to this part.
(6) A child-placing agency or person who receives a report in
connection with a preplacement adoptive evaluation pursuant to
Section 78-30-3.5:
(a) may provide this report to the person who is the subject of the
report; and
(b) may provide this report to a person who is performing a
preplacement adoptive evaluation in accordance with the
requirement of Section 78-30-3.5, or to a licensed child-placing
agency or to an attorney seeking to facilitate an adoption."
13. Page13, Line 383: After " challenge" delete " supported"; after " finding" insert " of
supported, unsupported, or without merit"
14. Page 13, Line 386: After "makes a" bracket "supported" and after "finding" insert of
supported, unsupported, or without merit"
15. Page 13, Line 399: After "in Subsection (1)" insert "
, relating to a supported finding,
"
16. Page 14, Line 416: After "this section," insert "
based on a challenge to a supported
finding,
"
agency review to the division, requesting one or both of the
following:
(A)
if the finding described in Subsection (6)(a) is a finding of
unsupported, that the division reduce the finding to a finding of
without merit; or
(B) if the finding described in Subsection (6)(a) is a finding of
unsupported or without merit, that the division remove the alleged
perpetrator's name and information, the finding, and the report to
which it relates, from the Management Information System; or
(ii) sign a written consent to:
(A) the finding made under Subsection (6)(a); and
(B) entry into the Management Information System of
the alleged
perpetrator's name and
information, the finding, and the report.
(b) The alleged perpetrator's name and information, the finding,
and the report shall remain in the Management Information
System:
(i) if the alleged perpetrator fails to submit a request for agency
review under Subsection (7)(a)(i) within two years after service of
the notice described in Subsection (6);
(ii) during the time that the division awaits a request for agency
review from the alleged perpetrator pursuant to Subsection (7)(a);
and
(iii) unless:
(A) in response to a request for agency review, the division
determines, under Subsection (7)(a)(i)(B), to remove the alleged
perpetrator's name and information, including the finding and the
report, from the Management Information System;
(B) the division refuses to take the action described in Subsection
(7)(b)(iii)(A) and the division's decision is overturned; or
(C) a court orders that the perpetrator's name and information, the
finding, and the report be removed from the Management
Information System.
(c) The alleged perpetrator has no right to submit a request for
agency review to the division under Subsection (7)(a)(i) if a court
previously held a hearing on the same alleged incident of abuse,
neglect, or dependency, pursuant to the filing of a petition under
Section
78-3a-305,
by some other party.
(d) Consent under Subsection (7)(a)(ii) by a child shall be given by
the child's parent or guardian.
information from that record to any person, including the subject of
the record.
(3) If there is more than one subject of a private or controlled
record, the portion of the record that pertains to another subject
shall be segregated from the portion that the requester is entitled to
inspect.
(4) Upon request,
and except as provided in Subsection (10),
a
governmental entity shall disclose a protected record to:
(a) the person who submitted the record;
(b) any other individual who:
(i) has a power of attorney from all persons, governmental entities,
or political subdivisions whose interests were sought to be
protected by the protected classification; or
(ii) submits a notarized release from all persons, governmental
entities, or political subdivisions whose interests were sought to be
protected by the protected classification or from their legal
representatives dated no more than 90 days prior to the date the
request is made;
(c) any person to whom the record must be provided pursuant to:
(i) a court order as provided in Subsection (7); or
(ii) a legislative subpoena as provided in Title 36, Chapter 14; or
(d) the owner of a mobile home park, subject to the conditions of
Subsection
41-1a-116
(5).
(5) A governmental entity may disclose a private, controlled, or
protected record to another governmental entity, political
subdivision, another state, the United States, or a foreign
government only as provided by Section
63-2-206
.
(6) Before releasing a private, controlled, or protected record, the
governmental entity shall obtain evidence of the requester's
identity.
