This document includes House Committee Amendments incorporated into the bill on Mon, Mar 9, 2015 at 10:39 AM by jeyring.
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7 LONG TITLE
8 General Description:
9 This bill modifies the information that a regulated officeholder is required to disclose
10 on a financial disclosure form.
11 Highlighted Provisions:
12 This bill:
13 ▸ modifies the information that a regulated officeholder is required to disclose on a
14 financial disclosure form.
15 Money Appropriated in this Bill:
16 None
17 Other Special Clauses:
18 None
19 Utah Code Sections Affected:
20 AMENDS:
21 20A-11-1602, as last amended by Laws of Utah 2014, Chapter 18
22 20A-11-1604, as renumbered and amended by Laws of Utah 2014, Chapter 18
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24 Be it enacted by the Legislature of the state of Utah:
25 Section 1. Section 20A-11-1602 is amended to read:
26 20A-11-1602. Definitions.
27 As used in this part:
28 (1) "Conflict of interest" means an action that is taken by a regulated officeholder that
29 the officeholder reasonably believes may cause direct financial benefit or detriment to the
30 officeholder, a member of the officeholder's immediate family, or an entity that the officeholder
31 is required to disclose under the provisions of this section, if that benefit or detriment is
32 distinguishable from the effects of that action on the public or on the officeholder's profession,
33 occupation, or association generally.
34 (2) "Entity" means a corporation, a partnership, a limited liability company, a limited
35 partnership, a sole proprietorship, an association, a cooperative, a trust, an organization, a joint
36 venture, a governmental entity, an unincorporated organization, or any other legal entity,
37 regardless of whether it is established primarily for the purpose of gain or economic profit.
38 (3) "Executive action" means the same as that term is defined in Section 36-11-102.
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40 in the regulated officeholder's immediate household, or an individual claimed as a dependent
41 for state or federal income tax purposes by the regulated officeholder.
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43 individual for gain, regardless of source, whether denominated as wages, salary, commission,
44 pay, bonus, severance pay, incentive pay, contract payment, interest, per diem, expenses,
45 reimbursement, dividends, or otherwise.
46 (6) "Legislative action" means the same as that term is defined in Section 36-11-102.
47 (7) "Lobbying" means the same as that term is defined in Section 36-11-102.
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49 an entity or holds a position where the person has authority to manage, direct, control, or make
50 decisions for:
51 (i) the entity or a portion of the entity; or
52 (ii) an employee, agent, or independent contractor of the entity.
53 (b) "Owner or officer" includes:
54 (i) a member of a board of directors or other governing body of an entity; or
55 (ii) a partner in any type of partnership.
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57 regulated officeholder files a financial disclosure form.
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59 financial disclosure form under the provisions of this part.
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61 the state auditor, the state treasurer, or the attorney general.
62 Section 2. Section 20A-11-1604 is amended to read:
63 20A-11-1604. Disclosure of conflict of interest -- Financial disclosure form --
64 Failure to disclose conflict of interest -- Failure to comply with reporting requirements.
65 (1) (a) Before or during the execution of any order, settlement, declaration, contract, or
66 any other official act of office in which a state constitutional officer has actual knowledge that
67 the state constitutional officer has a conflict of interest that is not stated on the financial
68 disclosure form described in this section, the state constitutional officer shall publicly declare
69 that the state constitutional officer may have a conflict of interest and what that conflict of
70 interest is.
71 (b) Before or during any vote on legislation or any legislative matter in which a
72 legislator has actual knowledge that the legislator has a conflict of interest that is not stated on
73 the financial disclosure form described in this section, the legislator shall orally declare to the
74 committee or body before which the matter is pending that the legislator may have a conflict of
75 interest and what that conflict is.
76 (c) Before or during any vote on any rule, resolution, order, or any other board matter
77 in which a member of the State Board of Education has actual knowledge that the member has
78 a conflict of interest that is not stated on the financial disclosure form described in this section,
79 the member shall orally declare to the board that the member may have a conflict of interest
80 and what that conflict of interest is.
81 (2) Any public declaration of a conflict of interest that is made under Subsection (1)
82 shall be noted:
83 (a) on the official record of the action taken, for a state constitutional officer;
84 (b) in the minutes of the committee meeting or in the Senate or House Journal, as
85 applicable, for a legislator; or
86 (c) in the minutes of the meeting or on the official record of the action taken, for a
87 member of the State Board of Education.
88 (3) (a) A state constitutional officer shall file a financial disclosure form:
89 (i) on the tenth day of January of each year, or the following business day if the due
90 date falls on a weekend or holiday; and
91 (ii) each time the state constitutional officer changes employment.
92 (b) A legislator shall file a financial disclosure form:
93 (i) on the first day of each general session of the Legislature; and
94 (ii) each time the legislator changes employment.
95 (c) A member of the State Board of Education shall file a financial disclosure form:
96 (i) on the tenth day of January of each year, or the following business day if the due
97 date falls on a weekend or holiday; and
98 (ii) each time the member changes employment.