(7) A governmental entity shall disclose a record pursuant to the
terms of a court order signed by a judge from a court of competent
jurisdiction, provided that:
(a) the record deals with a matter in controversy over which the
court has jurisdiction;
(b) the court has considered the merits of the request for access to
the record; and
(c) the court has considered and, where appropriate, limited the
requester's use and further disclosure of the record in order to
protect:
(i) privacy interests in the case of private or controlled records;
(ii) business confidentiality interests in the case of records
protected under Subsection
63-2-304
(1), (2), (40)(a)(ii), or
(40)(a)(vi); and
(iii) privacy interests or the public interest in the case of other
protected records;
(d) to the extent the record is properly classified private,
controlled, or protected, the interests favoring access, considering
limitations thereon, outweigh the interests favoring restriction of
access; and
(e) where access is restricted by a rule, statute, or regulation
referred to in Subsection
63-2-201
(3)(b), the court has authority
independent of this chapter to order disclosure.
(8) (a) A governmental entity may disclose or authorize disclosure
of private or controlled records for research purposes if the
governmental entity:
(i) determines that the research purpose cannot reasonably be
accomplished without use or disclosure of the information to the
researcher in individually identifiable form;
(ii) determines that:
(A) the proposed research is bona fide; and
(B) the value of the research outweighs the infringement upon
personal privacy;
(iii) (A) requires the researcher to assure the integrity,
confidentiality, and security of the records; and
(B) requires the removal or destruction of the individual identifiers
associated with the records as soon as the purpose of the research
project has been accomplished;
(iv) prohibits the researcher from:
(A) disclosing the record in individually identifiable form, except
as provided in Subsection (8)(b); or
(B) using the record for purposes other than the research approved
by the governmental entity; and
(v) secures from the researcher a written statement of the
researcher's understanding of and agreement to the conditions of
this Subsection (8) and the researcher's understanding that
violation of the terms of this Subsection (8) may subject the
researcher to criminal prosecution under Section
63-2-801
.
obtained from a person if:
(a) disclosure of the information could reasonably be expected to
result in unfair competitive injury to the person submitting the
information or would impair the ability of the governmental entity
to obtain necessary information in the future;
(b) the person submitting the information has a greater interest in
prohibiting access than the public in obtaining access; and
(c) the person submitting the information has provided the
governmental entity with the information specified in Section
63-2-308
;
(3) commercial or financial information acquired or prepared by a
governmental entity to the extent that disclosure would lead to
financial speculations in currencies, securities, or commodities that
will interfere with a planned transaction by the governmental entity
or cause substantial financial injury to the governmental entity or
state economy;
(4) records the disclosure of which could cause commercial injury
to, or confer a competitive advantage upon a potential or actual
competitor of, a commercial project entity as defined in Subsection
11-13-103
(4);
(5) test questions and answers to be used in future license,
certification, registration, employment, or academic examinations;
(6) records the disclosure of which would impair governmental
procurement proceedings or give an unfair advantage to any person
proposing to enter into a contract or agreement with a
governmental entity, except that this Subsection (6) does not
restrict the right of a person to see bids submitted to or by a
governmental entity after bidding has closed;
(7) records that would identify real property or the appraisal or
estimated value of real or personal property, including intellectual
property, under consideration for public acquisition before any
rights to the property are acquired unless:
(a) public interest in obtaining access to the information outweighs
the governmental entity's need to acquire the property on the best
terms possible;
(b) the information has already been disclosed to persons not
employed by or under a duty of confidentiality to the entity;
(c) in the case of records that would identify property, potential
sellers of the described property have already learned of the
governmental entity's plans to acquire the property;
(d) in the case of records that would identify the appraisal or
estimated value of property, the potential sellers have already
learned of the governmental entity's estimated value of the
property; or
(e) the property under consideration for public acquisition is a
single family residence and the governmental entity seeking to
acquire the property has initiated negotiations to acquire the
property as required under Section
78-34-4.5
;
(8) records prepared in contemplation of sale, exchange, lease,
rental, or other compensated transaction of real or personal
property including intellectual property, which, if disclosed prior to
completion of the transaction, would reveal the appraisal or
estimated value of the subject property, unless:
(a) the public interest in access outweighs the interests in
restricting access, including the governmental entity's interest in
maximizing the financial benefit of the transaction; or
(b) when prepared by or on behalf of a governmental entity,
appraisals or estimates of the value of the subject property have
already been disclosed to persons not employed by or under a duty
of confidentiality to the entity;
(9) records created or maintained for civil, criminal, or
administrative enforcement purposes or audit purposes, or for
discipline, licensing, certification, or registration purposes, if
release of the records:
(a) reasonably could be expected to interfere with investigations
undertaken for enforcement, discipline, licensing, certification, or
registration purposes;
(b) reasonably could be expected to interfere with audits,
disciplinary, or enforcement proceedings;
(c) would create a danger of depriving a person of a right to a fair
trial or impartial hearing;
(d) reasonably could be expected to disclose the identity of a
source who is not generally known outside of government and, in
the case of a record compiled in the course of an investigation,
disclose information furnished by a source not generally known
outside of government if disclosure would compromise the source;
or
(e) reasonably could be expected to disclose investigative or audit
techniques, procedures, policies, or orders not generally known
outside of government if disclosure would interfere with
enforcement or audit efforts;
(10) records the disclosure of which would jeopardize the life or
safety of an individual;
(11) records the disclosure of which would jeopardize the security
of governmental property, governmental programs, or
governmental recordkeeping systems from damage, theft, or other
appropriation or use contrary to law or public policy;
(12) records that, if disclosed, would jeopardize the security or
safety of a correctional facility, or records relating to incarceration,
treatment, probation, or parole, that would interfere with the
control and supervision of an offender's incarceration, treatment,
probation, or parole;
(13) records that, if disclosed, would reveal recommendations
made to the Board of Pardons and Parole by an employee of or
contractor for the Department of Corrections, the Board of Pardons
and Parole, or the Department of Human Services that are based on
the employee's or contractor's supervision, diagnosis, or treatment
of any person within the board's jurisdiction;
(14) records and audit workpapers that identify audit, collection,
and operational procedures and methods used by the State Tax
Commission, if disclosure would interfere with audits or
collections;
(15) records of a governmental audit agency relating to an ongoing
or planned audit until the final audit is released;
(16) records prepared by or on behalf of a governmental entity
solely in anticipation of litigation that are not available under the
rules of discovery;
(17) records disclosing an attorney's work product, including the
mental impressions or legal theories of an attorney or other
representative of a governmental entity concerning litigation;
(18) records of communications between a governmental entity
and an attorney representing, retained, or employed by the
governmental entity if the communications would be privileged as
provided in Section
78-24-8
;
(19) (a) (i) personal files of a state legislator, including personal
correspondence to or from a member of the Legislature; and
(ii) notwithstanding Subsection (19)(a)(i), correspondence that
gives notice of legislative action or policy may not be classified as
protected under this section; and
(b) (i) an internal communication that is part of the deliberative
process in connection with the preparation of legislation between:
(A) members of a legislative body;
(B) a member of a legislative body and a member of the legislative
body's staff; or
(C) members of a legislative body's staff; and
(ii) notwithstanding Subsection (19)(b)(i), a communication that
gives notice of legislative action or policy may not be classified as
protected under this section;
(20) (a) records in the custody or control of the Office of
Legislative Research and General Counsel, that, if disclosed,
would reveal a particular legislator's contemplated legislation or
contemplated course of action before the legislator has elected to
support the legislation or course of action, or made the legislation
or course of action public; and
(b) notwithstanding Subsection (20)(a), the form to request