99 (4) The financial disclosure form described in Subsection (3) shall include:
100 (a) the regulated officeholder's name;
101 (b) the name and address of each of the regulated officeholder's current employers and
102 each of the regulated officeholder's employers during the preceding year;
103 (c) for each employer described in Subsection (4)(b)[
104 (i) a brief description of the employment, including the regulated officeholder's
105 occupation and, as applicable, job title; and
106 (ii) the Ĥ→ approximate ←Ĥ date on which the regulated officeholder's employment
106a began;
107 (d) for each entity in which the regulated officeholder is an owner or officer, or was an
108 owner or officer during the preceding year:
109 (i) the name of the entity;
110 (ii) a brief description of the type of business or activity conducted by the entity; [
111 (iii) the regulated officeholder's position in the entity; and
112 (iv) the Ĥ→ approximate ←Ĥ date on which the regulated officeholder became an owner
112a or officer for the
113 entity;
114 (e) in accordance with Subsection (5)(b), for each individual from whom, or entity
115 from which, the regulated officeholder has received $5,000 or more in income during the
116 preceding year:
117 (i) the name of the individual or entity; [
118 (ii) a brief description of the type of business or activity conducted by the individual or
119 entity; and
120 (iii) the Ĥ→ approximate ←Ĥ date on which the regulated officeholder first received
120a income from the
121 individual or entity;
122 (f) for each entity in which the regulated officeholder holds any stocks or bonds having
123 a fair market value of $5,000 or more as of the date of the disclosure form or during the
124 preceding year, but excluding funds that are managed by a third party, including blind trusts,
125 managed investment accounts, and mutual funds:
126 (i) the name of the entity; and
127 (ii) a brief description of the type of business or activity conducted by the entity;
128 (g) the name of, and a brief description of the type of business or activity conducted by,
129 each individual or entity that has paid the regulated officeholder during the preceding year for
130 lobbying or consulting in relation to legislative action or executive action;
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132 regulated officeholder currently serves, or served in the preceding year, on the board of
133 directors or in any other type of paid leadership capacity:
134 (i) the name of the entity or organization;
135 (ii) a brief description of the type of business or activity conducted by the entity; [
136 (iii) the type of advisory position held by the regulated officeholder; and
137 (iv) the Ĥ→ approximate ←Ĥ date on which the regulated officeholder accepted a position
137a on the board of
138 directors or a paid leadership capacity position;
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140 which the regulated officeholder holds an ownership or other financial interest that the
141 regulated officeholder believes may constitute a conflict of interest, including a description of
142 the type of interest held by the regulated officeholder in the property;
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144 the regulated officeholder's household who is not related by blood or marriage, as applicable;
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146 officeholder is required to provide under Subsection (4)(b);
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148 (i) resides in the regulated officeholder's household; and
149 (ii) is not related to the regulated officeholder by blood or marriage;
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151 interest that the regulated officeholder believes may constitute a conflict of interest;
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154 accurate to the best of the regulated officeholder's knowledge; and
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156 (5) (a) The regulated officeholder shall file the financial disclosure form with:
157 (i) the secretary of the Senate, if the regulated officeholder is a member of the Senate;
158 (ii) the chief clerk of the House of Representatives, if the regulated officeholder is a
159 member of the House of Representatives; or
160 (iii) the lieutenant governor, if the regulated officeholder is a regulated officeholder
161 other than a regulated officeholder described in Subsection (5)(a)(i) or (ii).
162 (b) In making the disclosure described in Subsection (4)(e), a regulated officeholder
163 who provides goods or services to multiple customers or clients as part of a business or a
164 licensed profession is only required to provide the information described in Subsection (4)(e) in
165 relation to the entity or practice through which the regulated officeholder provides the goods or
166 services and is not required to provide the information described in Subsection (4)(e) in
167 relation to the regulated officeholder's individual customers or clients.
168 (6) The lieutenant governor, the secretary of the Senate, and the chief clerk of the
169 House of Representatives shall ensure that blank financial disclosure forms are available on the
170 Internet and at their offices.
171 (7) An individual described in Subsection (6) who receives a financial disclosure form
172 or an amendment to a financial disclosure form under this section shall make each version of
173 the form, and each amendment to the form, available to the public for the period of time
174 described in Subsection (8), in the following manner:
175 (a) on the Internet; and
176 (b) at the office where the form or the amendment to the form was filed.
177 (8) The period of time that an individual described in Subsection (7) shall make each
178 version of a financial disclosure form and each amendment to a financial disclosure form
179 available to the public is:
180 (a) two years after the day on which the individual described in Subsection (7) receives
181 the form, for a regulated officeholder in an office that has a normal term of two years or less; or
182 (b) four years after the day on which the individual described in Subsection (7) receives
183 the form, for a regulated officeholder in an office that has a normal term of more than two
184 years.
185 (9) The disclosure requirements described in this section do not prohibit a regulated
186 officeholder from voting or acting on any matter.
187 (10) A regulated officeholder may amend a financial disclosure form described in this
188 part at any time.
189 (11) A regulated officeholder who violates the requirements of Subsection (1) is guilty
190 of a class B misdemeanor.
191 (12) (a) A regulated officeholder who intentionally or knowingly violates a provision
192 of this section, other than Subsection (1), is guilty of a class B misdemeanor.
193 (b) In addition to the criminal penalty described in Subsection (12)(a), the lieutenant
194 governor shall impose a civil penalty of $100 against a regulated officeholder who violates a
195 provision of this section, other than Subsection (1).
Legislative Review Note
as of 1-9-15 11:42 AM
Office of Legislative Research and General Counsel