legislation submitted to the Office of Legislative Research and
General Counsel is a public document unless a legislator asks that
the records requesting the legislation be maintained as protected
records until such time as the legislator elects to make the
legislation or course of action public;
(21) research requests from legislators to the Office of Legislative
Research and General Counsel or the Office of the Legislative
Fiscal Analyst and research findings prepared in response to these
requests;
(22) drafts, unless otherwise classified as public;
(23) records concerning a governmental entity's strategy about
collective bargaining or pending litigation;
(24) records of investigations of loss occurrences and analyses of
loss occurrences that may be covered by the Risk Management
Fund, the Employers' Reinsurance Fund, the Uninsured Employers'
Fund, or similar divisions in other governmental entities;
(25) records, other than personnel evaluations, that contain a
personal recommendation concerning an individual if disclosure
would constitute a clearly unwarranted invasion of personal
privacy, or disclosure is not in the public interest;
(26) records that reveal the location of historic, prehistoric,
paleontological, or biological resources that if known would
jeopardize the security of those resources or of valuable historic,
scientific, educational, or cultural information;
(27) records of independent state agencies if the disclosure of the
records would conflict with the fiduciary obligations of the agency;
(28) records of an institution within the state system of higher
education defined in Section
53B-1-102
regarding tenure
evaluations, appointments, applications for admissions, retention
decisions, and promotions, which could be properly discussed in a
meeting closed in accordance with Title 52, Chapter 4, Open and
Public Meetings Act, provided that records of the final decisions
about tenure, appointments, retention, promotions, or those
students admitted, may not be classified as protected under this
section;
(29) records of the governor's office, including budget
recommendations, legislative proposals, and policy statements, that
if disclosed would reveal the governor's contemplated policies or
contemplated courses of action before the governor has
implemented or rejected those policies or courses of action or made
them public;
(30) records of the Office of the Legislative Fiscal Analyst relating
to budget analysis, revenue estimates, and fiscal notes of proposed
legislation before issuance of the final recommendations in these
areas;
(31) records provided by the United States or by a government
entity outside the state that are given to the governmental entity
with a requirement that they be managed as protected records if the
providing entity certifies that the record would not be subject to
public disclosure if retained by it;
(32) transcripts, minutes, or reports of the closed portion of a
meeting of a public body except as provided in Section
52-4-206
;
(33) records that would reveal the contents of settlement
negotiations but not including final settlements or empirical data to
the extent that they are not otherwise exempt from disclosure;
(34) memoranda prepared by staff and used in the
decision-making process by an administrative law judge, a member
of the Board of Pardons and Parole, or a member of any other body
charged by law with performing a quasi-judicial function;
(35) records that would reveal negotiations regarding assistance or
incentives offered by or requested from a governmental entity for
the purpose of encouraging a person to expand or locate a business
in Utah, but only if disclosure would result in actual economic
harm to the person or place the governmental entity at a
competitive disadvantage, but this section may not be used to
restrict access to a record evidencing a final contract;
(36) materials to which access must be limited for purposes of
securing or maintaining the governmental entity's proprietary
protection of intellectual property rights including patents,
copyrights, and trade secrets;
(37) the name of a donor or a prospective donor to a governmental
entity, including an institution within the state system of higher
education defined in Section
53B-1-102
, and other information
concerning the donation that could reasonably be expected to
reveal the identity of the donor, provided that:
(a) the donor requests anonymity in writing;
(b) any terms, conditions, restrictions, or privileges relating to the
donation may not be classified protected by the governmental
entity under this Subsection (37); and
(c) except for an institution within the state system of higher
education defined in Section
53B-1-102
, the governmental unit to
which the donation is made is primarily engaged in educational,
charitable, or artistic endeavors, and has no regulatory or
legislative authority over the donor, a member of the donor's
immediate family, or any entity owned or controlled by the donor
or the donor's immediate family;
(38) accident reports, except as provided in Sections
41-6a-404
,
41-12a-202
, and
73-18-13
;
(39) a notification of workers' compensation insurance coverage
described in Section
34A-2-205
;
(40) (a) the following records of an institution within the state
system of higher education defined in Section
53B-1-102
, which
have been developed, discovered, disclosed to, or received by or on
behalf of faculty, staff, employees, or students of the institution:
(i) unpublished lecture notes;
(ii) unpublished notes, data, and information:
(A) relating to research; and
(B) of:
(I) the institution within the state system of higher education
defined in Section
53B-1-102
; or
(II) a sponsor of sponsored research;
(iii) unpublished manuscripts;
(iv) creative works in process;
(v) scholarly correspondence; and
(vi) confidential information contained in research proposals;
(b) Subsection (40)(a) may not be construed to prohibit disclosure
of public information required pursuant to Subsection
53B-16-302
(2)(a) or (b); and
(c) Subsection (40)(a) may not be construed to affect the
ownership of a record;
(41) (a) records in the custody or control of the Office of
Legislative Auditor General that would reveal the name of a
particular legislator who requests a legislative audit prior to the
date that audit is completed and made public; and
(b) notwithstanding Subsection (41)(a), a request for a legislative
audit submitted to the Office of the Legislative Auditor General is
a public document unless the legislator asks that the records in the
custody or control of the Office of Legislative Auditor General that
would reveal the name of a particular legislator who requests a
legislative audit be maintained as protected records until the audit
is completed and made public;
(42) records that provide detail as to the location of an explosive,
including a map or other document that indicates the location of:
(a) a production facility; or
(b) a magazine;
(43) information contained in the database described in Section
62A-3-311.1
;
(44) information contained in the Management Information
System and Licensing Information System described in Title 62A,
Chapter 4a, Child and Family Services;
(45) information regarding National Guard operations or activities
in support of the National Guard's federal mission;
(46) records provided by any pawn or secondhand business to a
law enforcement agency or to the central database in compliance
with Title 13, Chapter 32a, Pawnshop and Secondhand
Merchandise Transaction Information Act;
(47) information regarding food security, risk, and vulnerability
assessments performed by the Department of Agriculture and
Food;
(48) except to the extent that the record is exempt from this
chapter pursuant to Section
63-2-106
, records related to an
emergency plan or program prepared or maintained by the Division
of Homeland Security the disclosure of which would jeopardize:
(a) the safety of the general public; or
(b) the security of:
(i) governmental property;
(ii) governmental programs; or
(iii) the property of a private person who provides the Division of
Homeland Security information;
(49) records of the Department of Agriculture and Food relating to
the National Animal Identification System or any other program
that provides for the identification, tracing, or control of livestock
diseases, including any program established under Title 4, Chapter
24, Utah Livestock Brand and Anti-theft Act or Title 4, Chapter 31,
Livestock Inspection and Quarantine;
(50) as provided in Section
26-39-109
:
(a) information or records held by the Department of Health
related to a complaint regarding a child care program or residential
child care which the department is unable to substantiate; and
(b) information or records related to a complaint received by the
Department of Health from an anonymous complainant regarding a
child care program or residential child care;
[
and
]
(51) unless otherwise classified as public under Section
63-2-301
and except as provided under Section
41-1a-116
, an individual's
home address, home telephone number, or personal mobile phone
number, if:
(a) the individual is required to provide the information in order to
comply with a law, ordinance, rule, or order of a government
entity; and
(b) the subject of the record has a reasonable expectation that this
information will be kept confidential due to:
(i) the nature of the law, ordinance, rule, or order; and
(ii) the individual complying with the law, ordinance, rule, or
order
[
.
]
; and
(52) records contained in the Management Information System,
created in Section
62A-4a-1003
.
"
state or local public agency, that are relevant to an abuse, neglect,
or dependency proceeding under this chapter.
(b) Representatives of the appropriate foster care citizen review
board are entitled to be present at each hearing held under this part,
but notice is not required to be provided."
Renumber remaining sections accordingly.